Medicare Program; Hospital Inpatient Prospective Payment Systems for Acute Care Hospitals and the Long-Term Care Hospital Prospective Payment System and Proposed Policy Changes and Fiscal Year 2020 Rates; Proposed Quality Reporting Requirements for Specific Providers; Medicare and Medicaid Promoting Interoperability Programs Proposed Requirements for Eligible Hospitals and Critical Access Hospitals, 19158-19677 [2019-08330]
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19158
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Centers for Medicare & Medicaid
Services
42 CFR Parts 412, 413, and 495
[CMS–1716–P]
RIN 0938–AT73
Medicare Program; Hospital Inpatient
Prospective Payment Systems for
Acute Care Hospitals and the LongTerm Care Hospital Prospective
Payment System and Proposed Policy
Changes and Fiscal Year 2020 Rates;
Proposed Quality Reporting
Requirements for Specific Providers;
Medicare and Medicaid Promoting
Interoperability Programs Proposed
Requirements for Eligible Hospitals
and Critical Access Hospitals
Centers for Medicare &
Medicaid Services (CMS), HHS.
ACTION: Proposed rule.
AGENCY:
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To be assured consideration,
comments must be received at one of
the addresses provided in the
ADDRESSES section, no later than 5 p.m.
EDT on June 24, 2019.
ADDRESSES: In commenting, please refer
to file code CMS–1716–P. Because of
staff and resource limitations, we cannot
accept comments by facsimile (FAX)
transmission.
Comments, including mass comment
submissions, must be submitted in one
of the following three ways (please
choose only one of the ways listed):
1. Electronically. You may (and we
encourage you to) submit electronic
comments on this regulation to https://
www.regulations.gov. Follow the
instructions under the ‘‘submit a
comment’’ tab.
2. By regular mail. You may mail
written comments to the following
address ONLY: Centers for Medicare &
Medicaid Services, Department of
Health and Human Services, Attention:
CMS–1716–P, P.O. Box 8013, Baltimore,
MD 21244–1850.
Please allow sufficient time for mailed
comments to be received before the
close of the comment period.
3. By express or overnight mail. You
may send written comments via express
or overnight mail to the following
address ONLY: Centers for Medicare &
Medicaid Services, Department of
Health and Human Services, Attention:
CMS–1716–P, Mail Stop C4–26–05,
7500 Security Boulevard, Baltimore, MD
21244–1850.
For information on viewing public
comments, we refer readers to the
beginning of the SUPPLEMENTARY
INFORMATION section.
DATES:
We are proposing to revise the
Medicare hospital inpatient prospective
payment systems (IPPS) for operating
and capital-related costs of acute care
hospitals to implement changes arising
from our continuing experience with
these systems for FY 2020 and to
implement certain recent legislation. We
also are proposing to make changes
relating to Medicare graduate medical
education (GME) for teaching hospitals
and payments to critical access hospital
(CAHs). In addition, we are proposing to
provide the market basket update that
would apply to the rate-of-increase
limits for certain hospitals excluded
from the IPPS that are paid on a
reasonable cost basis, subject to these
limits for FY 2020. We are proposing to
update the payment policies and the
annual payment rates for the Medicare
prospective payment system (PPS) for
inpatient hospital services provided by
long-term care hospitals (LTCHs) for FY
2020. In this proposed rule, we are
including proposals to address wage
index disparities between high and low
wage index hospitals; to provide for an
alternative IPPS new technology add-on
payment pathway for certain
transformative new devices; and to
revise the calculation of the IPPS new
technology add-on payment. In
addition, we are requesting public
comments on the substantial clinical
improvement criterion used for
evaluating applications for both the
IPPS new technology add-on payment
and the OPPS transitional pass-through
payment for devices, and we discuss
potential revisions that we are
SUMMARY:
considering adopting as final policies
related to the substantial clinical
improvement criterion for applications
received beginning in FY 2020 for IPPS
(that is, for FY 2021 and later new
technology add-on payments) and
beginning in CY 2020 for the OPPS.
We are proposing to establish new
requirements or revise existing
requirements for quality reporting by
specific Medicare providers (acute care
hospitals, PPS-exempt cancer hospitals,
and LTCHs). We also are proposing to
establish new requirements and revise
existing requirements for eligible
hospitals and critical access hospitals
(CAHs) participating in the Medicare
and Medicaid Promoting
Interoperability Programs. We are
proposing to update policies for the
Hospital Value-Based Purchasing (VBP)
Program, the Hospital Readmissions
Reduction Program, and the HospitalAcquired Condition (HAC) Reduction
Program.
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FOR FURTHER INFORMATION CONTACT:
Donald Thompson, (410) 786–4487, and
Michele Hudson, (410) 786–4487,
Operating Prospective Payment, MS–
DRGs, Wage Index, New Medical
Service and Technology Add-On
Payments, Hospital Geographic
Reclassifications, Graduate Medical
Education, Capital Prospective Payment,
Excluded Hospitals, Medicare
Disproportionate Share Hospital (DSH)
Payment Adjustment, MedicareDependent Small Rural Hospital (MDH)
Program, Low-Volume Hospital
Payment Adjustment, and Critical
Access Hospital (CAH) Issues.
Michele Hudson, (410) 786–4487,
Mark Luxton, (410) 786–4530, and
Emily Lipkin, (410) 786–3633, LongTerm Care Hospital Prospective
Payment System and MS–LTC–DRG
Relative Weights Issues.
Siddhartha Mazumdar, (410) 786–
6673, Rural Community Hospital
Demonstration Program Issues.
Jeris Smith, (410) 786–0110, Frontier
Community Health Integration Project
Demonstration Issues.
Erin Patton, (410) 786–2437, Hospital
Readmissions Reduction Program
Administration Issues.
Lein Han, 410–786–0205, Hospital
Readmissions Reduction Program—
Readmissions—Measures Issues.
Michael Brea, (410) 786–4961,
Hospital-Acquired Condition Reduction
Program Issues.
Annese Abdullah-Mclaughlin, (410)
786–2995, Hospital-Acquired Condition
Reduction Program—Measures Issues.
Grace Snyder, (410) 786–0700 and
James Poyer, (410) 786–2261, Hospital
Inpatient Quality Reporting and
Hospital Value-Based Purchasing—
Program Administration, Validation,
and Reconsideration Issues.
Cindy Tourison, (410) 786–1093,
Hospital Inpatient Quality Reporting
and Hospital Value-Based Purchasing—
Measures Issues Except Hospital
Consumer Assessment of Healthcare
Providers and Systems Issues.
Elizabeth Goldstein, (410) 786–6665,
Hospital Inpatient Quality Reporting
and Hospital Value-Based Purchasing—
Hospital Consumer Assessment of
Healthcare Providers and Systems
Measures Issues.
Nekeshia McInnis, (410) 786–4486
and Ronique Evans, (410) 786–1000,
PPS-Exempt Cancer Hospital Quality
Reporting Issues.
Mary Pratt, (410) 786–6867, LongTerm Care Hospital Quality Data
Reporting Issues.
Elizabeth Holland, (410) 786–1309,
Dylan Podson (410) 786–5031, and
Bryan Rossi (410) 786–065l, Promoting
Interoperability Programs.
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Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
Benjamin Moll, (410) 786–4390,
Provider Reimbursement Review Board
Appeals Issues.
Inspection
of Public Comments: All comments
received before the close of the
comment period are available for
viewing by the public, including any
personally identifiable or confidential
business information that is included in
a comment. We post all comments
received before the close of the
comment period on the following
website as soon as possible after they
have been received: https://
www.regulations.gov/. Follow the search
instructions on that website to view
public comments.
SUPPLEMENTARY INFORMATION:
Electronic Access
This Federal Register document is
available from the Federal Register
online database through Federal Digital
System (FDsys), a service of the U.S.
Government Printing Office. This
database can be accessed via the
internet at: https://www.gpo.gov/fdsys.
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Tables Available Through the Internet
on the CMS Website
In the past, a majority of the tables
referred to throughout this preamble
and in the Addendum to the proposed
rule and the final rule were published
in the Federal Register as part of the
annual proposed and final rules.
However, beginning in FY 2012, the
majority of the IPPS tables and LTCH
PPS tables are no longer published in
the Federal Register. Instead, these
tables, generally, will be available only
through the internet. The IPPS tables for
this FY 2020 proposed rule are available
through the internet on the CMS website
at: https://www.cms.hhs.gov/Medicare/
Medicare-Fee-for-Service-Payment/
AcuteInpatientPPS/. Click on
the link on the left side of the screen
titled, ‘‘FY 2020 IPPS Proposed Rule
Home Page’’ or ‘‘Acute Inpatient—Files
for Download.’’ The LTCH PPS tables
for this FY 2020 proposed rule are
available through the internet on the
CMS website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/LongTermCareHospitalPPS/
index.html under the list item for
Regulation Number CMS–1716–P. For
further details on the contents of the
tables referenced in this proposed rule,
we refer readers to section VI. of the
Addendum to this proposed rule.
Readers who experience any problems
accessing any of the tables that are
posted on the CMS websites identified
above should contact Michael Treitel at
(410) 786–4552.
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Table of Contents
I. Executive Summary and Background
A. Executive Summary
B. Background Summary
C. Summary of Provisions of Recent
Legislation Implemented in This
Proposed Rule
D. Summary of the Provisions of This
Proposed Rule
E. Advancing Health Information Exchange
II. Proposed Changes to Medicare Severity
Diagnosis-Related Group (MS–DRG)
Classifications and Relative Weights
A. Background
B. MS–DRG Reclassifications
C. Adoption of the MS–DRGs in FY 2008
D. Proposed FY 2020 MS–DRG
Documentation and Coding Adjustment
E. Refinement of the MS–DRG Relative
Weight Calculation
F. Proposed Changes to Specific MS–DRG
Classifications
G. Recalibration of the Proposed FY 2020
MS–DRG Relative Weights
H. Proposed Add-On Payments for New
Services and Technologies for FY 2020
III. Proposed Changes to the Hospital Wage
Index for Acute Care Hospitals
A. Background
B. Worksheet S–3 Wage Data for the
Proposed FY 2020 Wage Index
C. Verification of Worksheet S–3 Wage
Data
D. Method for Computing the Proposed FY
2020 Unadjusted Wage Index
E. Proposed Occupational Mix Adjustment
to the Proposed FY 2020 Wage Index
F. Analysis and Implementation of the
Proposed Occupational Mix Adjustment
and the Proposed FY 2020 Occupational
Mix Adjusted Wage Index
G. Proposed Application of the Rural Floor,
Expired Imputed Floor Policy, and
Proposed Application of the State
Frontier Floor
H. Proposed FY 2020 Wage Index Tables
I. Proposed Revisions to the Wage Index
Based on Hospital Redesignations and
Reclassifications
J. Proposed Out-Migration Adjustment
Based on Commuting Patterns of
Hospital Employees
K. Reclassification from Urban to Rural
Under Section 1886(d)(8)(E) of the Act
Implemented at 42 CFR 412.103
L. Process for Requests for Wage Index
Data Corrections
M. Proposed Labor-Related Share for the
FY 2020 Wage Index
N. Proposals to Address Wage Index
Disparities Between High and Low Wage
Index Hospitals
IV. Other Decisions and Proposed Changes to
the IPPS for Operating Costs
A. Proposed Changes to MS–DRGs Subject
to Postacute Care Transfer and MS–DRG
Special Payment Policies
B. Proposed Changes in the Inpatient
Hospital Updates for FY 2020
(§ 412.64(d))
C. Proposed Rural Referral Centers (RRCs)
Annual Updates to Case-Mix Index and
Discharge Criteria (§ 412.96)
D. Proposed Payment Adjustment for LowVolume Hospitals (§ 412.101)
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E. Proposed Indirect Medical Education
(IME) Payment Adjustment (§ 412.105)
F. Proposed Payment Adjustment for
Medicare Disproportionate Share
Hospitals (DSHs) for FY 2020 (§ 412.106)
G. Hospital Readmissions Reduction
Program: Proposed Updates and Changes
(§§ 412.150 through 412.154)
H. Hospital Value-Based Purchasing (VBP)
Program: Proposed Policy Changes
I. Hospital-Acquired Condition (HAC)
Reduction Program
J. Payments for Indirect and Direct
Graduate Medical Education Costs
(§§ 412.105 and 413.75 through 413.83)
K. Rural Community Hospital
Demonstration Program
V. Proposed Changes to the IPPS for CapitalRelated Costs
A. Overview
B. Additional Provisions
C. Proposed Annual Update for FY 2020
VI. Proposed Changes for Hospitals Excluded
From the IPPS
A. Proposed Rate-of-Increase in Payments
to Excluded Hospitals for FY 2020
B. Request for Public Comments on
Methodologies and Requirements for
Adjustments to Rate-of-Increase Ceiling
C. Critical Access Hospitals (CAHs)
VII. Proposed Changes to the Long-Term Care
Hospital Prospective Payment System
(LTCH PPS) for FY 2019
A. Background of the LTCH PPS
B. Proposed Medicare Severity Long-Term
Care Diagnosis-Related Group (MS–LTC–
DRG) Classifications and Relative
Weights for FY 2020
C. Proposed Payment Adjustment for LTCH
Discharges That Do Not Meet the
Applicable Discharge Payment
Percentage
D. Proposed Changes to the LTCH PPS
Payment Rates and Other Proposed
Changes to the LTCH PPS for FY 2020
VIII. Proposed Quality Data Reporting
Requirements for Specific Providers and
Suppliers
A. Hospital Inpatient Quality Reporting
(IQR) Program
B. PPS-Exempt Cancer Hospital Quality
Reporting (PCHQR) Program
C. Long-Term Care Hospital Quality
Reporting Program (LTCH QRP)
D. Proposed Changes to the Medicare and
Medicaid Promoting Interoperability
Programs
IX. MedPAC Recommendations
X. Other Required Information
A. Publicly Available Data
B. Collection of Information Requirements
C. Response to Public Comments
XI. Provider Reimbursement Review Board
(PRRB) Appeals
Regulation Text
Addendum—Proposed Schedule of
Standardized Amounts, Update Factors, and
Rate-of-Increase Percentages Effective With
Cost Reporting Periods Beginning on or After
October 1, 2019 and Proposed Payment
Rates for LTCHs Effective With Discharges
Occurring on or After October 1, 2019
I. Summary and Background
II. Proposed Changes to the Prospective
Payment Rates for Hospital Inpatient
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Operating Costs for Acute Care Hospitals
for FY 2020
A. Calculation of the Proposed Adjusted
Standardized Amount
B. Proposed Adjustments for Area Wage
Levels and Cost-of-Living
C. Calculation of the Proposed Prospective
Payment Rates
III. Proposed Changes to Payment Rates for
Acute Care Hospital Inpatient CapitalRelated Costs for FY 2020
A. Determination of Proposed Federal
Hospital Inpatient Capital-Related
Prospective Payment Rate Update
B. Calculation of the Proposed Inpatient
Capital-Related Prospective Payments for
FY 2020
C. Capital Input Price Index
IV. Proposed Changes to Payment Rates for
Excluded Hospitals: Rate-of-Increase
Percentages for FY 2020
V. Proposed Updates to the Payment Rates
for the LTCH PPS for FY 2020
A. Proposed LTCH PPS Standard Federal
Payment Rate for FY 2020
B. Proposed Adjustment for Area Wage
Levels Under the LTCH PPS for FY 2020
C. Proposed LTCH PPS Cost-of-Living
Adjustment (COLA) for LTCHs Located
in Alaska and Hawaii
D. Proposed Adjustment for LTCH PPS
High-Cost Outlier (HCO) Cases
E. Proposed Update to the IPPS
Comparable/Equivalent Amounts to
Reflect the Statutory Changes to the IPPS
DSH Payment Adjustment Methodology
F. Computing the Proposed Adjusted LTCH
PPS Federal Prospective Payments for
FY 2020
VI. Tables Referenced in This Proposed Rule
and Available Through the Internet on
the CMS Website
Appendix A—Economic Analyses
I. Regulatory Impact Analysis
A. Statement of Need
B. Overall Impact
C. Objectives of the IPPS and the LTCH
PPS
D. Limitations of Our Analysis
E. Hospitals Included in and Excluded
From the IPPS
F. Effects on Hospitals and Hospital Units
Excluded From the IPPS
G. Quantitative Effects of the Proposed
Policy Changes Under the IPPS for
Operating Costs
H. Effects of Other Proposed Policy
Changes
I. Effects of Proposed Changes in the
Capital IPPS
J. Effects of Proposed Payment Rate
Changes and Policy Changes Under the
LTCH PPS
K. Effects of Proposed Requirements for
Hospital Inpatient Quality Reporting
(IQR) Program
L. Effects of Proposed Requirements for the
PPS-Exempt Cancer Hospital Quality
Reporting (PCHQR) Program
M. Effects of Proposed Requirements for
the Long-Term Care Hospital Quality
Reporting Program (LTCH QRP)
N. Effects of Proposed Requirements
Regarding the Medicare Promoting
Interoperability Program
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O. Alternatives Considered
P. Reducing Regulation and Controlling
Regulatory Costs
Q. Overall Conclusion
R. Regulatory Review Costs
II. Accounting Statements and Tables
A. Acute Care Hospitals
B. LTCHs
III. Regulatory Flexibility Act (RFA) Analysis
IV. Impact on Small Rural Hospitals
V. Unfunded Mandate Reform Act (UMRA)
Analysis
VI. Executive Order 13175
VII. Executive Order 12866
Appendix B: Recommendation of Update
Factors for Operating Cost Rates of Payment
for Inpatient Hospital Services
I. Background
II. Proposed Inpatient Hospital Update for FY
2020
A. Proposed FY 2020 Inpatient Hospital
Update
B. Proposed Update for SCHs and MDHs
for FY 2020
C. Proposed FY 2020 Puerto Rico Hospital
Update
D. Proposed Update for Hospitals Excluded
From the IPPS
E. Proposed Update for LTCHs for FY 2020
III. Secretary’s Recommendation
IV. MedPAC Recommendation for Assessing
Payment Adequacy and Updating
Payments in Traditional Medicare
I. Executive Summary and Background
A. Executive Summary
1. Purpose and Legal Authority
This proposed rule would make
payment and policy changes under the
Medicare inpatient prospective payment
systems (IPPS) for operating and capitalrelated costs of acute care hospitals as
well as for certain hospitals and hospital
units excluded from the IPPS. In
addition, it would make payment and
policy changes for inpatient hospital
services provided by long-term care
hospitals (LTCHs) under the long-term
care hospital prospective payment
system (LTCH PPS). This proposed rule
also would make policy changes to
programs associated with Medicare IPPS
hospitals, IPPS-excluded hospitals, and
LTCHs. In this proposed rule, we are
including proposals to address wage
index disparities between high and low
wage index hospitals; to provide for an
alternative IPPS new technology add-on
payment pathway for certain
transformative new devices; and to
revise the calculation of the IPPS new
technology add-on payment. In
addition, we are requesting public
comments on the substantial clinical
improvement criterion for evaluating
applications for both the IPPS new
technology add-on payment and the
OPPS transitional pass-through payment
for devices, and we discuss potential
revisions that we are considering
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adopting as final policies related to the
substantial clinical improvement
criterion for FY 2020 for IPPS and CY
2020 for the OPPS.
We are proposing to establish new
requirements and revise existing
requirements for quality reporting by
specific providers (acute care hospitals,
PPS-exempt cancer hospitals, and
LTCHs) that are participating in
Medicare. We also are proposing to
establish new requirements and revise
existing requirements for eligible
hospitals and CAHs participating in the
Medicare and Medicaid Promoting
Interoperability Programs. We are
proposing to update policies for the
Hospital Value-Based Purchasing (VBP)
Program, the Hospital Readmissions
Reduction Program, and the HospitalAcquired Condition (HAC) Reduction
Program.
Under various statutory authorities,
we are proposing to make changes to the
Medicare IPPS, to the LTCH PPS, and to
other related payment methodologies
and programs for FY 2020 and
subsequent fiscal years. These statutory
authorities include, but are not limited
to, the following:
• Section 1886(d) of the Social
Security Act (the Act), which sets forth
a system of payment for the operating
costs of acute care hospital inpatient
stays under Medicare Part A (Hospital
Insurance) based on prospectively set
rates. Section 1886(g) of the Act requires
that, instead of paying for capital-related
costs of inpatient hospital services on a
reasonable cost basis, the Secretary use
a prospective payment system (PPS).
• Section 1886(d)(1)(B) of the Act,
which specifies that certain hospitals
and hospital units are excluded from the
IPPS. These hospitals and units are:
Rehabilitation hospitals and units;
LTCHs; psychiatric hospitals and units;
children’s hospitals; cancer hospitals;
extended neoplastic disease care
hospitals, and hospitals located outside
the 50 States, the District of Columbia,
and Puerto Rico (that is, hospitals
located in the U.S. Virgin Islands,
Guam, the Northern Mariana Islands,
and American Samoa). Religious
nonmedical health care institutions
(RNHCIs) are also excluded from the
IPPS.
• Sections 123(a) and (c) of the BBRA
(Pub. L. 106–113) and section 307(b)(1)
of the BIPA (Pub. L. 106–554) (as
codified under section 1886(m)(1) of the
Act), which provide for the
development and implementation of a
prospective payment system for
payment for inpatient hospital services
of LTCHs described in section
1886(d)(1)(B)(iv) of the Act.
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• Sections 1814(l), 1820, and 1834(g)
of the Act, which specify that payments
are made to critical access hospitals
(CAHs) (that is, rural hospitals or
facilities that meet certain statutory
requirements) for inpatient and
outpatient services and that these
payments are generally based on 101
percent of reasonable cost.
• Section 1866(k) of the Act, which
establishes a quality reporting program
for hospitals described in section
1886(d)(1)(B)(v) of the Act, referred to as
‘‘PPS-exempt cancer hospitals.’’
• Section 1886(a)(4) of the Act, which
specifies that costs of approved
educational activities are excluded from
the operating costs of inpatient hospital
services. Hospitals with approved
graduate medical education (GME)
programs are paid for the direct costs of
GME in accordance with section 1886(h)
of the Act.
• Section 1886(b)(3)(B)(viii) of the
Act, which requires the Secretary to
reduce the applicable percentage
increase that would otherwise apply to
the standardized amount applicable to a
subsection (d) hospital for discharges
occurring in a fiscal year if the hospital
does not submit data on measures in a
form and manner, and at a time,
specified by the Secretary.
• Section 1886(o) of the Act, which
requires the Secretary to establish a
Hospital Value-Based Purchasing (VBP)
Program, under which value-based
incentive payments are made in a fiscal
year to hospitals meeting performance
standards established for a performance
period for such fiscal year.
• Section 1886(p) of the Act, which
establishes a Hospital-Acquired
Condition (HAC) Reduction Program,
under which payments to applicable
hospitals are adjusted to provide an
incentive to reduce hospital-acquired
conditions.
• Section 1886(q) of the Act, as
amended by section 15002 of the 21st
Century Cures Act, which establishes
the Hospital Readmissions Reduction
Program. Under the program, payments
for discharges from an applicable
hospital as defined under section
1886(d) of the Act will be reduced to
account for certain excess readmissions.
Section 15002 of the 21st Century Cures
Act requires the Secretary to compare
hospitals with respect to the number of
their Medicare-Medicaid dual-eligible
beneficiaries (dual-eligibles) in
determining the extent of excess
readmissions.
• Section 1886(r) of the Act, as added
by section 3133 of the Affordable Care
Act, which provides for a reduction to
disproportionate share hospital (DSH)
payments under section 1886(d)(5)(F) of
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the Act and for a new uncompensated
care payment to eligible hospitals.
Specifically, section 1886(r) of the Act
requires that, for fiscal year 2014 and
each subsequent fiscal year, subsection
(d) hospitals that would otherwise
receive a DSH payment made under
section 1886(d)(5)(F) of the Act will
receive two separate payments: (1) 25
percent of the amount they previously
would have received under section
1886(d)(5)(F) of the Act for DSH (‘‘the
empirically justified amount’’), and (2)
an additional payment for the DSH
hospital’s proportion of uncompensated
care, determined as the product of three
factors. These three factors are: (1) 75
percent of the payments that would
otherwise be made under section
1886(d)(5)(F) of the Act; (2) 1 minus the
percent change in the percent of
individuals who are uninsured; and (3)
a hospital’s uncompensated care
amount relative to the uncompensated
care amount of all DSH hospitals
expressed as a percentage.
• Section 1886(m)(6) of the Act, as
added by section 1206(a)(1) of the
Pathway for Sustainable Growth Rate
(SGR) Reform Act of 2013 (Pub. L. 113–
67) and amended by section 51005(a) of
the Bipartisan Budget Act of 2018 (Pub.
L. 115–123), which provided for the
establishment of site neutral payment
rate criteria under the LTCH PPS, with
implementation beginning in FY 2016,
and provides for a 4-year transitional
blended payment rate for discharges
occurring in LTCH cost reporting
periods beginning in FYs 2016 through
2019. Section 51005(b) of the Bipartisan
Budget Act of 2018 amended section
1886(m)(6)(B) by adding new clause (iv),
which specifies that the IPPS
comparable amount defined in clause
(ii)(I) shall be reduced by 4.6 percent for
FYs 2018 through 2026.
• Section 1886(m)(5)(D)(iv) of the
Act, as added by section 1206(c) of the
Pathway for Sustainable Growth Rate
(SGR) Reform Act of 2013 (Pub. L. 113–
67), which provides for the
establishment of a functional status
quality measure in the LTCH QRP for
change in mobility among inpatients
requiring ventilator support.
• Section 1899B of the Act, as added
by section 2(a) of the Improving
Medicare Post-Acute Care
Transformation Act of 2014 (IMPACT
Act) (Pub. L. 113–185), which provides
for the establishment of standardized
data reporting for certain post-acute care
providers, including LTCHs.
2. Summary of the Major Provisions
Below we provide a summary of the
major provisions in this proposed rule.
In general, these major provisions are
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19161
being proposed as part of the annual
update to the payment policies and
payment rates, consistent with the
applicable statutory provisions. A
general summary of the proposed
changes in this proposed rule is
presented in section I.D. of the preamble
of this proposed rule.
a. Proposed MS–DRG Documentation
and Coding Adjustment
Section 631 of the American Taxpayer
Relief Act of 2012 (ATRA, Pub. L. 112–
240) amended section 7(b)(1)(B) of
Public Law 110–90 to require the
Secretary to make a recoupment
adjustment to the standardized amount
of Medicare payments to acute care
hospitals to account for changes in MS–
DRG documentation and coding that do
not reflect real changes in case-mix,
totaling $11 billion over a 4-year period
of FYs 2014, 2015, 2016, and 2017. The
FY 2014 through FY 2017 adjustments
represented the amount of the increase
in aggregate payments as a result of not
completing the prospective adjustment
authorized under section 7(b)(1)(A) of
Public Law 110–90 until FY 2013. Prior
to the ATRA, this amount could not
have been recovered under Public Law
110 90. Section 414 of the Medicare
Access and CHIP Reauthorization Act of
2015 (MACRA) (Pub. L. 114–10)
replaced the single positive adjustment
we intended to make in FY 2018 with
a 0.5 percent positive adjustment to the
standardized amount of Medicare
payments to acute care hospitals for FYs
2018 through 2023. (The FY 2018
adjustment was subsequently adjusted
to 0.4588 percent by section 15005 of
the 21st Century Cures Act.) Therefore,
for FY 2020, we are proposing to make
an adjustment of + 0.5 percent to the
standardized amount.
b. Request for Information on the New
Technology Add-On Payment and
Transitional Device Pass-Through
Payment Substantial Clinical
Improvement Criterion and Discussion
of Potential Revisions to the New
Technology Add-On Payment and
Transitional Device Pass-Through
Payment Substantial Clinical
Improvement Criterion
The substantial clinical improvement
criterion that is used to evaluate a
technology that is the subject of an
application for the new technology addon payment under the IPPS or an
application for the transitional passthrough payment for additional costs of
innovative devices under the OPPS is
the subject of the request for
information and the discussion of
potential revisions included in this
proposed rule.
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We understand that greater clarity
regarding what would substantiate the
requirements of this criterion would
help the public, including innovators,
better understand how CMS evaluates
new technology applications for add-on
payments and provide greater
predictability about which applications
will meet the criterion for substantial
clinical improvement. We are
considering potential revisions to the
substantial clinical improvement
criterion under the IPPS new technology
add-on payment policy and the OPPS
transitional pass-through payment
policy for devices policy, and are
seeking public comments on the type of
additional detail and guidance that the
public and applicants for new
technology add-on payments would find
useful. The comments we receive in
response to those general questions will
inform future rulemaking after the FY
2020 IPPS/LTCH PPS final rule. This
request for public comments is intended
to be broad in scope and provide a
foundation for potential rulemaking in
future years.
In addition to this broad request for
public comments for potential
rulemaking in future years, in order to
respond to stakeholder feedback
requesting greater understanding of
CMS’ approach to evaluating substantial
clinical improvement, we are soliciting
public comments on specific changes or
clarifications to the IPPS and OPPS
substantial clinical improvement
criterion that CMS might consider
making in the FY 2020 IPPS/LTCH PPS
final rule for applications received
beginning in FY 2020 for the IPPS and
CY 2020 for the OPPS to provide greater
clarity and predictability.
c. Proposed Alternative Inpatient New
Technology Add-On Payment Pathway
for Transformative New Devices
After consideration of the issues
discussed in section III.H.8. of the
preamble of this proposed rule relating
to the Food and Drug Administration’s
(FDA’s) expedited programs, and
consistent with the Administration’s
commitment to addressing barriers to
health care innovation and ensuring that
Medicare beneficiaries have access to
critical and life-saving new cures and
technologies that improve beneficiary
health outcomes, we concluded that it
would be appropriate to develop an
alternative pathway for the inpatient
new technology add-on payment for
transformative medical devices. In
situations where a new medical device
is part of the FDA’s Breakthrough
Devices Program and has received FDA
marketing authorization (that is, the
device has received pre-market approval
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(PMA); 510(k) clearance; or the granting
of a De Novo classification request), we
are proposing an alternative inpatient
new technology add-on payment
pathway to facilitate access to this
technology for Medicare beneficiaries.
Specifically, we are proposing that,
for applications received for IPPS new
technology add-on payments for FY
2021 and subsequent fiscal years, if a
medical device is part of the FDA’s
Breakthrough Devices Program and
received FDA marketing authorization,
such a device would be considered new
and not substantially similar to an
existing technology for purposes of new
technology add-on payment under the
IPPS. In light of the criteria applied
under the FDA’s Breakthrough Devices
Program, and because the technology
may not have a sufficient evidence base
to demonstrate substantial clinical
improvement at the time of FDA
marketing authorization, we also are
proposing that the medical device
would not need to meet the requirement
under 42 CFR 412.87(b)(1) that it
represent an advance that substantially
improves, relative to technologies
previously available, the diagnosis or
treatment of Medicare beneficiaries.
d. Proposed Revision of the Calculation
of the Inpatient Hospital New
Technology Add-On Payment
The current calculation of the new
technology add-on payment is based on
the cost to hospitals for the new medical
service or technology. Under § 412.88, if
the costs of the discharge (determined
by applying cost-to-charge ratios (CCRs)
as described in § 412.84(h)) exceed the
full DRG payment (including payments
for IME and DSH, but excluding outlier
payments), Medicare will make an addon payment equal to the lesser of: (1) 50
percent of the costs of the new medical
service or technology; or (2) 50 percent
of the amount by which the costs of the
case exceed the standard DRG payment.
Unless the discharge qualifies for an
outlier payment, the additional
Medicare payment is limited to the full
MS–DRG payment plus 50 percent of
the estimated costs of the new
technology or medical service.
After consideration of the concerns
raised by commenters and other
stakeholders, we agree that there may be
merit to the recommendations to
increase the maximum add-on amount,
and that capping the add-on payment
amount at 50 percent could, in some
cases, no longer provide a sufficient
incentive for the use of new technology.
To address this issue, we believe it
would be appropriate to modify the
current payment mechanism to increase
the amount of the maximum add-on
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payment amount to 65 percent.
Therefore, we are proposing that,
beginning with discharges occurring on
or after October 1, 2019, if the costs of
a discharge involving a new medical
service or technology exceed the full
DRG payment (including payments for
IME and DSH, but excluding outlier
payments), Medicare would make an
add-on payment equal to the lesser of:
(1) 65 percent of the costs of the new
medical service or technology; or (2) 65
percent of the amount by which the
costs of the case exceed the standard
DRG payment.
e. Proposals To Address Wage Index
Disparities Between High and Low
Wage Index Hospitals
In the FY 2019 IPPS/LTCH PPS
proposed rule (83 FR 20372), we invited
the public to submit further comments,
suggestions, and recommendations for
regulatory and policy changes to the
Medicare wage index. Many of the
responses received from this request for
information (RFI) reflect a common
concern that the current wage index
system perpetuates and exacerbates the
disparities between high and low wage
index hospitals. Many respondents also
expressed concern that the calculation
of the rural floor has allowed a limited
number of States to manipulate the
wage index system to achieve higher
wages for many urban hospitals in those
States at the expense of hospitals in
other States, which also contributes to
wage index disparities.
To help mitigate these wage index
disparities, including those resulting
from the inclusion of hospitals with
rural reclassifications under 42 CFR
412.103 in the rural floor, we are
proposing to reduce the disparity
between high and low wage index
hospitals by increasing the wage index
values for certain hospitals with low
wage index values and decreasing the
wage index values for certain hospitals
with high wage index values for budget
neutrality purposes, as well as changing
the calculation of the rural floor. We
also are proposing a transition for
hospitals experiencing significant
decreases in their wage index values as
a result of these proposed changes. We
are proposing to make these changes in
a budget neutral manner.
In this proposed rule, we are
proposing to increase the wage index for
hospitals with a wage index value below
the 25th percentile wage index value for
a fiscal year by half the difference
between the otherwise applicable final
wage index value for a year for that
hospital and the 25th percentile wage
index value for that year across all
hospitals. Furthermore, we are
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proposing that this policy would be
effective for at least 4 years, beginning
in FY 2020, in order to allow employee
compensation increases implemented
by these hospitals sufficient time to be
reflected in the wage index calculation.
Under our proposal, in order to offset
the estimated increase in IPPS payments
to hospitals with wage index values
below the 25th percentile wage index
value, we are proposing to decrease the
wage index values for certain hospitals
with high wage index values (that is,
hospitals with wage index values above
the 75th percentile wage index value),
but preserve the rank order among those
values.
In addition, we are proposing to
remove urban to rural reclassifications
from the calculation of the rural floor,
such that, beginning in FY 2020, the
rural floor would be calculated without
including the wage data of hospitals that
have reclassified as rural under section
1886(d)(8)(E) of the Act (as
implemented in the regulations at
§ 412.103). Also, for the purposes of
applying the provisions of section
1886(d)(8)(C)(iii) of the Act, we are
proposing to remove urban to rural
reclassifications from the calculation of
‘‘the wage index for rural areas in the
State in which the county is located’’ as
referred to in the statute.
Lastly, for FY 2020, we are proposing
to place a 5-percent cap on any decrease
in a hospital’s wage index from the
hospital’s final wage index in FY 2019.
We are proposing to apply a budget
neutrality adjustment to the
standardized amount so that our
proposed transition for hospitals that
could be negatively impacted is
implemented in a budget neutral
manner.
f. Proposed DSH Payment Adjustment
and Additional Payment for
Uncompensated Care
Section 3133 of the Affordable Care
Act modified the Medicare
disproportionate share hospital (DSH)
payment methodology beginning in FY
2014. Under section 1886(r) of the Act,
which was added by section 3133 of the
Affordable Care Act, starting in FY
2014, DSHs receive 25 percent of the
amount they previously would have
received under the statutory formula for
Medicare DSH payments in section
1886(d)(5)(F) of the Act. The remaining
amount, equal to 75 percent of the
amount that otherwise would have been
paid as Medicare DSH payments, is paid
as additional payments after the amount
is reduced for changes in the percentage
of individuals that are uninsured. Each
Medicare DSH will receive an
additional payment based on its share of
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the total amount of uncompensated care
for all Medicare DSHs for a given time
period.
In this FY 2020 IPPS/LTCH PPS
proposed rule, we are proposing to
update our estimates of the three factors
used to determine uncompensated care
payments for FY 2020. We are
proposing to continue to use uninsured
estimates produced by CMS’ Office of
the Actuary (OACT) as part of the
development of the National Health
Expenditure Accounts (NHEA) in the
calculation of Factor 2. We also are
proposing to use a single year of data on
uncompensated care costs from
Worksheet S–10 for FY 2015 to
determine Factor 3 for FY 2020. We also
are seeking public comments on
whether we should, due to changes in
the reporting instructions that became
effective for FY 2017, alternatively use
a single year of Worksheet S–10 data
from the FY 2017 cost reports, instead
of the FY 2015 Worksheet S–10 data, to
calculate Factor 3 for FY 2020. In
addition, we are proposing to continue
to use only data regarding low-income
insured days for FY 2013 to determine
the amount of uncompensated care
payments for Puerto Rico hospitals, and
Indian Health Service and Tribal
hospitals. We are not proposing specific
Factor 3 polices for all-inclusive rate
providers for FY 2020. In this proposed
rule, we also are proposing to continue
to use the following established
policies: (1) For providers with multiple
cost reports, beginning in the same
fiscal year, to use the longest cost report
and annualize Medicaid data and
uncompensated care data if a hospital’s
cost report does not equal 12 months of
data; (2) in the rare case where a
provider has multiple cost reports
beginning in the same fiscal year, but
one report also spans the entirety of the
following fiscal year, such that the
hospital has no cost report for that fiscal
year, to use the cost report that spans
both fiscal years for the latter fiscal year;
and (3) to apply statistical trim
methodologies to potentially aberrant
cost-to-charge ratios (CCRs) and
potentially aberrant uncompensated
care costs reported on the Worksheet S–
10.
section 1886(m)(6)(C) of the Act. An
LTCH would be subject to this payment
adjustment if, for cost reporting periods
beginning in FY 2020 and subsequent
fiscal years, the LTCH’s percentage of
Medicare discharges that meet the
criteria for exclusion from the site
neutral payment rate (that is, discharges
paid the LTCH PPS standard Federal
payment rate) of its total number of
Medicare FFS discharges paid under the
LTCH PPS during the cost reporting
period is not at least 50 percent.
g. Proposed Changes to the LTCH PPS
In this proposed rule, we set forth
proposed changes to the LTCH PPS
Federal payment rates, factors, and
other payment rate policies under the
LTCH PPS for FY 2020. We also are
proposing the payment adjustment for
LTCH discharges when the LTCH does
not meet the applicable discharge
payment percentage and a proposed
reinstatement process, as required by
i. Hospital Value-Based Purchasing
(VBP) Program
Section 1886(o) of the Act requires the
Secretary to establish a Hospital VBP
Program under which value-based
incentive payments are made in a fiscal
year to hospitals based on their
performance on measures established
for a performance period for such fiscal
year. In this proposed rule, we are
proposing that the Hospital VBP
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h. Reduction of Hospital Payments for
Excess Readmissions
We are proposing to make changes to
policies for the Hospital Readmissions
Reduction Program, which was
established under section 1886(q) of the
Act, as amended by section 15002 of the
21st Century Cures Act. The Hospital
Readmissions Reduction Program
requires a reduction to a hospital’s base
operating DRG payment to account for
excess readmissions of selected
applicable conditions. For FY 2017 and
subsequent years, the reduction is based
on a hospital’s risk-adjusted
readmission rate during a 3-year period
for acute myocardial infarction (AMI),
heart failure (HF), pneumonia, chronic
obstructive pulmonary disease (COPD),
elective primary total hip arthroplasty/
total knee arthroplasty (THA/TKA), and
coronary artery bypass graft (CABG)
surgery. In this proposed rule, we are
proposing the following policies: (1) A
measure removal policy that aligns with
the removal factor policies previously
adopted in other quality reporting and
quality payment programs; (2) an update
to the Program’s definition of ‘‘dualeligible’’ beginning with the FY 2021
program year to allow for a 1-month
lookback period in data sourced from
the State Medicare Modernization Act
(MMA) files to determine dual-eligible
status for beneficiaries who die in the
month of discharge; (3) a subregulatory
process to address any potential future
nonsubstantive changes to the payment
adjustment factor components; and (4)
an update to the Program’s regulations
at 42 CFR 412.152 and 412.154 to reflect
proposed policies and to codify
additional previously finalized policies.
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Program will use the same data used by
the HAC Reduction Program for
purposes of calculating the Centers for
Disease Control and Prevention (CDC)
National Health Safety Network (NHSN)
Healthcare-Associated Infection (HAI)
measures beginning with CY 2020 data
collection, when the Hospital IQR
Program will no longer collect data on
those measures, and will rely on HAC
Reduction Program validation to ensure
the accuracy of CDC NHSN HAI
measure data used in the Hospital VBP
Program. We also are newly establishing
certain performance standards.
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j. Hospital-Acquired Condition (HAC)
Reduction Program
Section 1886(p) of the Act establishes
an incentive to hospitals to reduce the
incidence of hospital-acquired
conditions by requiring the Secretary to
make an adjustment to payments to
applicable hospitals effective for
discharges beginning on October 1,
2014. This 1-percent payment reduction
applies to hospitals that rank in the
worst-performing quartile (25 percent)
of all applicable hospitals, relative to
the national average, of conditions
acquired during the applicable period
and on all of the hospital’s discharges
for the specified fiscal year. As part of
our agency-wide Patients over
Paperwork and Meaningful Measures
Initiatives, discussed in section I.A.2. of
the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41147 and 41148), we are
proposing to: (1) Adopt a measure
removal policy that aligns with the
removal factor policies previously
adopted in other quality reporting and
quality payment programs; (2) clarify
administrative policies for validation of
the CDC NHSN HAI measures; (3) adopt
the data collection periods for the FY
2022 program year; and (4) update 42
CFR 412.172(f) to reflect policies
finalized in the FY 2019 IPPS/LTCH
PPS final rule.
k. Hospital Inpatient Quality Reporting
(IQR) Program
Under section 1886(b)(3)(B)(viii) of
the Act, subsection (d) hospitals are
required to report data on measures
selected by the Secretary for a fiscal year
in order to receive the full annual
percentage increase that would
otherwise apply to the standardized
amount applicable to discharges
occurring in that fiscal year.
In this proposed rule, we are
proposing to make several changes. We
are proposing to: (1) Adopt two opioidrelated eCQMs (Safe Use of Opioids—
Concurrent Prescribing eCQM (NQF
#3316e) and Hospital Harm—OpioidRelated Adverse Events eCQM)
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beginning with the CY 2021 reporting
period/FY 2023 payment determination;
(2) adopt the Hybrid Hospital-Wide AllCause Readmission (Hybrid HWR)
measure (NQF #2879) in a stepwise
fashion, beginning with two voluntary
reporting periods which would run from
July 1, 2021 through June 30, 2022, and
from July 1, 2022 through June 30, 2023,
before requiring reporting of the
measure for the reporting period that
would run from July 1, 2023 through
June 30, 2024, impacting the FY 2026
payment determination and for
subsequent years; and (3) remove the
Claims-Based Hospital-Wide All-Cause
Unplanned Readmission Measure (NQF
#1789) (HWR claims-only measure)
beginning with the FY 2026 payment
determination. We also are proposing
reporting and submission requirements
for eCQMs, including proposals to: (1)
Extend current eCQM reporting and
submission requirements for both the
CY 2020 reporting period/FY 2022
payment determination and CY 2021
reporting period/FY 2023 payment
determination; (2) change eCQM
reporting and submission requirements
for the CY 2022 reporting period/FY
2024 payment determination, such that
hospitals would be required to report
one, self-selected calendar quarter of
data for three self-selected eCQMs and
the proposed Safe Use of Opioids—
Concurrent Prescribing eCQM (NQF
#3316e), for a total of four eCQMs; and
(3) continue requiring that EHRs be
certified to all available eCQMs used in
the Hospital IQR Program for the CY
2020 reporting period/FY 2022 payment
determination and subsequent years.
These proposals are in alignment with
proposals under the Promoting
Interoperability Program. We also are
proposing reporting and submission
requirements for the Hybrid HWR
measure. In addition, we are seeking
public comments on three measures for
potential future inclusion in the
Hospital IQR Program.
l. Long-Term Care Hospital Quality
Reporting Program (LTCH QRP)
The LTCH QRP is authorized by
section 1886(m)(5) of the Act and
applies to all hospitals certified by
Medicare as long-term care hospitals
(LTCHs). Under the LTCH QRP, the
Secretary must reduce by 2 percentage
points the annual update to the LTCH
PPS standard Federal rate for discharges
for an LTCH during a fiscal year if the
LTCH fails to submit data in accordance
with the LTCH QRP requirements
specified for that fiscal year. As
discussed in section VIII.C. of the
preamble of this proposed rule, we are
proposing to adopt two measures that
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meet the requirements of section
1899B(c)(1)(E) of the Act, modify an
existing measure, and adopt new
standardized patient assessment data
elements that satisfy section 1899B(b) of
the Act. We also are proposing to move
the implementation date of the LTCH
Continuity Assessment Record and
Evaluation Data Set (LTCH CARE Data
Set or LCDS) from April to October to
align with other post-acute care
programs beginning October 1, 2020.
Lastly, we are proposing updates related
to the system used for the submission of
data and related regulations.
m. Medicare and Medicaid Promoting
Interoperability Programs
For purposes of an increased level of
stability, reducing the burden on
eligible hospitals and CAHs, and
clarifying certain existing policies, we
are proposing several changes to the
Medicare Promoting Interoperability
Program. Specifically, we are proposing
to: (1) Eliminate requirement that, for
the FY 2020 payment adjustment year,
for an eligible hospital that has not
successfully demonstrated it is a
meaningful EHR user in a prior year, the
EHR reporting period in CY 2019 must
end before and the eligible hospital
must successfully register for and attest
to meaningful use no later than the
October 1, 2019 deadline; (2) establish
an EHR reporting period of a minimum
of any continuous 90-day period in CY
2021 for new and returning participants
(eligible hospitals and CAHs) in the
Medicare Promoting Interoperability
Program attesting to CMS; (3) require
that the Medicare Promoting
Interoperability Program measure
actions must occur within the EHR
reporting period beginning with the
EHR reporting period in CY 2020; (4)
revise the Query of PDMP measure to
make it an optional measure worth 5
bonus points in CY 2020, remove the
exclusions associated with this measure
in CY 2020, require a yes/no response
instead of a numerator and denominator
for CY 2019 and CY 2020, and clearly
state our intended policy that the
measure is worth a full 5 bonus points
in CY 2019 and CY 2020; (5) change the
maximum points available for the ePrescribing measure to 10 points
beginning in CY 2020, in the event we
finalize the proposed changes to the
Query of PDMP measure; (6) remove the
Verify Opioid Treatment Agreement
measure beginning in CY 2020 and
clearly state our intended policy that
this measure is worth a full 5 bonus
points in CY 2019; and (7) revise the
Support Electronic Referral Loops by
Receiving and Incorporating Health
Information measure to more clearly
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capture the previously established
policy regarding CEHRT use. We are
also proposing to amend our regulations
to incorporate several of these
proposals.
For CQM reporting under the
Medicare and Medicaid Promoting
Interoperability Programs, we are
generally proposing to align our
requirements with requirements under
the Hospital IQR Program. Specifically,
we are proposing to: (1) Adopt two
opioid-related eCQMs (Safe Use of
Opioids—Concurrent Prescribing eCQM
(NQF #3316e) and Hospital Harm—
Opioid-Related Adverse Events eCQM)
beginning with the reporting period in
CY 2021; (2) extend current CQM
reporting and submission requirements
for the reporting periods in CY 2020 and
CY 2021; and (3) establish CQM
reporting and submission requirements
for the reporting period in CY 2022,
which would require all eligible
hospitals and CAHs to report on the
proposed Safe Use of Opioids—
Concurrent Prescribing eCQM (NQF
#3316e) beginning with the reporting
period in CY 2022.
We are seeking public comments on
whether we should consider proposing
to adopt in future rulemaking the
Hybrid Hospital-Wide All-Cause
Readmission (Hybrid HWR) measure
beginning with the reporting period in
CY 2023, a measure which we are
proposing to adopt under the Hospital
IQR Program, and we are seeking
information on a variety of issues
regarding the future direction of the
Medicare and Medicaid Promoting
Interoperability Programs.
3. Summary of Costs and Benefits
• Proposed Adjustment for MS–DRG
Documentation and Coding Changes.
Section 414 of the MACRA replaced the
single positive adjustment we intended
to make in FY 2018 once the
recoupment required by section 631 of
the ATRA was complete with a 0.5
percentage point positive adjustment to
the standardized amount of Medicare
payments to acute care hospitals for FYs
2018 through 2023. (The FY 2018
adjustment was subsequently adjusted
to 0.4588 percentage point by section
15005 of the 21st Century Cures Act.)
For FY 2020, we are proposing to make
an adjustment of +0.5 percentage point
to the standardized amount consistent
with the MACRA.
• Proposed Alternative Inpatient New
Technology Add-On Payment Pathway
for Transformative New Devices: In this
proposed rule, we are proposing an
alternative inpatient new technology
add-on payment pathway for a new
medical device that is part of the FDA
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Breakthrough Devices Program and has
received FDA marketing authorization,
that is, received PMA approval, 510(k)
clearance, or the granting of De Novo
classification request.
Given the relatively recent
introduction of FDA’s Breakthrough
Devices Program, there have not been
any medical devices that were part of
the Breakthrough Devices Program and
received FDA marketing authorization
and for which the applicant applied for
a new technology add-on payment
under the IPPS and was not approved.
Therefore, it is not possible to quantify
the impact of this proposal.
• Proposed Changes to the
Calculation of the Inpatient Hospital
New Technology Add-On Payment: The
current calculation of the new
technology add-on payment is based on
the cost to hospitals for the new medical
service or technology. Under existing
§ 412.88, if the costs of the discharge
exceed the full DRG payment (including
payments for IME and DSH, but
excluding outlier payments), Medicare
makes an add-on payment equal to the
lesser of: (1) 50 percent of the estimated
costs of the new technology or medical
service; or (2) 50 percent of the amount
by which the costs of the case exceed
the standard DRG payment. In this
proposed rule, we are proposing to
modify the current payment mechanism
to increase the amount of the maximum
add-on payment amount to 65 percent.
Therefore, we are proposing that if the
costs of a discharge involving a new
technology exceed the full DRG
payment (including payments for IME
and DSH, but excluding outlier
payments), Medicare would make an
add-on payment equal to the lesser of:
(1) 65 percent of the costs of the new
medical service or technology; or (2) 65
percent of the amount by which the
costs of the case exceed the standard
DRG payment.
We estimate that if we finalize our
proposals for the 9 technologies for
which we are proposing to continue to
make new technology add-on payments
in FY 2020 and if we determine that all
17 of the FY 2020 new technology addon payment applications meet the
specified criteria for new technology
add-on payments for FY 2020, this
proposal, if finalized, would increase
IPPS spending by approximately $110
million in FY 2020.
• Proposed Changes to Address Wage
Index Disparities Between High and Low
Wage Index Hospitals. As discussed in
section III.N. of the preamble of this
proposed rule, to help mitigate wage
index disparities, including those
resulting from the inclusion of hospitals
with rural reclassifications under 42
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19165
CFR 412.103 in the rural floor, we are
proposing to reduce the disparity
between high and low wage index
hospitals by increasing the wage index
values for certain hospitals with low
wage index values and decreasing the
wage index values of certain hospitals
with high wage index values for budget
neutrality purposes, as well as changing
the calculation of the rural floor. We
also are proposing a transition for
hospitals experiencing significant
decreases in their wage index values as
a result of these proposed changes. We
are proposing to make these changes in
a budget neutral manner.
We are proposing to apply a budget
neutrality adjustment to the
standardized amount so that our
proposed transition for hospitals that
could be negatively impacted is
implemented in a budget neutral
manner.
• Proposed Medicare DSH Payment
Adjustment and Additional Payment for
Uncompensated Care. For FY 2020, we
are proposing to update our estimates of
the three factors used to determine
uncompensated care payments. We are
proposing to continue to use uninsured
estimates produced by OACT as part of
the development of the NHEA in the
calculation of Factor 2. We also are
proposing to use a single year of data on
uncompensated care costs from
Worksheet S–10 for FY 2015 to
determine Factor 3 for FY 2020. In
addition, we are seeking public
comments on whether we should, due
to changes in the reporting instructions
that became effective for FY 2017,
alternatively use a single year of
Worksheet S–10 data from the FY 2017
cost reports, instead of the FY 2015
Worksheet S–10 data, to calculate Factor
3 for FY 2020. To determine the amount
of uncompensated care for purposes of
calculating Factor 3 for Puerto Rico
hospitals and Indian Health Service and
Tribal hospitals, we are proposing to
continue to use only data regarding lowincome insured days for FY 2013.
We project that the amount available
to distribute as payments for
uncompensated care for FY 2020 would
increase by approximately $216 million,
as compared to our estimate of the
uncompensated care payments that will
be distributed in FY 2019. The
payments have redistributive effects,
based on a hospital’s uncompensated
care amount relative to the
uncompensated care amount for all
hospitals that are projected to be eligible
to receive Medicare DSH payments, and
the calculated payment amount is not
directly tied to a hospital’s number of
discharges.
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• Proposed Update to the LTCH PPS
Payment Rates and Other Payment
Policies. Based on the best available
data for the 384 LTCHs in our database,
we estimate that the proposed changes
to the payment rates and factors that we
present in the preamble of and
Addendum to this proposed rule, which
reflect the end of the transition of the
statutory application of the site neutral
payment rate and the proposed update
to the LTCH PPS standard Federal
payment rate for FY 2020, would result
in an estimated increase in payments in
FY 2020 of approximately $37 million.
• Proposed Changes to the Hospital
Readmissions Reduction Program. For
FY 2020 and subsequent years, the
reduction is based on a hospital’s riskadjusted readmission rate during a 3year period for acute myocardial
infarction (AMI), heart failure (HF),
pneumonia, chronic obstructive
pulmonary disease (COPD), elective
primary total hip arthroplasty/total knee
arthroplasty (THA/TKA), and coronary
artery bypass graft (CABG) surgery.
Overall, in this proposed rule, we
estimate that 2,599 hospitals would
have their base operating DRG payments
reduced by their determined proxy FY
2020 hospital-specific readmission
adjustment. As a result, we estimate that
the Hospital Readmissions Reduction
Program would save approximately
$550 million in FY 2020.
• Value-Based Incentive Payments
Under the Hospital VBP Program. We
estimate that there would be no net
financial impact to the Hospital VBP
Program for the FY 2020 program year
in the aggregate because, by law, the
amount available for value-based
incentive payments under the program
in a given year must be equal to the total
amount of base operating MS–DRG
payment amount reductions for that
year, as estimated by the Secretary. The
estimated amount of base operating MS–
DRG payment amount reductions for the
FY 2020 program year and, therefore,
the estimated amount available for
value-based incentive payments for FY
2020 discharges is approximately $1.9
billion.
• Proposed Changes to the HAC
Reduction Program. A hospital’s Total
HAC score and its ranking in
comparison to other hospitals in any
given year depend on several different
factors. The FY 2020 program year is the
first year in which we will implement
our equal measure weights scoring
methodology. Any significant impact
due to the HAC Reduction Program
proposed changes for FY 2020,
including which hospitals will receive
the adjustment, would depend on the
actual experience of hospitals in the
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Program. We also are proposing to
update the hourly wage rate associated
with burden for CDC NHSN HAI
validation under the HAC Reduction
Program.
• Proposed Changes to the Hospital
Inpatient Quality Reporting (IQR)
Program. Across 3,300 IPPS hospitals,
we estimate that our proposed changes
for the Hospital IQR Program in this
proposed rule would result in changes
to the information collection burden
compared to previously adopted
requirements. The only proposal that
would affect the information collection
burden for the Hospital IQR Program is
the proposal to adopt the Hybrid
Hospital-Wide All-Cause Readmission
(Hybrid HWR) measure (NQF #2879) in
a stepwise fashion, beginning with two
voluntary reporting periods which
would run from July 1, 2021 through
June 30, 2022, and from July 1, 2022
through June 30, 2023, before requiring
reporting of the measure for the
reporting period that would run from
July 1, 2023 through June 30, 2024,
impacting the FY 2026 payment
determination and for subsequent years.
We estimate that the impact of this
proposed change is a total collection of
information burden increase of 2,211
hours and a total cost increase of
approximately $83,266 for all
participating IPPS hospitals annually.
• Proposed Changes to the Medicare
and Medicaid Promoting
Interoperability Programs. We believe
that, overall, the proposals in this
proposed rule would reduce burden, as
described in detail in section X.B.9. of
the preamble and Appendix A, section
I.N. of this proposed rule.
B. Background Summary
1. Acute Care Hospital Inpatient
Prospective Payment System (IPPS)
Section 1886(d) of the Social Security
Act (the Act) sets forth a system of
payment for the operating costs of acute
care hospital inpatient stays under
Medicare Part A (Hospital Insurance)
based on prospectively set rates. Section
1886(g) of the Act requires the Secretary
to use a prospective payment system
(PPS) to pay for the capital-related costs
of inpatient hospital services for these
‘‘subsection (d) hospitals.’’ Under these
PPSs, Medicare payment for hospital
inpatient operating and capital-related
costs is made at predetermined, specific
rates for each hospital discharge.
Discharges are classified according to a
list of diagnosis-related groups (DRGs).
The base payment rate is comprised of
a standardized amount that is divided
into a labor-related share and a
nonlabor-related share. The labor-
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related share is adjusted by the wage
index applicable to the area where the
hospital is located. If the hospital is
located in Alaska or Hawaii, the
nonlabor-related share is adjusted by a
cost-of-living adjustment factor. This
base payment rate is multiplied by the
DRG relative weight.
If the hospital treats a high percentage
of certain low-income patients, it
receives a percentage add-on payment
applied to the DRG-adjusted base
payment rate. This add-on payment,
known as the disproportionate share
hospital (DSH) adjustment, provides for
a percentage increase in Medicare
payments to hospitals that qualify under
either of two statutory formulas
designed to identify hospitals that serve
a disproportionate share of low-income
patients. For qualifying hospitals, the
amount of this adjustment varies based
on the outcome of the statutory
calculations. The Affordable Care Act
revised the Medicare DSH payment
methodology and provides for a new
additional Medicare payment beginning
on October 1, 2013, that considers the
amount of uncompensated care
furnished by the hospital relative to all
other qualifying hospitals.
If the hospital is training residents in
an approved residency program(s), it
receives a percentage add-on payment
for each case paid under the IPPS,
known as the indirect medical
education (IME) adjustment. This
percentage varies, depending on the
ratio of residents to beds.
Additional payments may be made for
cases that involve new technologies or
medical services that have been
approved for special add-on payments.
To qualify, a new technology or medical
service must demonstrate that it is a
substantial clinical improvement over
technologies or services otherwise
available, and that, absent an add-on
payment, it would be inadequately paid
under the regular DRG payment.
The costs incurred by the hospital for
a case are evaluated to determine
whether the hospital is eligible for an
additional payment as an outlier case.
This additional payment is designed to
protect the hospital from large financial
losses due to unusually expensive cases.
Any eligible outlier payment is added to
the DRG-adjusted base payment rate,
plus any DSH, IME, and new technology
or medical service add-on adjustments.
Although payments to most hospitals
under the IPPS are made on the basis of
the standardized amounts, some
categories of hospitals are paid in whole
or in part based on their hospitalspecific rate, which is determined from
their costs in a base year. For example,
sole community hospitals (SCHs)
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receive the higher of a hospital-specific
rate based on their costs in a base year
(the highest of FY 1982, FY 1987, FY
1996, or FY 2006) or the IPPS Federal
rate based on the standardized amount.
SCHs are the sole source of care in their
areas. Specifically, section
1886(d)(5)(D)(iii) of the Act defines an
SCH as a hospital that is located more
than 35 road miles from another
hospital or that, by reason of factors
such as an isolated location, weather
conditions, travel conditions, or absence
of other like hospitals (as determined by
the Secretary), is the sole source of
hospital inpatient services reasonably
available to Medicare beneficiaries. In
addition, certain rural hospitals
previously designated by the Secretary
as essential access community hospitals
are considered SCHs.
Under current law, the Medicaredependent, small rural hospital (MDH)
program is effective through FY 2022.
Through and including FY 2006, an
MDH received the higher of the Federal
rate or the Federal rate plus 50 percent
of the amount by which the Federal rate
was exceeded by the higher of its FY
1982 or FY 1987 hospital-specific rate.
For discharges occurring on or after
October 1, 2007, but before October 1,
2022, an MDH receives the higher of the
Federal rate or the Federal rate plus 75
percent of the amount by which the
Federal rate is exceeded by the highest
of its FY 1982, FY 1987, or FY 2002
hospital-specific rate. MDHs are a major
source of care for Medicare beneficiaries
in their areas. Section 1886(d)(5)(G)(iv)
of the Act defines an MDH as a hospital
that is located in a rural area (or, as
amended by the Bipartisan Budget Act
of 2018, a hospital located in a State
with no rural area that meets certain
statutory criteria), has not more than
100 beds, is not an SCH, and has a high
percentage of Medicare discharges (not
less than 60 percent of its inpatient days
or discharges in its cost reporting year
beginning in FY 1987 or in two of its
three most recently settled Medicare
cost reporting years).
Section 1886(g) of the Act requires the
Secretary to pay for the capital-related
costs of inpatient hospital services in
accordance with a prospective payment
system established by the Secretary. The
basic methodology for determining
capital prospective payments is set forth
in our regulations at 42 CFR 412.308
and 412.312. Under the capital IPPS,
payments are adjusted by the same DRG
for the case as they are under the
operating IPPS. Capital IPPS payments
are also adjusted for IME and DSH,
similar to the adjustments made under
the operating IPPS. In addition,
hospitals may receive outlier payments
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for those cases that have unusually high
costs.
The existing regulations governing
payments to hospitals under the IPPS
are located in 42 CFR part 412, subparts
A through M.
2. Hospitals and Hospital Units
Excluded From the IPPS
Under section 1886(d)(1)(B) of the
Act, as amended, certain hospitals and
hospital units are excluded from the
IPPS. These hospitals and units are:
Inpatient rehabilitation facility (IRF)
hospitals and units; long-term care
hospitals (LTCHs); psychiatric hospitals
and units; children’s hospitals; cancer
hospitals; extended neoplastic disease
care hospitals, and hospitals located
outside the 50 States, the District of
Columbia, and Puerto Rico (that is,
hospitals located in the U.S. Virgin
Islands, Guam, the Northern Mariana
Islands, and American Samoa).
Religious nonmedical health care
institutions (RNHCIs) are also excluded
from the IPPS. Various sections of the
Balanced Budget Act of 1997 (BBA, Pub.
L. 105–33), the Medicare, Medicaid and
SCHIP [State Children’s Health
Insurance Program] Balanced Budget
Refinement Act of 1999 (BBRA, Pub. L.
106–113), and the Medicare, Medicaid,
and SCHIP Benefits Improvement and
Protection Act of 2000 (BIPA, Pub. L.
106–554) provide for the
implementation of PPSs for IRF
hospitals and units, LTCHs, and
psychiatric hospitals and units (referred
to as inpatient psychiatric facilities
(IPFs)). (We note that the annual
updates to the LTCH PPS are included
along with the IPPS annual update in
this document. Updates to the IRF PPS
and IPF PPS are issued as separate
documents.) Children’s hospitals,
cancer hospitals, hospitals located
outside the 50 States, the District of
Columbia, and Puerto Rico (that is,
hospitals located in the U.S. Virgin
Islands, Guam, the Northern Mariana
Islands, and American Samoa), and
RNHCIs continue to be paid solely
under a reasonable cost-based system,
subject to a rate-of-increase ceiling on
inpatient operating costs. Similarly,
extended neoplastic disease care
hospitals are paid on a reasonable cost
basis, subject to a rate-of-increase
ceiling on inpatient operating costs.
The existing regulations governing
payments to excluded hospitals and
hospital units are located in 42 CFR
parts 412 and 413.
3. Long-Term Care Hospital Prospective
Payment System (LTCH PPS)
The Medicare prospective payment
system (PPS) for LTCHs applies to
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hospitals described in section
1886(d)(1)(B)(iv) of the Act, effective for
cost reporting periods beginning on or
after October 1, 2002. The LTCH PPS
was established under the authority of
sections 123 of the BBRA and section
307(b) of the BIPA (as codified under
section 1886(m)(1) of the Act). During
the 5-year (optional) transition period, a
LTCH’s payment under the PPS was
based on an increasing proportion of the
LTCH Federal rate with a corresponding
decreasing proportion based on
reasonable cost principles. Effective for
cost reporting periods beginning on or
after October 1, 2006 through September
30, 2015 all LTCHs were paid 100
percent of the Federal rate. Section
1206(a) of the Pathway for SGR Reform
Act of 2013 (Pub. L. 113–67) established
the site neutral payment rate under the
LTCH PPS, which made the LTCH PPS
a dual rate payment system beginning in
FY 2016. Under this statute, based on a
rolling effective date that is linked to the
date on which a given LTCH’s Federal
FY 2016 cost reporting period begins,
LTCHs are generally paid for discharges
at the site neutral payment rate unless
the discharge meets the patient criteria
for payment at the LTCH PPS standard
Federal payment rate. The existing
regulations governing payment under
the LTCH PPS are located in 42 CFR
part 412, subpart O. Beginning October
1, 2009, we issue the annual updates to
the LTCH PPS in the same documents
that update the IPPS (73 FR 26797
through 26798).
4. Critical Access Hospitals (CAHs)
Under sections 1814(l), 1820, and
1834(g) of the Act, payments made to
critical access hospitals (CAHs) (that is,
rural hospitals or facilities that meet
certain statutory requirements) for
inpatient and outpatient services are
generally based on 101 percent of
reasonable cost. Reasonable cost is
determined under the provisions of
section 1861(v) of the Act and existing
regulations under 42 CFR part 413.
5. Payments for Graduate Medical
Education (GME)
Under section 1886(a)(4) of the Act,
costs of approved educational activities
are excluded from the operating costs of
inpatient hospital services. Hospitals
with approved graduate medical
education (GME) programs are paid for
the direct costs of GME in accordance
with section 1886(h) of the Act. The
amount of payment for direct GME costs
for a cost reporting period is based on
the hospital’s number of residents in
that period and the hospital’s costs per
resident in a base year. The existing
regulations governing payments to the
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various types of hospitals are located in
42 CFR part 413.
C. Summary of Provisions of Recent
Legislation That Would Be Implemented
in This Proposed Rule
1. Pathway for SGR Reform Act of 2013
(Pub. L. 113–67)
The Pathway for SGR Reform Act of
2013 (Pub. L. 113–67) introduced new
payment rules in the LTCH PPS. Under
section 1206 of this law, discharges in
cost reporting periods beginning on or
after October 1, 2015, under the LTCH
PPS, receive payment under a site
neutral rate unless the discharge meets
certain patient-specific criteria. In this
proposed rule, we are proposing to
continue to update certain policies that
implemented provisions under section
1206 of the Pathway for SGR Reform
Act.
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2. Improving Medicare Post-Acute Care
Transformation Act of 2014 (IMPACT
Act) (Pub. L. 113–185)
The Improving Medicare Post-Acute
Care Transformation Act of 2014
(IMPACT Act) (Pub. L. 113–185),
enacted on October 6, 2014, made a
number of changes that affect the LongTerm Care Hospital Quality Reporting
Program (LTCH QRP). In this proposed
rule, we are proposing to continue to
implement portions of section 1899B of
the Act, as added by section 2(a) of the
IMPACT Act, which, in part, requires
LTCHs, among other post-acute care
providers, to report standardized patient
assessment data, data on quality
measures, and data on resource use and
other measures.
3. The Medicare Access and CHIP
Reauthorization Act of 2015 (Pub. L.
114–10)
Section 414 of the Medicare Access
and CHIP Reauthorization Act of 2015
(MACRA, Pub. L. 114–10) specifies a 0.5
percent positive adjustment to the
standardized amount of Medicare
payments to acute care hospitals for FYs
2018 through 2023. These adjustments
follow the recoupment adjustment to
the standardized amounts under section
1886(d) of the Act based upon the
Secretary’s estimates for discharges
occurring from FYs 2014 through 2017
to fully offset $11 billion, in accordance
with section 631 of the ATRA. The FY
2018 adjustment was subsequently
adjusted to 0.4588 percent by section
15005 of the 21st Century Cures Act.
4. The 21st Century Cures Act (Pub. L.
114–255)
The 21st Century Cures Act (Pub. L.
114–255), enacted on December 13,
2016, contained the following provision
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affecting payments under the Hospital
Readmissions Reduction Program,
which we are proposing to continue to
implement in this proposed rule:
• Section 15002, which amended
section 1886(q)(3) of the Act by adding
subparagraphs (D) and (E), which
requires the Secretary to develop a
methodology for calculating the excess
readmissions adjustment factor for the
Hospital Readmissions Reduction
Program based on cohorts defined by
the percentage of dual-eligible patients
(that is, patients who are eligible for
both Medicare and full-benefit Medicaid
coverage) cared for by a hospital. In this
proposed rule, we are proposing to
continue to implement changes to the
payment adjustment factor to assess
penalties based on a hospital’s
performance, relative to other hospitals
treating a similar proportion of dualeligible patients.
D. Summary of the Provisions of This
Proposed Rule
In this proposed rule, we set forth
proposed payment and policy changes
to the Medicare IPPS for FY 2020
operating costs and capital-related costs
of acute care hospitals and certain
hospitals and hospital units that are
excluded from IPPS. In addition, we set
forth proposed changes to the payment
rates, factors, and other payment and
policy-related changes to programs
associated with payment rate policies
under the LTCH PPS for FY 2020.
Below is a general summary of the
changes that we are proposing to make
in this proposed rule.
1. Proposed Changes to MS–DRG
Classifications and Recalibrations of
Relative Weights
In section II. of the preamble of this
proposed rule, we include—
• Proposed changes to MS–DRG
classifications based on our yearly
review for FY 2020.
• Proposed adjustment to the
standardized amounts under section
1886(d) of the Act for FY 2020 in
accordance with the amendments made
to section 7(b)(1)(B) of Public Law 110–
90 by section 414 of the MACRA.
• Proposed recalibration of the MS–
DRG relative weights.
• A discussion of the proposed FY
2020 status of new technologies
approved for add-on payments for FY
2019 and a presentation of our
evaluation and analysis of the FY 2020
applicants for add-on payments for
high-cost new medical services and
technologies (including public input, as
directed by Pub. L. 108–173, obtained in
a town hall meeting).
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• A request for public comments on
the substantial clinical improvement
criterion used to evaluate applications
for both the IPPS new technology addon payments and the OPPS transitional
pass-through payment for devices, and a
discussion of potential revisions that we
are considering adopting as final
policies related to the substantial
clinical improvement criterion for
applications received beginning in FY
2020 for the IPPS (that is, for FY 2021
and later new technology add-on
payments) and beginning in CY 2020 for
the OPPS.
• A proposed alternative IPPS new
technology add-on payment pathway for
certain transformative new devices.
• Proposed changes to the calculation
of the IPPS new technology add-on
payment.
2. Proposed Changes to the Hospital
Wage Index for Acute Care Hospitals
In section III. of the preamble to this
proposed rule, we are proposing to
make revisions to the wage index for
acute care hospitals and the annual
update of the wage data. Specific issues
addressed include, but are not limited
to, the following:
• The proposed FY 2020 wage index
update using wage data from cost
reporting periods beginning in FY 2016.
• Proposals to address wage index
disparities between high and low wage
index hospitals.
• Calculation, analysis, and
implementation of the proposed
occupational mix adjustment to the
wage index for acute care hospitals for
FY 2020 based on the 2016
Occupational Mix Survey.
• Proposed application of the rural
floor and the frontier State floor.
• Proposed revisions to the wage
index for acute care hospitals, based on
hospital redesignations and
reclassifications under sections
1886(d)(8)(B), (d)(8)(E), and (d)(10) of
the Act.
• Proposed change to Lugar county
assignments.
• Proposed adjustment to the wage
index for acute care hospitals for FY
2020 based on commuting patterns of
hospital employees who reside in a
county and work in a different area with
a higher wage index.
• Proposed labor-related share for the
proposed FY 2020 wage index.
3. Other Decisions and Proposed
Changes to the IPPS for Operating Costs
In section IV. of the preamble of this
proposed rule, we discuss proposed
changes or clarifications of a number of
the provisions of the regulations in 42
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CFR parts 412 and 413, including the
following:
• Proposed changes to MS–DRGs
subject to the postacute care transfer
policy and special payment policy.
• Proposed changes to the inpatient
hospital update for FY 2020.
• Proposed conforming changes to the
regulations for the low-volume hospital
payment adjustment policy.
• Proposed updated national and
regional case-mix values and discharges
for purposes of determining RRC status.
• The statutorily required IME
adjustment factor for FY 2020.
• Proposed changes to the
methodologies for determining
Medicare DSH payments and the
additional payments for uncompensated
care.
• A request for public comments on
PRRB appeals related to a hospital’s
Medicaid fraction in the DSH payment
adjustment calculation.
• Proposed changes to the policies for
payment adjustments under the
Hospital Readmissions Reduction
Program based on hospital readmission
measures and the process for hospital
review and correction of those rates for
FY 2020.
• Proposed changes to the
requirements and provision of valuebased incentive payments under the
Hospital Value-Based Purchasing
Program.
• Proposed requirements for payment
adjustments to hospitals under the HAC
Reduction Program for FY 2020.
• Proposed changes related to CAHs
as nonproviders for direct GME and IME
payment purposes.
• Discussion of and proposals relating
to the implementation of the Rural
Community Hospital Demonstration
Program in FY 2020.
6. Proposed Changes to the LTCH PPS
4. Proposed FY 2020 Policy Governing
the IPPS for Capital-Related Costs
9. Determining Prospective Payment
Operating and Capital Rates and Rate-ofIncrease Limits for Acute Care Hospitals
In section V. of the preamble to this
proposed rule, we discuss the proposed
payment policy requirements for
capital-related costs and capital
payments to hospitals for FY 2020.
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5. Proposed Changes to the Payment
Rates for Certain Excluded Hospitals:
Rate-of-Increase Percentages
In section VI. of the preamble of this
proposed rule, we discuss—
• Proposed changes to payments to
certain excluded hospitals for FY 2020.
• Proposed change related to CAH
payment for ambulance services.
• Proposed continued
implementation of the Frontier
Community Health Integration Project
(FCHIP) Demonstration.
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In section VII. of the preamble of this
proposed rule, we set forth—
• Proposed changes to the LTCH PPS
Federal payment rates, factors, and
other payment rate policies under the
LTCH PPS for FY 2020.
• Proposed payment adjustment for
discharges of LTCHs that do not meet
the applicable discharge payment
percentage.
7. Proposed Changes Relating to Quality
Data Reporting for Specific Providers
and Suppliers
In section VIII. of the preamble of this
proposed rule, we address—
• Proposed requirements for the
Hospital Inpatient Quality Reporting
(IQR) Program.
• Proposed changes to the
requirements for the quality reporting
program for PPS-exempt cancer
hospitals (PCHQR Program).
• Proposed changes to the
requirements under the LTCH Quality
Reporting Program (LTCH QRP).
• Proposed changes to requirements
pertaining to eligible hospitals and
CAHs participating in the Medicare and
Medicaid Promoting Interoperability
Programs.
8. Provider Reimbursement Review
Board Appeals
In section XI. of the preamble of this
proposed rule, we discuss the growing
number of Provider Reimbursement
Review Board appeals made by
providers and the action initiatives that
are being implemented with the goal to:
decrease the number of appeals
submitted; decrease the number of
appeals in inventory; reduce the time to
resolution; and increase customer
satisfaction.
In sections II. and III. of the
Addendum to this proposed rule, we set
forth the proposed changes to the
amounts and factors for determining the
proposed FY 2020 prospective payment
rates for operating costs and capitalrelated costs for acute care hospitals. We
are proposing to establish the threshold
amounts for outlier cases, including a
proposed change to the methodology for
calculating those threshold amounts for
FY 2020 to incorporate a projection of
outlier payment reconciliations. In
addition, in section IV. of the
Addendum to this proposed rule, we
address the update factors for
determining the rate-of-increase limits
for cost reporting periods beginning in
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FY 2020 for certain hospitals excluded
from the IPPS.
10. Determining Prospective Payment
Rates for LTCHs
In section V. of the Addendum to this
proposed rule, we set forth proposed
changes to the amounts and factors for
determining the proposed FY 2020
LTCH PPS standard Federal payment
rate and other factors used to determine
LTCH PPS payments under both the
LTCH PPS standard Federal payment
rate and the site neutral payment rate in
FY 2020. We are proposing to establish
the adjustments for wage levels, the
labor-related share, the cost-of-living
adjustment, and high-cost outliers,
including the applicable fixed-loss
amounts and the LTCH cost-to-charge
ratios (CCRs) for both payment rates.
11. Impact Analysis
In Appendix A of this proposed rule,
we set forth an analysis of the impact
the proposed changes would have on
affected acute care hospitals, CAHs,
LTCHs, and PCHs.
12. Recommendation of Update Factors
for Operating Cost Rates of Payment for
Hospital Inpatient Services
In Appendix B of this proposed rule,
as required by sections 1886(e)(4) and
(e)(5) of the Act, we provide our
recommendations of the appropriate
percentage changes for FY 2020 for the
following:
• A single average standardized
amount for all areas for hospital
inpatient services paid under the IPPS
for operating costs of acute care
hospitals (and hospital-specific rates
applicable to SCHs and MDHs).
• Target rate-of-increase limits to the
allowable operating costs of hospital
inpatient services furnished by certain
hospitals excluded from the IPPS.
• The LTCH PPS standard Federal
payment rate and the site neutral
payment rate for hospital inpatient
services provided for LTCH PPS
discharges.
13. Discussion of Medicare Payment
Advisory Commission
Recommendations
Under section 1805(b) of the Act,
MedPAC is required to submit a report
to Congress, no later than March 15 of
each year, in which MedPAC reviews
and makes recommendations on
Medicare payment policies. MedPAC’s
March 2019 recommendations
concerning hospital inpatient payment
policies addressed the update factor for
hospital inpatient operating costs and
capital-related costs for hospitals under
the IPPS. We address these
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recommendations in Appendix B of this
proposed rule. For further information
relating specifically to the MedPAC
March 2019 report or to obtain a copy
of the report, contact MedPAC at (202)
220–3700 or visit MedPAC’s website at:
https://www.medpac.gov.
E. Advancing Health Information
Exchange
The Department of Health and Human
Services (HHS) has a number of
initiatives designed to encourage and
support the adoption of interoperable
health information technology and to
promote nationwide health information
exchange to improve health care. The
Office of the National Coordinator for
Health Information Technology (ONC)
and CMS work collaboratively to
advance interoperability across settings
of care, including post-acute care.
To further interoperability in postacute care, we developed a Data
Element Library (DEL) to serve as a
publicly available centralized,
authoritative resource for standardized
data elements and their associated
mappings to health IT standards. The
DEL furthers CMS’ goal of data
standardization and interoperability,
which is also a goal of the IMPACT Act.
These interoperable data elements can
reduce provider burden by allowing the
use and exchange of health care data,
support provider exchange of electronic
health information for care
coordination, person-centered care, and
support real-time, data driven, clinical
decision making. Standards in the Data
Element Library (https://del.cms.gov/)
can be referenced on the CMS website
and in the ONC Interoperability
Standards Advisory (ISA). The 2019 ISA
is available at: https://www.healthit.gov/
isa.
The 21st Century Cures Act (the Cures
Act) (Pub. L. 114–255, enacted
December 13, 2016) requires HHS to
take new steps to enable the electronic
sharing of health information ensuring
interoperability for providers and
settings across the care continuum. In
an important provision, Congress
defined ‘‘information blocking’’ as
practices likely to interfere with,
prevent, or materially discourage access,
exchange, or use of electronic health
information, and established new
authority for HHS to discourage these
practices. In March 2019, ONC and CMS
published the proposed rules, ‘‘21st
Century Cures Act: Interoperability,
Information Blocking, and the ONC
Health IT Certification Program’’ (84 FR
7424 through 7610) and
‘‘Interoperability and Patient Access’’
(84 FR 7610 through 7680), to promote
secure and more immediate access to
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health information for patients and
health care providers through the
implementation of information blocking
provisions of the Cures Act and the use
of standardized application
programming interfaces (APIs) that
enable easier access to electronic health
information. These two proposed rules
are open for public comments at:
www.regulations.gov.
We invite providers to learn more
about these important developments
and how they are likely to affect
hospitals paid under the IPPS and the
LTCH PPS.
II. Proposed Changes to Medicare
Severity Diagnosis-Related Group (MS–
DRG) Classifications and Relative
Weights
A. Background
Section 1886(d) of the Act specifies
that the Secretary shall establish a
classification system (referred to as
diagnosis-related groups (DRGs)) for
inpatient discharges and adjust
payments under the IPPS based on
appropriate weighting factors assigned
to each DRG. Therefore, under the IPPS,
Medicare pays for inpatient hospital
services on a rate per discharge basis
that varies according to the DRG to
which a beneficiary’s stay is assigned.
The formula used to calculate payment
for a specific case multiplies an
individual hospital’s payment rate per
case by the weight of the DRG to which
the case is assigned. Each DRG weight
represents the average resources
required to care for cases in that
particular DRG, relative to the average
resources used to treat cases in all
DRGs.
Section 1886(d)(4)(C) of the Act
requires that the Secretary adjust the
DRG classifications and relative weights
at least annually to account for changes
in resource consumption. These
adjustments are made to reflect changes
in treatment patterns, technology, and
any other factors that may change the
relative use of hospital resources.
B. MS–DRG Reclassifications
For general information about the
MS–DRG system, including yearly
reviews and changes to the MS–DRGs,
we refer readers to the previous
discussions in the FY 2010 IPPS/RY
2010 LTCH PPS final rule (74 FR 43764
through 43766) and the FYs 2011
through 2019 IPPS/LTCH PPS final
rules (75 FR 50053 through 50055; 76
FR 51485 through 51487; 77 FR 53273;
78 FR 50512; 79 FR 49871; 80 FR 49342;
81 FR 56787 through 56872; 82 FR
38010 through 38085, and 83 FR 41158
through 41258, respectively).
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C. Adoption of the MS–DRGs in FY 2008
For information on the adoption of
the MS–DRGs in FY 2008, we refer
readers to the FY 2008 IPPS final rule
with comment period (72 FR 47140
through 47189).
D. Proposed FY 2020 MS–DRG
Documentation and Coding Adjustment
1. Background on the Prospective MS–
DRG Documentation and Coding
Adjustments for FY 2008 and FY 2009
Authorized by Public Law 110–90 and
the Recoupment or Repayment
Adjustment Authorized by Section 631
of the American Taxpayer Relief Act of
2012 (ATRA)
In the FY 2008 IPPS final rule with
comment period (72 FR 47140 through
47189), we adopted the MS–DRG
patient classification system for the
IPPS, effective October 1, 2007, to better
recognize severity of illness in Medicare
payment rates for acute care hospitals.
The adoption of the MS–DRG system
resulted in the expansion of the number
of DRGs from 538 in FY 2007 to 745 in
FY 2008. By increasing the number of
MS–DRGs and more fully taking into
account patient severity of illness in
Medicare payment rates for acute care
hospitals, MS–DRGs encourage
hospitals to improve their
documentation and coding of patient
diagnoses.
In the FY 2008 IPPS final rule with
comment period (72 FR 47175 through
47186), we indicated that the adoption
of the MS–DRGs had the potential to
lead to increases in aggregate payments
without a corresponding increase in
actual patient severity of illness due to
the incentives for additional
documentation and coding. In that final
rule with comment period, we exercised
our authority under section
1886(d)(3)(A)(vi) of the Act, which
authorizes us to maintain budget
neutrality by adjusting the national
standardized amount, to eliminate the
estimated effect of changes in coding or
classification that do not reflect real
changes in case-mix. Our actuaries
estimated that maintaining budget
neutrality required an adjustment of
¥4.8 percentage points to the national
standardized amount. We provided for
phasing in this ¥4.8 percentage point
adjustment over 3 years. Specifically,
we established prospective
documentation and coding adjustments
of ¥1.2 percentage points for FY 2008,
¥1.8 percentage points for FY 2009,
and ¥1.8 percentage points for FY
2010.
On September 29, 2007, Congress
enacted the TMA [Transitional Medical
Assistance], Abstinence Education, and
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QI [Qualifying Individuals] Programs
Extension Act of 2007 (Pub. L. 110–90).
Section 7(a) of Public Law 110–90
reduced the documentation and coding
adjustment made as a result of the MS–
DRG system that we adopted in the FY
2008 IPPS final rule with comment
period to ¥0.6 percentage point for FY
2008 and ¥0.9 percentage point for FY
2009.
As discussed in prior year
rulemakings, and most recently in the
FY 2017 IPPS/LTCH PPS final rule (81
FR 56780 through 56782), we
implemented a series of adjustments
required under sections 7(b)(1)(A) and
7(b)(1)(B) of Public Law 110–90, based
on a retrospective review of FY 2008
and FY 2009 claims data. We completed
these adjustments in FY 2013 but
indicated in the FY 2013 IPPS/LTCH
PPS final rule (77 FR 53274 through
53275) that delaying full
implementation of the adjustment
required under section 7(b)(1)(A) of
Public Law 110–90 until FY 2013
resulted in payments in FY 2010
through FY 2012 being overstated, and
that these overpayments could not be
recovered under Public Law 110–90.
In addition, as discussed in prior
rulemakings and most recently in the
FY 2018 IPPS/LTCH PPS final rule (82
FR 38008 through 38009), section 631 of
the ATRA amended section 7(b)(1)(B) of
Public Law 110–90 to require the
Secretary to make a recoupment
adjustment or adjustments totaling $11
billion by FY 2017. This adjustment
represented the amount of the increase
in aggregate payments as a result of not
completing the prospective adjustment
authorized under section 7(b)(1)(A) of
Public Law 110–90 until FY 2013.
on December 13, 2016, amended section
7(b)(1)(B) of the TMA, as amended by
section 631 of the ATRA and section
414 of the MACRA, to reduce the
adjustment for FY 2018 from a 0.5
percentage point positive adjustment to
a 0.4588 percentage point positive
adjustment. As we discussed in the FY
2018 rulemaking, we believe the
directive under section 15005 of Public
Law 114–255 is clear. Therefore, in the
FY 2018 IPPS/LTCH PPS final rule (82
FR 38009) for FY 2018, we implemented
the required +0.4588 percentage point
adjustment to the standardized amount.
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41157), consistent with the
requirements of section 414 of the
MACRA, we implemented a 0.5
percentage point positive adjustment to
the standardized amount for FY 2019.
We indicated that both the FY 2018 and
FY 2019 adjustments were permanent
adjustments to payment rates. We also
stated that we plan to propose future
adjustments required under section 414
of the MACRA for FYs 2020 through
2023 in future rulemaking.
2. Discussion of Policy for FY 2020
Consistent with our established
policy, we are calculating the proposed
MS–DRG relative weights for FY 2020
using two data sources: The MedPAR
file as the claims data source and the
HCRIS as the cost report data source.
We adjust the charges from the claims
to costs by applying the 19 national
average CCRs developed from the cost
reports. The description of the
calculation of the proposed 19 CCRs and
the proposed MS–DRG relative weights
for FY 2020 is included in section II.G.
of the preamble to this FY 2020 IPPS/
LTCH PPS proposed rule. As we did
with the FY 2019 IPPS/LTCH PPS final
rule, for this FY 2020 proposed rule, we
are providing the version of the HCRIS
from which we calculated these
proposed 19 CCRs on the CMS website
at: https://www.cms.gov/Medicare/
Medicare-Fee-for-Service-Payment/
AcuteInpatientPPS/. Click on
the link on the left side of the screen
titled ‘‘FY 2020 IPPS Proposed Rule
Home Page’’ or ‘‘Acute Inpatient Files
for Download.’’
3. Proposed Adjustment for FY 2020
F. Proposed Changes to Specific MS–
DRG Classifications
2. Adjustments Made for FY 2018 and
FY 2019 as Required Under Section 414
of Public Law 114–10 (MACRA) and
Section 15005 of Public Law 114–255
As stated in the FY 2017 IPPS/LTCH
PPS final rule (81 FR 56785), once the
recoupment required under section 631
of the ATRA was complete, we had
anticipated making a single positive
adjustment in FY 2018 to offset the
reductions required to recoup the $11
billion under section 631 of the ATRA.
However, section 414 of the MACRA
(which was enacted on April 16, 2015)
replaced the single positive adjustment
we intended to make in FY 2018 with
a 0.5 percentage point positive
adjustment for each of FYs 2018 through
2023. In the FY 2017 rulemaking, we
indicated that we would address the
adjustments for FY 2018 and later fiscal
years in future rulemaking. Section
15005 of the 21st Century Cures Act
(Pub. L. 114–255), which was enacted
1. Background
Beginning in FY 2007, we
implemented relative weights for DRGs
based on cost report data instead of
charge information. We refer readers to
the FY 2007 IPPS final rule (71 FR
47882) for a detailed discussion of our
final policy for calculating the costbased DRG relative weights and to the
FY 2008 IPPS final rule with comment
period (72 FR 47199) for information on
how we blended relative weights based
on the CMS DRGs and MS–DRGs. We
also refer readers to the FY 2017 IPPS/
LTCH PPS final rule (81 FR 56785
through 56787) for a detailed discussion
of the history of changes to the number
of cost centers used in calculating the
DRG relative weights. Since FY 2014,
we have calculated the IPPS MS–DRG
relative weights using 19 CCRs, which
now include distinct CCRs for
implantable devices, MRIs, CT scans,
and cardiac catheterization.
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Consistent with the requirements of
section 414 of the MACRA, we are
proposing to implement a 0.5
percentage point positive adjustment to
the standardized amount for FY 2020.
This would constitute a permanent
adjustment to payment rates. We plan to
propose future adjustments required
under section 414 of the MACRA for
FYs 2021 through 2023 in future
rulemaking.
E. Refinement of the MS–DRG Relative
Weight Calculation
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1. Discussion of Changes to Coding
System and Basis for Proposed FY 2020
MS–DRG Updates
a. Conversion of MS–DRGs to the
International Classification of Diseases,
10th Revision (ICD–10)
As of October 1, 2015, providers use
the International Classification of
Diseases, 10th Revision (ICD–10) coding
system to report diagnoses and
procedures for Medicare hospital
inpatient services under the MS–DRG
system instead of the ICD–9–CM coding
system, which was used through
September 30, 2015. The ICD–10 coding
system includes the International
Classification of Diseases, 10th
Revision, Clinical Modification (ICD–
10–CM) for diagnosis coding and the
International Classification of Diseases,
10th Revision, Procedure Coding
System (ICD–10–PCS) for inpatient
hospital procedure coding, as well as
the ICD–10–CM and ICD–10–PCS
Official Guidelines for Coding and
Reporting. For a detailed discussion of
the conversion of the MS–DRGs to ICD–
10, we refer readers to the FY 2017
IPPS/LTCH PPS final rule (81 FR 56787
through 56789).
b. Basis for Proposed FY 2020 MS–DRG
Updates
CMS has previously encouraged input
from our stakeholders concerning the
annual IPPS updates when that input
was made available to us by December
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7 of the year prior to the next annual
proposed rule update. As discussed in
the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38010), as we work with the
public to examine the ICD–10 claims
data used for updates to the ICD–10 MS
DRGs, we would like to examine areas
where the MS–DRGs can be improved,
which will require additional time for
us to review requests from the public to
make specific updates, analyze claims
data, and consider any proposed
updates. Given the need for more time
to carefully evaluate requests and
propose updates, we changed the
deadline to request updates to the MS–
DRGs to November 1 of each year. This
will provide an additional 5 weeks for
the data analysis and review process.
Interested parties had to submit any
comments and suggestions for FY 2020
by November 1, 2018, and should
submit any comments and suggestions
for FY 2021 by November 1, 2019 via
the CMS MS–DRG Classification Change
Request Mailbox located at:
MSDRGClassificationChange@
cms.hhs.gov. The comments that were
submitted in a timely manner for FY
2020 are discussed in this section of the
preamble of this proposed rule. As we
discuss in the sections that follow, we
may not be able to fully consider all of
the requests that we receive for the
upcoming fiscal year. We have found
that, with the implementation of ICD–
10, some types of requested changes to
the MS–DRG classifications require
more extensive research to identify and
analyze all of the data that are relevant
to evaluating the potential change. We
note in the discussion that follows those
topics for which further research and
analysis are required, and which we
will continue to consider in connection
with future rulemaking.
Following are the changes that we are
proposing to the MS–DRGs for FY 2020.
We are inviting public comments on
each of the MS–DRG classification
proposed changes, as well as our
proposals to maintain certain existing
MS–DRG classifications discussed in
this proposed rule. In some cases, we
are proposing changes to the MS–DRG
classifications based on our analysis of
claims data and consultation with our
clinical advisors. In other cases, we are
proposing to maintain the existing MS–
DRG classifications based on our
analysis of claims data and consultation
with our clinical advisors. For this FY
2020 IPPS/LTCH PPS proposed rule, our
MS–DRG analysis was based on ICD–10
claims data from the September 2018
update of the FY 2018 MedPAR file,
which contains hospital bills received
through September 30, 2018, for
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discharges occurring through September
30, 2018. In our discussion of the
proposed MS–DRG reclassification
changes, we refer to these claims data as
the ‘‘September 2018 update of the FY
2018 MedPAR file.’’
As explained in previous rulemaking
(76 FR 51487), in deciding whether to
propose to make further modifications
to the MS–DRGs for particular
circumstances brought to our attention,
we consider whether the resource
consumption and clinical characteristics
of the patients with a given set of
conditions are significantly different
than the remaining patients represented
in the MS–DRG. We evaluate patient
care costs using average costs and
lengths of stay and rely on the judgment
of our clinical advisors to determine
whether patients are clinically distinct
or similar to other patients represented
in the MS–DRG. In evaluating resource
costs, we consider both the absolute and
percentage differences in average costs
between the cases we select for review
and the remainder of cases in the MS–
DRG. We also consider variation in costs
within these groups; that is, whether
observed average differences are
consistent across patients or attributable
to cases that are extreme in terms of
costs or length of stay, or both. Further,
we consider the number of patients who
will have a given set of characteristics
and generally prefer not to create a new
MS–DRG unless it would include a
substantial number of cases.
In our examination of the claims data,
we apply the following criteria
established in FY 2008 (72 FR 47169) to
determine if the creation of a new
complication or comorbidity (CC) or
major complication or comorbidity
(MCC) subgroup within a base MS–DRG
is warranted:
• A reduction in variance of costs of
at least 3 percent;
• At least 5 percent of the patients in
the MS–DRG fall within the CC or MCC
subgroup;
• At least 500 cases are in the CC or
MCC subgroup;
• There is at least a 20-percent
difference in average costs between
subgroups; and
• There is a $2,000 difference in
average costs between subgroups.
In order to warrant creation of a CC
or MCC subgroup within a base MS–
DRG, the subgroup must meet all five of
the criteria.
2. Pre-MDC
a. Peripheral ECMO
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41166 through 41169), we
discussed a request we received to
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review cases reporting the use of
extracorporeal membrane oxygenation
(ECMO) in combination with the
insertion of a percutaneous short-term
external heart assist device. We also
noted that a separate request to create a
new ICD–10–PCS procedure code
specifically for percutaneous ECMO was
discussed at the March 6–7, 2018 ICD–
10 Coordination and Maintenance
Committee Meeting for which we
finalized the creation of three new
procedure codes to identify and
describe different types of ECMO
treatments currently being utilized.
These three new procedure codes were
included in the FY 2019 ICD–10–PCS
procedure codes files (which are
available via the internet on the CMS
website at: https://www.cms.gov/
Medicare/Coding/ICD10/2019-ICD-10PCS.html) and were made publicly
available in May 2018. We received
recommendations from commenters on
suggested MS–DRG assignments for the
two new procedure codes that uniquely
identify percutaneous (peripheral)
ECMO, including assignment to MS–
DRG 215 (Other Heart Assist System
Implant), or to Pre-MDC MS–DRG 004
(Tracheostomy with Mechanical
Ventilation >96 Hours or Principal
Diagnosis Except Face, Mouth and Neck
without Major O.R. Procedure)
specifically for the new procedure code
describing percutaneous veno-venous
(VV) ECMO or an alternate MS–DRG
within MDC 4 (Diseases and Disorders
of the Respiratory System). In our
response, we noted that because these
codes were not finalized at the time of
the proposed rule, there were no
proposed MDC or MS–DRG assignments
or O.R. and non-O.R. designations for
these new procedure codes and they
were not reflected in Table 6B.—New
Procedure Codes (which is available via
the internet on the CMS website at:
https://www.cms.hhs.gov/Medicare/
Medicare-Fee-for-Service-Payment/
AcuteInpatientPPS/)
associated with the FY 2019 IPPS/LTCH
PPS proposed rule.
We further noted that, consistent with
our annual process of assigning new
procedure codes to MDCs and MS–
DRGs, and designating a procedure as
an O.R. or non-O.R. procedure, we
reviewed the predecessor procedure
code assignment. For the reasons
discussed in the FY 2019 IPPS/LTCH
PPS final rule, our clinical advisors did
not support assigning the new
procedure codes for the percutaneous
(peripheral) ECMO procedures to the
same MS–DRG as the predecessor code
for open (central) ECMO in pre-MDC
MS–DRG 003.
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Effective with discharges occurring on
and after October 1, 2018, the three
ECMO procedure codes and their
ICD–10–PCS code
corresponding MS–DRG assignments are
as shown in the following table.
Code description
MS–DRG
MS–DRG description
ECMO or Tracheostomy with Mechanical Ventilation >96 Hours or
Principal Diagnosis Except Face, Mouth and Neck with Major
O.R. Procedure.
Respiratory System Diagnosis with Ventilator Support >96 Hours
or Peripheral Extracorporeal Membrane Oxygenation (ECMO).
5A1522F ...............
Extracorporeal Oxygenation,
Membrane, Central.
Pre-MDC ..............
MS–DRG 003 ......
5A1522G ...............
Extracorporeal Oxygenation,
Membrane, Peripheral Venoarterial.
MS–DRG 207 ......
MS–DRG 291 .......
MS–DRG 296 .......
MS–DRG 870 .......
5A1522H ...............
Extracorporeal Oxygenation,
Membrane, Peripheral Venovenous.
MS–DRG 207 ......
MS–DRG 291 .......
MS–DRG 296 .......
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MS–DRG 870 .......
After publication of the FY 2019
IPPS/LTCH PPS final rule, we received
comments and feedback from
stakeholders expressing concern with
the MS–DRG assignments for the two
new procedure codes describing
peripheral ECMO. Specifically, these
stakeholders stated that: (1) The MS–
DRG assignments for ECMO should not
be based on how the patient is
cannulated (open versus peripheral)
because most of the costs for both
central and peripheral ECMO can be
attributed to the severity of illness of the
patient; (2) there was a lack of
opportunity for public comment on the
finalized MS–DRG assignments; (3)
patient access to ECMO treatment and
programs is now at risk because of
inadequate payment; and (4) CMS did
not appear to have access to enough
patient data to evaluate for appropriate
MS–DRG assignment consideration.
They also stated that the new procedure
codes do not account for an open cutdown approach that may be performed
on a peripheral vessel during a
peripheral ECMO procedure. These
stakeholders recommended that,
consistent with the usual process of
assigning new procedure codes to the
same MS–DRG as the predecessor code,
the MS–DRG assignment for peripheral
ECMO procedures should be revised to
allow assignment of peripheral ECMO
procedures to Pre-MDC MS–DRG 003
(ECMO or Tracheostomy with
Mechanical Ventilation >96 Hours or
Principal Diagnosis Except Face, Mouth
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Heart Failure and Shock with MCC or Peripheral Extracorporeal
Membrane Oxygenation (ECMO).
Cardiac Arrest, Unexplained with MCC or Peripheral
Extracorporeal Membrane Oxygenation (ECMO).
Septicemia Or Severe Sepsis with Mechanical Ventilation >96
Hours Or Peripheral Extracorporeal Membrane Oxygenation
(ECMO).
Respiratory System Diagnosis with Ventilator Support >96 Hours
or Peripheral Extracorporeal Membrane Oxygenation (ECMO).
Heart Failure and Shock with MCC or Peripheral Extracorporeal
Membrane Oxygenation (ECMO).
Cardiac Arrest, Unexplained with MCC or Peripheral
Extracorporeal Membrane Oxygenation (ECMO).
Septicemia Or Severe Sepsis with Mechanical Ventilation >96
Hours Or Peripheral Extracorporeal Membrane Oxygenation
(ECMO).
and Neck with Major O.R. Procedure).
They stated that this revision would
also allow for the collection of further
claims data for patients treated with
ECMO and assist in determining the
appropriateness of any future
modifications in MS–DRG assignment.
We also received feedback from a few
stakeholders that, for some cases
involving peripheral ECMO, the current
designation provides compensation that
these stakeholders believe is
‘‘reasonable’’ (for example, for
peripheral ECMO in certain patients
admitted with acute respiratory failure
and sepsis). Some of these stakeholders
agreed with CMS that once claims data
become available, the volume, length of
stay and cost data of claims with these
new codes can be examined to
determine if modifications to MS–DRG
assignment or O.R. and non-O.R.
designation are warranted. However,
some of these stakeholders also
expressed concerns that the current
assignments and designation do not
appropriately compensate for the
resources used when peripheral ECMO
is used to treat certain patients (for
example, patients who are admitted
with cardiac arrest and cardiogenic
shock of known cause or patients
admitted with a different principal
diagnosis or patients who develop a
diagnosis after admission that requires
ECMO). These stakeholders stated that
the current MS–DRG assignments for
such cases involving peripheral ECMO
do not provide sufficient payment and
PO 00000
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Fmt 4701
Sfmt 4702
do not fully consider the severity of
illness of the patient and the level of
resources involved in treating such
patients, such as surgical team, general
anesthesia, and other ECMO support
such as specialized monitoring.
With regard to stakeholders’ concerns
that we did not allow the opportunity
for public comment on the MS–DRG
assignment for the three new procedure
codes that describe central and
peripheral ECMO, as noted above and as
explained in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41168), these new
procedure codes were not finalized at
the time of the proposed rule. We note
that although there were no proposed
MDC or MS–DRG assignment or O.R.
and non-O.R. designations for these
three new procedure codes, we did, in
fact, review and respond to comments
on the recommended MDC and MS–
DRG assignments and O.R./non-O.R.
designations in the final rule (83 FR
41168 through 41169). For FY 2019,
consistent with our annual process of
assigning new procedure codes to MDCs
and MS–DRGs and designating a
procedure as an O.R. or non-O.R.
procedure, we reviewed the predecessor
procedure code assignments. Upon
completing the review, our clinical
advisors did not support assigning the
two new ICD–10–PCS procedure codes
for peripheral ECMO procedures to the
same MS–DRG as the predecessor code
for open (central) ECMO procedures.
Further, our clinical advisors also did
not agree with designating peripheral
E:\FR\FM\03MYP2.SGM
03MYP2
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Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
ECMO procedures as O.R. procedures
because they stated that these
procedures are less resource intensive
compared to open ECMO procedures.
As noted, our annual process for
assigning new procedure codes involves
review of the predecessor procedure
code’s MS–DRG assignment. However,
this process does not automatically
result in the new procedure code being
assigned (or proposed for assignment) to
the same MS–DRG as the predecessor
code. There are several factors to
consider during this process that our
clinical advisors take into account. For
example, in the absence of volume,
length of stay, and cost data, they may
consider the specific service, procedure,
or treatment being described by the new
procedure code, the indications,
treatment difficulty, and the resources
utilized. We have continued to consider
how these and other factors may apply
in the context of classifying procedures
under the ICD–10 MS–DRGs, including
with regard to the specific concerns
raised by stakeholders.
In the absence of claims data for the
new ICD–10–PCS procedure codes
describing peripheral ECMO, we
analyzed claims data from the
September 2018 update of the FY 2018
MedPAR file for cases reporting the
predecessor ICD–10–PCS procedure
code 5A15223 (Extracorporeal
membrane oxygenation, continuous) in
Pre-MDC MS–DRG 003, including those
cases reporting secondary diagnosis
MCC and CC conditions, that were
grouped under the ICD–10 MS–DRG
Version 35 GROUPER. Our findings are
shown in the table below.
Number of
cases
MS–DRG
MS–DRG 003—All cases ............................................................................................................
MS–DRG 003—Cases reporting procedure code 5A15223 (Extracorporeal membrane oxygenation, continuous) ...............................................................................................................
MS–DRG 003—Cases reporting procedure code 5A15223 (Extracorporeal membrane oxygenation, continuous) with MCC ..............................................................................................
MS–DRG 003—Cases reporting procedure code 5A15223 (Extracorporeal membrane oxygenation, continuous) with CC .................................................................................................
The total number of cases reported in
MS–DRG 003 was 14,456, with an
average length of stay of 29.6 days and
average costs of $122,168. For the cases
reporting procedure code 5A15223
(Extracorporeal membrane oxygenation,
continuous), there was a total of 2,086
cases, with an average length of stay of
20.2 days and average costs of $128,168.
For the cases reporting procedure code
5A15223 with an MCC, there was a total
of 2,000 cases, with an average length of
stay of 20.7 days and average costs of
$131,305. For the cases reporting
procedure code 5A15223 with a CC,
there was a total of 79 cases, with an
average length of stay of 7.6 days and
average costs of $58,231.
Our clinical advisors reviewed these
data and noted that the average length
of stay for the cases reporting ECMO
with procedure code 5A15223 of 20.2
days may not necessarily be a reliable
indicator of resources that can be
attributed to ECMO treatment. Our
clinical advisors believed that a more
appropriate measure of resource
consumption for ECMO would be the
number of hours or days that a patient
was specifically receiving ECMO
treatment, rather than the length of
hospital stay. However, they noted that
this information is not currently
available in the claims data. Our clinical
advisors also stated that the average
costs of $128,168 for the cases reporting
ECMO with procedure code 5A15223
are not necessarily reflective of the
resources utilized for ECMO treatment
alone, as the average costs represent a
combination of factors, including the
principal diagnosis, any secondary
Average
length of stay
Average costs
14,456
29.6
$122,168
2,086
20.2
128,168
2,000
20.7
131,305
79
7.6
58,231
diagnosis CC and/or MCC conditions
necessitating initiation of ECMO, and
potentially any other procedures that
may be performed during the hospital
stay. Our clinical advisors recognized
that patients who require ECMO
treatment are severely ill and
recommended we review the claims
data to identify the number (frequency)
and types of principal and secondary
diagnosis CC and/or MCC conditions
that were reported among the 2,086
cases reporting procedure code
5A15223. Our findings are shown in the
following tables for the top 10 principal
diagnosis codes, followed by the top 10
secondary diagnosis MCC and
secondary diagnosis CC conditions that
were reported within the claims data
with procedure code 5A15223.
TOP 10 PRINCIPAL DIAGNOSIS CODES REPORTED WITH PROCEDURE CODE 5A1223
amozie on DSK9F9SC42PROD with PROPOSALS2
[Extracorporeal membrane oxygenation, continuous]
Number of
times reported
ICD–10–CM code
Description
A41.9 ....................
I21.4 .....................
I35.0 .....................
J84.112 ................
I25.110 .................
J96.01 ..................
I21.09 ...................
I25.10 ...................
I13.0 .....................
Sepsis, unspecified organism ...........................................................................................................................
Non-ST elevation (NSTEMI) myocardial infarction ...........................................................................................
Nonrheumatic aortic (valve) stenosis ................................................................................................................
Idiopathic pulmonary fibrosis ............................................................................................................................
Atherosclerotic heart disease of native coronary artery with unstable angina pectoris ...................................
Acute respiratory failure with hypoxia ...............................................................................................................
STEMI involving other coronary artery of anterior wall ....................................................................................
Atherosclerotic heart disease of native coronary artery w/o angina pectoris ..................................................
Hypertensive heart & chronic kidney disease w heart failure and stage 1 through stage 4 chronic kidney
disease, or unspecified chronic kidney disease.
ST elevation (STEMI) myocardial infarction involving other coronary artery of inferior wall ...........................
I21.19 ...................
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E:\FR\FM\03MYP2.SGM
03MYP2
145
137
81
68
55
52
49
48
46
43
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Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
TOP 10 SECONDARY DIAGNOSIS MCC CONDITIONS REPORTED WITH PROCEDURE CODE 5A1223
[Extracorporeal membrane oxygenation, continuous]
Number of
times reported
ICD–10–CM code
Description
A41.9 .....................
E43 ........................
G93.40 ..................
J18.9 .....................
J96.01 ...................
J96.02 ...................
K72.00 ...................
N17.0 ....................
R57.0 ....................
R65.21 ..................
Sepsis, unspecified organism ..................................................................
Unspecified severe protein-calorie malnutrition .......................................
Encephalopathy, unspecified ...................................................................
Pneumonia, unspecified organism ...........................................................
Acute respiratory failure with hypoxia ......................................................
Acute respiratory failure with hypercapnia ...............................................
Acute and subacute hepatic failure without coma ...................................
Acute kidney failure with tubular necrosis ...............................................
Cardiogenic shock ....................................................................................
Severe sepsis with septic shock ..............................................................
322
220
217
220
944
220
524
741
448
504
Average
length of stay
29.7
41.5
27.2
23.5
17.9
20.9
19
26.2
27.7
29.7
Average costs
$186,055
213,742
165,193
150,242
122,614
139,511
140,878
162,583
153,878
177,992
TOP 10 SECONDARY DIAGNOSIS CC CONDITIONS REPORTED WITH PROCEDURE CODE 5A1223
[Extracorporeal membrane oxygenation, continuous]
Description
D62 .......................
D68.9 ....................
E87.0 .....................
E87.1 .....................
E87.2 .....................
E87.4 .....................
I13.0 ......................
Acute posthemorrhagic anemia ...............................................................
Coagulation defect, unspecified ...............................................................
Hyperosmolality and hypernatremia .........................................................
Hypo-osmolality and hyponatremia ..........................................................
Acidosis ....................................................................................................
Mixed disorder of acid-base balance .......................................................
Hypertensive heart and chronic kidney disease with heart failure and
stage 1 through stage 4 chronic kidney disease, or unspecified
chronic kidney disease.
Ventricular tachycardia .............................................................................
Atelectasis ................................................................................................
Acute kidney failure, unspecified .............................................................
I47.2 ......................
J98.11 ...................
N17.9 ....................
amozie on DSK9F9SC42PROD with PROPOSALS2
Number of
times reported
ICD–10–CM code
These data show that the conditions
reported for these patients requiring
treatment with ECMO and reported with
predecessor ICD–10–PCS procedure
code 5A1223 represent a greater severity
of illness, present greater treatment
difficulty, have poorer prognoses, and
have a greater need for intervention.
While the data analysis was based on
the conditions reported with the
predecessor ICD–10–PCS procedure
code 5A1223 (Extracorporeal membrane
oxygenation, continuous), our clinical
advisors believe the data may provide
an indication of how cases reporting the
new procedure codes describing
peripheral (percutaneous) ECMO may
be represented in future claims data
with regard to indications for treatment,
a patient’s severity of illness, resource
utilization, and treatment difficulty.
Based on the results of our data
analysis and further review of the cases
reporting ECMO, including
consideration of the stakeholders’
concerns that the MS–DRG assignments
for ECMO procedures should not be
based on the method of cannulation, our
clinical advisors agree that resource
consumption for both central and
peripheral ECMO cases can be primarily
attributed to the severity of illness of the
patient, and that the method of
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17:51 May 02, 2019
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cannulation is less relevant when
considering the overall resources
required to treat patients on ECMO.
Specifically, our clinical advisors noted
that consideration of resource
consumption for cases reporting the use
of ECMO may extend well beyond the
duration of time that a patient was
actively receiving ECMO treatment,
which may range anywhere from less
than 24 hours to 10 days or more. As
noted above, in the absence of unique
procedure codes that specify the
duration of time that a patient was
receiving ECMO treatment, we cannot
ascertain from the claims data the
resource use specifically attributable to
treatment with ECMO during a hospital
stay. However, when reviewing
consumption of hospital resources for
the cases in which ECMO was reported
during a hospital stay, the claims data
clearly show that the patients placed on
ECMO typically have multiple MCC and
CC conditions. These data provide
additional information on the
expanding indications for ECMO
treatment as well as an indication of the
complexities and the treatment
difficulty associated with these patients.
While our clinical advisors continue to
believe that central (open) ECMO may
be more resource intensive and carries
PO 00000
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Fmt 4701
Sfmt 4702
Average
length of stay
Average costs
1,139
402
585
316
937
268
314
21.8
20.5
26.6
26.1
17.3
26
18.4
$144,033
138,417
162,028
151,824
120,881
150,257
121,962
384
273
757
17.5
26.9
18.5
123,383
158,812
122,180
significant risks for complications,
including bleeding, infection, and vessel
injury because it requires an incision
along the sternum (sternotomy) and is
performed for open heart surgery, they
believe that the subset of patients who
require treatment with ECMO,
regardless of the cannulation method,
would be similar in terms of overall
hospital resource consumption. We also
note that while we do not yet have
Medicare claims data to evaluate the
new peripheral ECMO procedure codes,
review of limited registry data provided
by stakeholders for patients treated with
a reported peripheral ECMO procedure
did not contradict that costs for
peripheral ECMO appear to be similar to
the costs of overall resources required to
treat patients on ECMO (regardless of
method of cannulation) and appear to be
attributable to the severity of illness of
the patient.
With regard to stakeholders who
stated that the two new procedure codes
do not account for an open cut-down
approach that may be performed on a
peripheral vessel during a peripheral
ECMO procedure, we note that a request
and proposal to create ICD–10–PCS
codes to differentiate between
peripheral vessel percutaneous and
peripheral vessel open cutdown
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according to the indication (VA or VV)
for ECMO was discussed at the March
5–6, 2019 ICD–10 Coordination and
Maintenance Committee meeting. We
refer readers to the website at: https://
www.cms.gov/Medicare/Coding/
ICD9ProviderDiagnosticCodes/ICD-9CM-C-and-M-Meeting-Materials.html for
the committee meeting materials and
discussion regarding this proposal. We
also note that, in this same proposal,
another coding option to add duration
values to allow the reporting of the
number of hours or the number of days
a patient received ECMO during the stay
was also made available for public
comment.
Upon further review and
consideration of peripheral ECMO
procedures, including the indications,
treatment difficulty, and the resources
utilized, for the reasons discussed
above, our clinical advisors support the
assignment of the new ICD–10–PCS
procedure codes for peripheral ECMO
procedures to the same MS–DRG as the
predecessor code for open (central)
ECMO procedures for FY 2020.
Therefore, based on our review,
including consideration of the
comments and input from our clinical
advisors, we are proposing to reassign
the following procedure codes
describing peripheral ECMO procedures
from their current MS–DRG assignments
to Pre-MDC MS–DRG 003 (ECMO or
Tracheostomy with Mechanical
ICD–10–PCS
code
Code description
Current MS–DRG
Proposed MS–DRG
5A1522G ............
Extracorporeal Oxygenation, Membrane, Peripheral Veno-arterial.
MS–DRG 207 (Respiratory System Diagnosis
with Ventilator Support >96 Hours or Peripheral Extracorporeal Membrane Oxygenation
(ECMO)).
MS–DRG 291 (Heart Failure and Shock with
MCC or Peripheral Extracorporeal Membrane
Oxygenation (ECMO)).
Pre-MDC MS–DRG 003 (ECMO or Tracheostomy with Mechanical Ventilation >96
Hours or Principal Diagnosis Except Face,
Mouth and Neck with Major O.R. Procedure).
Pre-MDC MS–DRG 003 (ECMO or Tracheostomy with Mechanical Ventilation >96
Hours or Principal Diagnosis Except Face,
Mouth and Neck with Major O.R. Procedure).
Pre-MDC MS–DRG 003 (ECMO or Tracheostomy with Mechanical Ventilation >96
Hours or Principal Diagnosis Except Face,
Mouth and Neck with Major O.R. Procedure).
Pre-MDC MS–DRG 003 (ECMO or Tracheostomy with Mechanical Ventilation >96
Hours or Principal Diagnosis Except Face,
Mouth and Neck with Major O.R. Procedure).
Pre-MDC MS–DRG 003 (ECMO or Tracheostomy with Mechanical Ventilation >96
Hours or Principal Diagnosis Except Face,
Mouth and Neck with Major O.R. Procedure).
Pre-MDC MS–DRG 003 (ECMO or Tracheostomy with Mechanical Ventilation >96
Hours or Principal Diagnosis Except Face,
Mouth and Neck with Major O.R. Procedure).
Pre-MDC MS–DRG 003 (ECMO or Tracheostomy with Mechanical Ventilation >96
Hours or Principal Diagnosis Except Face,
Mouth and Neck with Major O.R. Procedure).
Pre-MDC MS–DRG 003 (ECMO or Tracheostomy with Mechanical Ventilation >96
Hours or Principal Diagnosis Except Face,
Mouth and Neck with Major O.R. Procedure).
MS–DRG 296 (Cardiac Arrest, Unexplained
with MCC or Peripheral Extracorporeal Membrane Oxygenation (ECMO)).
5A1522H .............
Extracorporeal Oxygenation, Membrane, Peripheral Veno-venous.
MS–DRG 870 (Septicemia or Severe Sepsis
with Mechanical Ventilation >96 Hours or Peripheral Extracorporeal Membrane Oxygenation (ECMO)).
MS–DRG 207 (Respiratory System Diagnosis
with Ventilator Support >96 Hours or Peripheral Extracorporeal Membrane Oxygenation
(ECMO)).
MS–DRG 291 (Heart Failure and Shock with
MCC or Peripheral Extracorporeal Membrane
Oxygenation (ECMO)).
MS–DRG 296 (Cardiac Arrest, Unexplained
with MCC or Peripheral Extracorporeal Membrane Oxygenation (ECMO)).
MS–DRG 870 (Septicemia or Severe Sepsis
with Mechanical Ventilation >96 Hours or Peripheral Extracorporeal Membrane Oxygenation (ECMO)).
b. Allogeneic Bone Marrow Transplant
amozie on DSK9F9SC42PROD with PROPOSALS2
Ventilation >96 Hours or Principal
Diagnosis Except Face, Mouth and Neck
with Major O.R. Procedure) as shown in
the table below. If this proposal is
finalized, we also would make
conforming changes to the titles for MS–
DRGs 207, 291, 296, and 870 to no
longer reflect the ‘‘or Peripheral
Extracorporeal Membrane Oxygenation
(ECMO)’’ terminology in the title. We
note that this proposal includes
maintaining the designation of these
peripheral ECMO procedures as nonO.R. Therefore, if finalized, the
procedures would be defined as nonO.R. affecting the MS–DRG assignment
for Pre-MDC MS–DRG 003.
We received a request to create new
MS–DRGs for cases that would identify
patients who undergo an allogeneic
hematopoietic cell transplant (HCT)
procedure. The requestor asked us to
split MS–DRG 014 (Allogeneic Bone
Marrow Transplant) into two new MS–
DRGs and assign cases to the
recommended new MS–DRGs according
to the donor source, with cases for
allogeneic related matched donor source
assigned to one MS–DRG and cases for
allogeneic unrelated matched donor
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17:51 May 02, 2019
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source assigned to the other MS–DRG.
The requestor stated that by creating
two new MS–DRGs for allogeneic
related and allogeneic unrelated donor
source, respectively, the MS–DRGs
would more appropriately recognize the
clinical characteristics and cost
differences in allogeneic HCT cases.
The requestor stated that allogeneic
related and allogeneic unrelated HCT
cases are clinically different and have
significantly different donor search and
cell acquisition charges. According to
the requestor, 70 percent of patients do
not have a matched sibling donor (that
PO 00000
Frm 00020
Fmt 4701
Sfmt 4702
is, an allogeneic related matched donor)
in their family. The requestor also stated
that this rate is higher for Medicare
beneficiaries. According to the
requestor, the current payment for
allogeneic HCT cases is inadequate and
affects patient’s access to care.
The requestor performed its own
analysis and stated that it found the
average costs for HCT cases reporting
revenue code 0815 (Stem cell
acquisition) alone or revenue code 0819
(Other organ acquisition) in
combination with revenue code 0815
with one of the ICD–10–PCS procedure
E:\FR\FM\03MYP2.SGM
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Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
codes for allogeneic unrelated donor
source were significantly higher than
the average costs for HCT cases
reporting revenue code 0815 alone or
both revenue codes 0815 and 0819 in
combination with one of the ICD–10–
PCS procedure codes for allogeneic
related donor source. Further, the
requestor reported that, according to its
analysis, the average costs for HCT cases
reporting revenue code 0815 alone or
both revenue codes 0815 and 0819 in
combination with one of the ICD–10–
PCS procedure codes for unspecified
allogeneic donor source were also
significantly higher than the average
costs for HCT cases reporting the ICD–
10–PCS procedure codes for allogeneic
related donor source. The requestor
suggested that cases reporting the
unspecified donor source procedure
code are highly likely to represent
unrelated donors, and recommended
that, if the two new MS–DRGs are
created as suggested, the cases reporting
the procedure codes for unspecified
donor source be included in the
suggested new ‘‘unrelated donor’’ MS–
DRG. The requestor also suggested that
CMS apply a code edit through the
amozie on DSK9F9SC42PROD with PROPOSALS2
ICD–10–PCS code
30230G2
30230G3
30230G4
30230X2
30230X3
30230X4
30230Y2
30230Y3
30230Y4
30233G2
30233G3
30233G4
30233X2
30233X3
30233X4
30233Y2
30233Y3
30233Y4
30240G2
30240G3
30240G4
30240X2
30240X3
30240X4
30240Y2
30240Y3
30240Y4
30243G2
30243G3
30243G4
30243X2
30243X3
30243X4
30243Y2
30243Y3
30243Y4
30250G1
30250X1
30250Y1
30253G1
30253X1
30253Y1
30260G1
30260X1
30260Y1
30263G1
30263X1
30263Y1
..............
..............
..............
...............
...............
...............
...............
...............
...............
..............
..............
..............
...............
...............
...............
...............
...............
...............
..............
..............
..............
...............
...............
...............
...............
...............
...............
..............
..............
..............
...............
...............
...............
...............
...............
...............
..............
...............
...............
..............
...............
...............
..............
...............
...............
..............
...............
...............
inpatient Medicare Code Editor (MCE),
similar to the edit in the Integrated
Outpatient Code Editor (I/OCE) which
requires reporting of revenue code 0815
on the claim with the appropriate
procedure code or the claim may be
subject to being returned to the
provider.
The ICD–10–PCS procedure codes
assigned to MS–DRG 014 that identify
related, unrelated and unspecified
donor source for an allogeneic HCT are
shown in the following table.
Code description
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
allogeneic related bone marrow into peripheral vein, open approach.
allogeneic unrelated bone marrow into peripheral vein, open approach.
allogeneic unspecified bone marrow into peripheral vein, open approach.
allogeneic related cord blood stem cells into peripheral vein, open approach.
allogeneic unrelated cord blood stem cells into peripheral vein, open approach.
allogeneic unspecified cord blood stem cells into peripheral vein, open approach.
allogeneic related hematopoietic stem cells into peripheral vein, open approach.
allogeneic unrelated hematopoietic stem cells into peripheral vein, open approach.
allogeneic unspecified hematopoietic stem cells into peripheral vein, open approach.
allogeneic related bone marrow into peripheral vein, percutaneous approach.
allogeneic unrelated bone marrow into peripheral vein, percutaneous approach.
allogeneic unspecified bone marrow into peripheral vein, percutaneous approach.
allogeneic related cord blood stem cells into peripheral vein, percutaneous approach.
allogeneic unrelated cord blood stem cells into peripheral vein, percutaneous approach.
allogeneic unspecified cord blood stem cells into peripheral vein, percutaneous approach.
allogeneic related hematopoietic stem cells into peripheral vein, percutaneous approach.
allogeneic unrelated hematopoietic stem cells into peripheral vein, percutaneous approach.
allogeneic unspecified hematopoietic stem cells into peripheral vein, percutaneous approach.
allogeneic related bone marrow into central vein, open approach.
allogeneic unrelated bone marrow into central vein, open approach.
allogeneic unspecified bone marrow into central vein, open approach.
allogeneic related cord blood stem cells into central vein, open approach.
allogeneic unrelated cord blood stem cells into central vein, open approach.
allogeneic unspecified cord blood stem cells into central vein, open approach.
allogeneic related hematopoietic stem cells into central vein, open approach.
allogeneic unrelated hematopoietic stem cells into central vein, open approach.
allogeneic unspecified hematopoietic stem cells into central vein, open approach.
allogeneic related bone marrow into central vein, percutaneous approach.
allogeneic unrelated bone marrow into central vein, percutaneous approach.
allogeneic unspecified bone marrow into central vein, percutaneous approach.
allogeneic related cord blood stem cells into central vein, percutaneous approach.
allogeneic unrelated cord blood stem cells into central vein, percutaneous approach.
allogeneic unspecified cord blood stem cells into central vein, percutaneous approach.
allogeneic related hematopoietic stem cells into central vein, percutaneous approach.
allogeneic unrelated hematopoietic stem cells into central vein, percutaneous approach.
allogeneic unspecified hematopoietic stem cells into central vein, percutaneous approach.
nonautologous bone marrow into peripheral artery, open approach.
nonautologous cord blood stem cells into peripheral artery, open approach.
nonautologous hematopoietic stem cells into peripheral artery, open approach.
nonautologous bone marrow into peripheral artery, percutaneous approach.
nonautologous cord blood stem cells into peripheral artery, percutaneous approach.
nonautologous hematopoietic stem cells into peripheral artery, percutaneous approach.
nonautologous bone marrow into central artery, open approach.
nonautologous cord blood stem cells into central artery, open approach.
nonautologous hematopoietic stem cells into central artery, open approach.
nonautologous bone marrow into central artery, percutaneous approach.
nonautologous cord blood stem cells into central artery, percutaneous approach.
nonautologous hematopoietic stem cells into central artery, percutaneous approach.
We examined claims data from the
September 2018 update of the FY 2018
MedPAR file for MS–DRG 014 and
identified the subset of cases within
VerDate Sep<11>2014
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17:51 May 02, 2019
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MS–DRG 014 reporting procedure codes
for allogeneic HCT related donor source,
allogeneic HCT unrelated donor source,
and allogeneic HCT unspecified donor
PO 00000
Frm 00021
Fmt 4701
Sfmt 4702
source, respectively. Our findings are
shown in the following table.
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Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG
MS–DRG
MS–DRG
MS–DRG
014—All cases ............................................................................................................
014—Cases reporting allogeneic HCT related donor source .....................................
014—Cases reporting allogeneic HCT unrelated donor source .................................
014—Cases reporting allogeneic HCT unspecified donor source .............................
The total number of cases reported in
MS–DRG 014 was 854, with an average
length of stay of 28.2 days and average
costs of $91,446. For the subset of cases
reporting procedure codes for allogeneic
HCT related donor source, there were a
total of 292 cases with an average length
of stay of 29.5 days and average costs of
$87,444. For the subset of cases
reporting procedure codes for allogeneic
HCT unrelated donor source, there was
a total of 466 cases with an average
length of stay of 27.9 days and average
costs of $95,146. For the subset of cases
reporting procedure codes for allogeneic
HCT unspecified donor source, there
was a total of 90 cases with an average
length of stay of 26.2 days and average
costs of $90,945.
Based on the analysis described
above, the current MS–DRG assignment
for the cases in MS–DRG 014 that
identify patients who undergo an
allogeneic HCT procedure, regardless of
donor source, appears appropriate. The
data analysis reflects that each subset of
cases reporting a procedure code for an
allogeneic HCT procedure (that is,
related, unrelated, or unspecified donor
source) has an average length of stay
and average costs that are comparable to
the average length of stay and average
costs of all cases in MS–DRG 014. We
also take this opportunity to note that,
in deciding whether to propose to make
further modifications to the MS–DRGs
for particular circumstances brought to
our attention, we do not consider the
reported revenue codes. Rather, as
stated previously, we consider whether
the resource consumption and clinical
characteristics of the patients with a
given set of conditions are significantly
different than the remaining patients
represented in the MS–DRG. We do this
by evaluating the ICD–10–CM diagnosis
and/or ICD–10–PCS procedure codes
that identify the patient conditions,
procedures, and the relevant MS–
DRG(s) that are the subject of a request.
Specifically, for this request, as noted
above, we analyzed the cases reporting
the ICD–10–PCS procedure codes that
identify an allogeneic HCT procedure
according to the donor source. We then
evaluated patient care costs using
average costs and average lengths of stay
(based on the MedPAR data) and rely on
the judgment of our clinical advisors to
determine whether the patients are
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clinically distinct or similar to other
patients represented in the MS–DRG.
Because MS–DRG 014 is defined by
patients who undergo an allogeneic
HCT transplant procedure, our clinical
advisors state they are all clinically
similar in that regard. We also note that
the ICD–10–PCS procedure codes that
describe an allogeneic HCT procedure
were revised effective October 1, 2016 to
uniquely identify the donor source in
response to a request and proposal that
was discussed at the March 9–10, 2016
ICD–10 Coordination and Maintenance
Committee meeting. We refer readers to
the website at: https://www.cms.gov/
Medicare/Coding/ICD9Provider
DiagnosticCodes/ICD-9-CM-C-and-MMeeting-Materials.html for the
committee meeting materials and
discussion regarding this proposal.
In response to the requestor’s
statement that allogeneic related and
allogeneic unrelated HCT cases are
clinically different and have
significantly different donor search and
cell acquisition charges, our clinical
advisors support maintaining the
current structure for MS–DRG 014
because they believe that MS–DRG 014
appropriately classifies all patients who
undergo an allogeneic HCT procedures
and, therefore, it is clinically coherent.
While the requestor stated that there are
clinical differences in the related and
unrelated HCT cases, they did not
provide any specific examples of these
clinical differences. With regard to the
donor search and cell acquisition
charges, the requestor noted that the
unrelated donor cases are more
expensive than the related donor cases
because of the donor search process,
which includes a registry search to
identify the best donor source, extensive
donor screenings, evaluation, and cell
acquisition and transportation services
for the patient. The requestor appeared
to base that belief according to the
donor source and average charges
reported with revenue code 0815. As
noted above, we use MedPAR data and
do not consider the reported revenue
codes in deciding whether to propose to
make further modifications to the MS–
DRGs. Based on our analysis of claims
data for MS–DRG 014, our clinical
advisors stated that the resources are
similar for patients who undergo an
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854
292
466
90
Average
length of stay
28.2
29.5
27.9
26.2
Average costs
$91,446
87,444
95,146
90,945
allogeneic HCT procedure regardless of
the donor source.
In reviewing this request, we also
reviewed the instructions on billing for
stem cell transplantation in Chapter 3 of
the Medicare Claims Processing Manual
and found that there appears to be
inadvertent duplication under Section
90.3.1 and Section 90.3.3 of Chapter 3,
as both sections provide instructions on
Billing for Stem Cell Transplantation.
Therefore, we are further reviewing the
Medicare Claims Processing Manual to
identify potential revisions to address
this duplication. However, we also note
that section 90.3.1 and section 90.3.3
provide different instruction regarding
which revenue code should be reported.
Section 90.3.1 instructs providers to
report revenue code 0815 and Section
90.3.3 instructs providers to report
revenue code 0819. We note that we
issued instructions as a One-Time
Notification, Pub. No. 100–04,
Transmittal 3571, Change Request 9674,
effective January 1, 2017, which
instructs that the appropriate revenue
code to report on claims for allogeneic
stem cell acquisition/donor services is
revenue code 0815. Accordingly, we
also are considering additional revisions
as needed to conform the instructions
for reporting these codes in the
Medicare Claims Processing Manual.
With regard to the requestor’s
recommendation that we create a new
code edit through the inpatient MCE
similar to the edit in the I/OCE which
requires reporting of revenue code 0815
on the claim, we note that the MCE is
not designed to include revenue codes
for claims editing purposes. Rather, as
stated in section II.F.16. of the preamble
of this proposed rule, it is a software
program that detects and reports errors
in the coding of Medicare claims data.
The coding of Medicare claims data
refers to diagnosis and procedure
coding, as well as demographic
information.
For the reasons described above, we
are not proposing to change the current
structure of MS–DRG 014. We are not
proposing to split MS–DRG 014 into two
new MS–DRGs that assign cases
according to whether the allogeneic
donor source is related or unrelated, as
the requestor suggested.
In addition, while conducting our
analysis of cases reporting ICD–10–PCS
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procedure codes for allogeneic HCT
procedures that are assigned to MS–
DRG 014, we noted that 8 procedure
codes for autologous HCT procedures
are currently included in MS–DRG 014,
as shown in the following table. These
ICD–10–PCS code
30230X0
30233X0
30240X0
30243X0
30250X0
30253X0
30260X0
30263X0
...............
...............
...............
...............
...............
...............
...............
...............
Code description
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
of
of
of
of
of
of
of
of
autologous
autologous
autologous
autologous
autologous
autologous
autologous
autologous
The 8 ICD–10–PCS procedure codes
for autologous HCT procedures were
inadvertently included in MS–DRG 014
as a result of efforts to replicate the ICD–
9–CM MS–DRGs. Under the ICD–9–CM
MS–DRGs, procedure code 41.06 (Cord
blood stem cell transplant) was used to
identify these procedures and was also
assigned to MS–DRG 014. As shown in
the ICD–9–CM code description, the
reference to ‘‘autologous’’ is not
included. However, because the ICD–
10–PCS autologous HCT procedure
cord
cord
cord
cord
cord
cord
cord
cord
blood
blood
blood
blood
blood
blood
blood
blood
stem
stem
stem
stem
stem
stem
stem
stem
cells
cells
cells
cells
cells
cells
cells
cells
into
into
into
into
into
into
into
into
...............
..............
...............
...............
..............
...............
...............
..............
...............
...............
..............
...............
..............
...............
..............
...............
..............
...............
..............
...............
peripheral vein, open approach.
peripheral vein, percutaneous approach.
central vein, open approach.
central vein, percutaneous approach.
peripheral artery, open approach.
peripheral artery, percutaneous approach.
central artery, open approach.
central artery, percutaneous approach.
codes were considered as plausible
translations of the ICD–9–CM procedure
code (41.06), they were inadvertently
included in MS–DRG 014. We also note
that, of these 8 procedure codes, there
are 4 procedure codes that describe a
transfusion via arterial access. As
described in more detail below, because
a transfusion procedure always uses
venous access rather than arterial
access, these codes are considered
clinically invalid and were the subject
of a proposal discussed at the March 5–
ICD–10–PCS code
30230AZ
30230G0
30230Y0
30233AZ
30233G0
30233Y0
30240AZ
30240G0
30240Y0
30243AZ
30243G0
30243Y0
30250G0
30250Y0
30253G0
30253Y0
30260G0
30260Y0
30263G0
30263Y0
6, 2019 ICD–10 Coordination and
Maintenance Committee meeting to
delete these codes effective October 1,
2019 (FY 2020).
The majority of ICD–10–PCS
procedure codes specifying autologous
HCT procedures are currently assigned
to MS–DRGs 016 and 017 (Autologous
Bone Marrow Transplant with CC/MCC
or T-cell Immunotherapy and
Autologous Bone Marrow Transplant
without CC/MCC, respectively). These
codes are listed in the following table.
Code description
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
embryonic stem cells into peripheral vein, open approach.
autologous bone marrow into peripheral vein, open approach.
autologous hematopoietic stem cells into peripheral vein, open approach.
embryonic stem cells into peripheral vein, percutaneous approach.
autologous bone marrow into peripheral vein, percutaneous approach.
autologous hematopoietic stem cells into peripheral vein, percutaneous approach.
embryonic stem cells into central vein, open approach.
autologous bone marrow into central vein, open approach.
autologous hematopoietic stem cells into central vein, open approach.
embryonic stem cells into central vein, percutaneous approach.
autologous bone marrow into central vein, percutaneous approach.
autologous hematopoietic stem cells into central vein, percutaneous approach.
autologous bone marrow into peripheral artery, open approach.
autologous hematopoietic stem cells into peripheral artery, open approach.
autologous bone marrow into peripheral artery, percutaneous approach.
autologous hematopoietic stem cells into peripheral artery, percutaneous approach.
autologous bone marrow into central artery, open approach.
autologous hematopoietic stem cells into central artery, open approach.
autologous bone marrow into central artery, percutaneous approach.
autologous hematopoietic stem cells into central artery, percutaneous approach.
While we believe, as indicated, that
the cases reporting ICD–10–PCS
procedure codes for autologous HCT
procedures may be improperly assigned
to MS–DRG 014, we also examined
claims data for this subset of cases to
determine the frequency with which
they were reported and the relative
resource use as compared with all cases
assigned to MS–DRGs 016 and 017. Our
findings are shown in the following
table.
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
codes are not properly assigned because
MS–DRG 014 is defined by cases
reporting allogenic HCT procedures.
MS–DRG 014—Cases reporting autologous cord blood stem cell donor source ......................
MS–DRG 016—All cases ............................................................................................................
MS–DRG 017—All cases ............................................................................................................
For the subset of cases in MS–DRG
014 reporting ICD–10–PCS codes for
autologous HCT procedures, there was a
total of 6 cases with an average length
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of stay of 23.5 days and average costs of
$38,319. The total number of cases
reported in MS–DRG 016 was 2,150,
with an average length of stay of 18 days
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6
2,150
104
Average
length of stay
23.5
18
11
Average costs
$38,319
47,546
33,540
and average costs of $47,546. The total
number of cases reported in MS–DRG
017 was 104, with an average length of
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stay of 11 days and average costs of
$33,540.
The results of our analysis indicate
that the frequency with which these
autologous HCT procedure codes was
reported in MS–DRG 014 is low and that
average costs of cases reporting
autologous HCT procedures assigned to
MS–DRG 014 are more aligned with the
average costs of cases assigned to MS–
DRGs 016 and 017, with the average
costs being lower than the average costs
for all cases assigned to MS–DRG 016
and higher than the average costs for all
cases assigned to MS–DRG 017. Our
clinical advisors also indicated that the
procedure codes for autologous HCT
procedures are more clinically aligned
ICD–10–PCS code
30230X0
30233X0
30240X0
30243X0
...............
...............
...............
...............
with cases that are assigned to MS–
DRGs 016 and 017 that are comprised of
autologous HCT procedures. Therefore,
we are proposing to reassign the
following 4 procedure codes for HCT
procedures specifying autologous cord
blood stem cell as the donor source via
venous access to MS–DRGs 016 and 017
for FY 2020.
Code description
Transfusion
Transfusion
Transfusion
Transfusion
of
of
of
of
autologous
autologous
autologous
autologous
As discussed earlier in this section,
the 4 procedure codes for HCT
procedures that describe an autologous
cord blood stem cell transfusion via
arterial access currently assigned to
MS–DRG 014, as listed previously, are
considered clinically invalid. These
procedure codes were discussed at the
March 5–6, 2019 ICD–10 Coordination
and Maintenance Committee meeting,
along with additional procedure codes
that are also considered clinically
invalid, as described in the section
below.
During our analysis of procedure
codes that describe a HCT procedure,
we identified 128 clinically invalid
codes from the transfusion table (table
302) in the ICD–10–PCS classification
identifying a transfusion using arterial
access, as listed in Table 6P.1a.
associated with this proposed rule
cord
cord
cord
cord
blood
blood
blood
blood
stem
stem
stem
stem
cells
cells
cells
cells
into
into
into
into
peripheral vein, open approach.
peripheral vein, percutaneous approach.
central vein, open approach.
central vein, percutaneous approach.
(which is available via the internet on
the CMS website at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/). As
shown in Table 6P.1a., these 128
procedure codes describe transfusion
procedures with body system/region
values ‘‘5’’ Peripheral Artery and ‘‘6’’
Central Artery. Because a transfusion
procedure always uses venous access
rather than arterial access, these codes
are considered clinically invalid and
were proposed for deletion at the March
5–6, 2019 ICD–10 Coordination and
Maintenance Committee meeting. We
refer the reader to the website at:
https://www.cms.gov/Medicare/Coding/
ICD10/C-and-M-Meeting-Materials.html
for the Committee meeting materials
regarding this proposal.
We examined claims data from the
September 2018 update of the FY 2018
MedPAR file for MS–DRGs 014, 016,
and 017 to determine if there were any
cases that reported one of the 128
clinically invalid codes from the
transfusion table in the ICD–10–PCS
classification identifying a transfusion
using arterial access, and as listed in
Table 6P.1a. associated with this
proposed rule. Our clinical advisors
agree that because a transfusion
procedure always uses venous access
rather than arterial access, these codes
are considered invalid. Because these
procedure codes describe clinically
invalid procedures, we would not
expect these codes to be reported in any
claims data. Our findings are shown in
the following table.
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRGs 014, 016, and 017—All cases ...................................................................................
MS–DRGs 014, 016, and 017—Cases with invalid transfusion codes .......................................
As shown in this table, we found a
total of 3,108 cases across MS–DRGs
014, 016, and 017 with an average
length of stay of 20.4 days and average
costs of $59,140. We found a total of 31
cases (0.9 percent) reporting a procedure
code for an invalid transfusion
procedure, identifying the body system/
region value ‘‘5’’ Peripheral Artery or
‘‘6’’ Central Artery, with an average
length of stay of 19.6 days and average
costs of $52,912. The results of the data
analysis demonstrate that these invalid
transfusion procedures represent
approximately 1 percent of all
discharges across MS–DRGs 014, 016,
and 017. To summarize, we are
proposing to: (1) Reassign the four ICD–
10–PCS codes for HCT procedures
specifying autologous cord blood stem
cell as the donor source from MS–DRG
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014 to MS–DRGs 016 and 017
(procedure codes 30230X0, 30233X0,
30240X0, 30243X0); and (2) delete the
128 clinically invalid codes from the
transfusion table in the ICD–10–PCS
Classification describing a transfusion
using arterial access that were discussed
at the March 5–6, 2019 ICD–10
Coordination and Maintenance
Committee meeting and are listed in
Table 6P.1a associated with this
proposed rule. As discussed previously,
we are not proposing to split MS–DRG
014 into the two requested new MS
DRGs that would assign cases according
to whether the allogeneic donor source
is related or unrelated.
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3,108
31
Average
length of stay
20.4
19.6
Average costs
$59,140
52,912
c. Chimeric Antigen Receptor (CAR)
T-Cell Therapies
We received a request to create a new
MS–DRG for procedures involving CAR
T-cell therapies. The requestor stated
that creation of a new MS–DRG would
improve payment for CAR T-cell
therapies in the inpatient setting.
According to the requestor, while cases
involving CAR T-cell therapy may now
be eligible for new technology add-on
payments and outlier payments, there
continue to be significant financial
losses by providers. The requestor also
suggested that CMS modify its existing
payment mechanisms to use a CCR of
1.0 for charges associated with CAR Tcell therapy.
In addition, the requestor included
technical and operational suggestions
related to CAR T-cell therapy, such as
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the development of unique CAR T-cell
therapy revenue and cost centers for
billing and cost reporting purposes. We
will consider these technical and
operational suggestions in the
development of future billing and cost
reporting guidelines and instructions.
Currently, procedures involving CAR
T-cell therapies are identified with ICD–
10–PCS procedure codes XW033C3
(Introduction of engineered autologous
chimeric antigen receptor t-cell
immunotherapy into peripheral vein,
percutaneous approach, new technology
group 3) and XW043C3 (Introduction of
engineered autologous chimeric antigen
receptor t-cell immunotherapy into
central vein, percutaneous approach,
new technology group 3), which became
effective October 1, 2017. In the FY
2019 IPPS/LTCH PPS final rule, we
finalized our proposal to assign cases
reporting these ICD–10–PCS procedure
codes to Pre-MDC MS–DRG 016 for FY
2019 and to revise the title of this MS–
DRG to ‘‘Autologous Bone Marrow
Transplant with CC/MCC or T-cell
Immunotherapy’’. We refer readers to
section II.F.2.d. of the preamble of the
FY 2019 IPPS/LTCH PPS final rule for
a complete discussion of these final
policies (83 FR 41172 through 41174).
As stated earlier, the current
procedure codes for CAR T-cell
therapies both became effective October
1, 2017. In the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41172 through 41174),
we indicated we should collect more
comprehensive clinical and cost data
before considering assignment of a new
MS–DRG to these therapies. While the
September 2018 update of the FY 2018
MedPAR data file does contain some
claims that include those procedure
codes that identify CAR T-cell therapies,
the number of cases is limited, and the
submitted costs vary widely due to
differences in provider billing and
charging practices for this therapy.
Therefore, while these claims could
potentially be used to create relative
weights for a new MS–DRG, we do not
have the comprehensive clinical and
cost data that we generally believe are
needed to do so. Furthermore, given the
relative newness of CAR T-cell therapy
and our proposal to continue new
technology add-on payments for FY
2020 for the two CAR T-cell therapies
that currently have FDA approval
(KYMRIAHTM and YESCARTATM), as
discussed in section II.G.4.d. of the
preamble of this proposed rule, at this
time we believe it may be premature to
consider creation of a new MS–DRG
specifically for cases involving CAR Tcell therapy for FY 2020.
Therefore, we are proposing not to
modify the current MS–DRG assignment
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for cases reporting CAR T-cell therapies
for FY 2020. As noted earlier, cases
reporting ICD–10–PCS codes XW033C3
and XW043C3 would continue to be
eligible to receive new technology addon payments for discharges occurring in
FY 2020 if our proposal to continue
such payments is finalized. Currently,
we expect that, in future years, we
would have additional data that exhibit
more stability and greater consistency in
charging and billing practices that could
be used to evaluate the potential
creation of a new MS–DRG specifically
for cases involving CAR T-cell
therapies.
Alternatively, notwithstanding our
concerns regarding the claims data, and
the concerns discussed in the FY 2019
IPPS/LTCH PPS final rule (83 FR 41172
to 41174), we are seeking public
comments on payment alternatives for
CAR T-cell therapies, including
payment under any potential new MS–
DRG. We also are inviting public
comments on how these payment
alternatives would affect access to care,
as well as how they affect incentives to
encourage lower drug prices, which is a
high priority for this Administration. As
discussed in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41172 through
41174), we are considering approaches
and authorities to encourage valuebased care and lower drug prices. We
are soliciting public comments on how
the effective dates of any potential
payment methodology alternatives, if
any were to be adopted, may intersect
and affect future participation in any
such alternative approaches.
As part of our solicitation of public
comment on the potential creation of a
new MS–DRG for CAR T-cell therapy
procedures, we are also seeking
comment on the most appropriate way
to develop the relative weight if we
were to finalize the creation of a new
MS–DRG. While the data are limited, it
may be operationally possible to create
a relative weight by dividing the average
costs of cases that include the CAR Tcell procedures by the average costs of
all cases, consistent with our current
methodology for setting the relative
weights for FY 2020 and using the same
applicable data sources used for other
MS–DRGs (for FY 2020, the FY 2018
MedPAR data and FY 2016 HCRIS data).
We are seeking public comments on
whether this is the most accurate
method for determining the relative
weight, given the current variation in
the claims data for these procedures,
and also on how to address the
significant number of cases involving
clinical trials. While we do not typically
exclude cases in clinical trials when
developing the relative weights, in this
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19181
case, the absence of the drug costs on
claims for cases involving clinical trial
claims could have a significant impact
on the relative weight. It is unclear
whether a relative weight calculated
using cases for which hospitals do and
do not incur drug costs would
accurately reflect the resource costs of
caring for patients who are not involved
in clinical trials. A different approach
might be to develop a relative weight
using an appropriate portion of the
average sales price (ASP) for these drugs
as an alternative way to reflect the costs
involved in treating patients receiving
CAR T-cell therapies. We are requesting
public comments on these approaches
or other approaches for setting the
relative weight if we were to finalize a
new MS–DRG. We note that any such
new MS–DRG would be established in
a budget neutral manner, consistent
with section 1886(d)(4)(C)(iii) of the
Act, which specifies that the annual
DRG reclassification and recalibration of
the relative weights must be made in a
manner that ensures that aggregate
payments to hospitals are not affected.
Another potential consideration if we
were to create a new MS–DRG is the
extent to which it would be appropriate
to geographically adjust the payment
under any such new MS–DRG. Under
the methodology for determining the
Federal payment rate for operating costs
under the IPPS, the labor-related
proportion of the national standardized
amounts is adjusted by the wage index
to reflect the relative differences in labor
costs among geographic areas. The IPPS
Federal payment rate for operating costs
is calculated as the MS–DRG relative
weight × [(labor-related applicable
standardized amount × applicable wage
index) + (nonlabor-related applicable
standardized amount × cost-of-living
adjustment)]. Given our understanding
that the costs for CAR T-cell therapy
drugs do not vary among geographic
areas, and given that costs for CAR Tcell therapy would likely be an
extremely high portion of the costs for
the MS–DRG, we are seeking public
comments on whether we should not
geographically adjust the payment for
cases assigned to any potential new
MS–DRG for CAR T-cell therapy
procedures. We also are seeking public
comments on whether to instead apply
the geographic adjustment to a lower
proportion of payments under any
potential new MS–DRG and, if so, how
that lower proportion should be
determined. We note that while the
prices of other drugs may also not vary
significantly among geographic areas,
generally speaking, those other drugs
would not have estimated costs as high
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as those of CAR T-cell therapies, nor
would they represent as significant a
percentage of the average costs for the
case. We are seeking public comments
on the use of our exceptions and
adjustments authority under section
1886(d)(5)(I) of the Act (or other
relevant authorities) to implement any
such potential changes.
Section 1886(d)(5)(B) of the Act
provides that prospective payment
hospitals that have residents in an
approved graduate medical education
(GME) program receive an additional
payment for a Medicare discharge to
reflect the higher patient care costs of
teaching hospitals relative to
nonteaching hospitals. The regulations
regarding the calculation of this
additional payment, known as the
indirect medical education (IME)
adjustment, are located at 42 CFR
412.105. The formula is traditionally
described in terms of a certain
percentage increase in payment for
every 10-percent increase in the
resident-to-bed ratio. For some
hospitals, this percentage increase can
exceed an additional 25 percent or more
of the otherwise applicable payment.
Some hospitals, sometimes the same
hospitals, can also receive a large
percentage increase in payments due to
the Medicare disproportionate hospital
(DSH) adjustment provision under
section 1886(d)(5)(F) of the Act. The
regulations regarding the calculation of
the additional DSH payment are located
at 42 CFR 412.106.
Given that the payment for cases
assigned to a new MS–DRG for CAR Tcell therapy could significantly exceed
the historical payment for any existing
MS–DRG, these percentage add-on
payments could arguably result in
unreasonably high additional payments
for CAR T-cell therapy cases unrelated
in any significant empirical way to the
costs of the hospital in providing care.
For example, consider a teaching
hospital that has an IME adjustment
factor of 0.25, and a DSH adjustment
factor of 0.10. If we were to create a new
MS–DRG for CAR T-cell therapy
procedures that resulted in an average
IPPS Federal payment rate for operating
costs of $400,000, under the current
payment mechanism, the hospital
would receive an IME payment of
$100,000 ($400,000 × 0.25) and a DSH
payment of $40,000 ($400,000 × 0.10),
such that the total IPPS Federal
payment rate for operating costs
including IME and DSH payments
would be $540,000 ($400,000 +
$100,000 + $40,000). We are seeking
public comments on whether the IME
and DSH payments should not be made
for cases assigned to any new MS–DRG
for CAR T-cell therapy. We also are
seeking public comments on whether
we should instead reduce the applicable
percentages used to determine these
add-ons and, if so, how those lower
percentages should be determined. We
are seeking public comments on the use
of our exceptions and adjustments
authority under section 1886(d)(5)(I) of
the Act (or other relevant authorities) to
implement any potential changes.
As further discussed section II.G.7. of
the preamble to this proposed rule, we
are also requesting public comment on
other payment alternatives for these
cases, including eliminating the use of
the CCR in calculating the new
technology add-on payment for
KYMRIAH® and YESCARTA® by
making a uniform add-on payment that
equals the proposed maximum add-on
payment, that is, 65 percent of the cost
of the technology (in accordance with
the proposed increase in the calculation
of the maximum new technology add-on
payment amount), which in this
instance would be $242,450; and/or
using a higher percentage than the
proposed 65 percent to calculate the
maximum new technology add-on
payment amount.
We are also requesting public
comments on whether, in light of the
additional experience with billing and
payment for cases involving CAR T-cell
therapies to Medicare patients, we
should consider utilizing a specific CCR
for ICD–10–PCS procedure codes used
to report the performance of procedures
involving the use of CAR T-cell
therapies; for example, a CCR of 1.0,
when determining outlier payments,
when determining the new technology
add-on payments, and when
determining payments to IPPS-excluded
cancer hospitals for CAR T-cell
therapies.
We note that we also considered this
payment alternative for FY 2019, as
discussed in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41172 through
41174). We indicated in that rulemaking
that such a payment alternative might
use a CCR of 1.0 for charges associated
with ICD–10–PCS procedure codes
XW033C3 and XW043C3, given that
many public inquirers believed that
hospitals would be unlikely to set
charges different from the costs for
KYMRIAH® and YESCARTA® CAR Tcell therapies. We also indicated such a
change would result in a higher outlier
payment, higher new technology add-on
payment, or the determination of higher
costs for IPPS-excluded cancer hospital
cases. For example, and as described in
the FY 2019 IPPS LTCH PPS final rule
(83 FR 41773), if a hospital charged
$400,000 for the procedure described by
ICD–10–PCS procedure code XW033C3,
the application of a hypothetical CCR of
0.25 results in a cost of $100,000 (=
$400,000 * 0.25) while the application
of a hypothetical CCR of 1.00 results in
a cost of $400,000 (= $400,000 * 1.0).
3. MDC 1 (Diseases and Disorders of the
Nervous System): Carotid Artery Stent
Procedures
The logic for case assignment to MS–
DRGs 034, 035, and 036 (Carotid Artery
Stent Procedures with MCC, with CC,
and without CC/MCC, respectively) as
displayed in the ICD–10 MS–DRG
Version 36 Definitions Manual (which is
available via the internet on the CMS
website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/MS-DRGClassifications-and-Software.html) is
comprised of two lists of logic that
include procedure codes for operating
room (O.R.) procedures involving
dilation of a carotid artery (common,
internal or external) with intraluminal
device(s). The first list of logic is
entitled ‘‘Operating Room Procedures’’
and the second list of logic is entitled
‘‘Operating Room Procedures with
Operating Room Procedures’’. We
identified 46 ICD–10–PCS procedure
codes in the second logic list that do not
describe dilation of a carotid artery with
an intraluminal device. Of these 46
procedure codes, we identified 24 codes
describing dilation of a carotid artery
without an intraluminal device; 8 codes
describing dilation of the vertebral
artery; and 14 codes describing dilation
of a vein (jugular, vertebral and face), as
shown in the following table.
ICD–10 PCS CODES THAT INVOLVE DILATION OF A NECK ARTERY OR VEIN WITH AND WITHOUT AN INTRALUMINAL
DEVICE
ICD–10–PCS code
037H3Z6 ..............
037H3ZZ ..............
VerDate Sep<11>2014
Code description
Dilation of right common carotid artery, bifurcation, percutaneous approach.
Dilation of right common carotid artery, percutaneous approach.
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ICD–10 PCS CODES THAT INVOLVE DILATION OF A NECK ARTERY OR VEIN WITH AND WITHOUT AN INTRALUMINAL
DEVICE—Continued
ICD–10–PCS code
037H4Z6 ..............
037H4ZZ ..............
037J3Z6 ...............
037J3ZZ ...............
037J4Z6 ...............
037J4ZZ ...............
037K3Z6 ...............
037K3ZZ ..............
037K4Z6 ...............
037K4ZZ ..............
037L3Z6 ...............
037L3ZZ ...............
037L4Z6 ...............
037L4ZZ ...............
037M3Z6 ..............
037M3ZZ ..............
037M4Z6 ..............
037M4ZZ ..............
037N3Z6 ..............
037N3ZZ ..............
037N4Z6 ..............
037N4ZZ ..............
037P3Z6 ...............
037P3ZZ ..............
037P4Z6 ...............
037P4ZZ ..............
037Q3Z6 ..............
037Q3ZZ ..............
037Q4Z6 ..............
037Q4ZZ ..............
057M3DZ .............
057M4DZ .............
057N3DZ ..............
057N4DZ ..............
057P3DZ ..............
057P4DZ ..............
057Q3DZ ..............
057Q4DZ ..............
057R3DZ ..............
057R4DZ ..............
057S3DZ ..............
057S4DZ ..............
057T3DZ ..............
057T4DZ ..............
Code description
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
Dilation
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
of
right common carotid artery, bifurcation, percutaneous endoscopic approach.
right common carotid artery, percutaneous endoscopic approach.
left common carotid artery, bifurcation, percutaneous approach.
left common carotid artery, percutaneous approach.
left common carotid artery, bifurcation, percutaneous endoscopic approach.
left common carotid artery, percutaneous endoscopic approach.
right internal carotid artery, bifurcation, percutaneous approach.
right internal carotid artery, percutaneous approach.
right internal carotid artery, bifurcation, percutaneous endoscopic approach.
right internal carotid artery, percutaneous endoscopic approach.
left internal carotid artery, bifurcation, percutaneous approach.
left internal carotid artery, percutaneous approach.
left internal carotid artery, bifurcation, percutaneous endoscopic approach.
left internal carotid artery, percutaneous endoscopic approach.
right external carotid artery, bifurcation, percutaneous approach.
right external carotid artery, percutaneous approach.
right external carotid artery, bifurcation, percutaneous endoscopic approach.
right external carotid artery, percutaneous endoscopic approach.
left external carotid artery, bifurcation, percutaneous approach.
left external carotid artery, percutaneous approach.
left external carotid artery, bifurcation, percutaneous endoscopic approach.
left external carotid artery, percutaneous endoscopic approach.
right vertebral artery, bifurcation, percutaneous approach.
right vertebral artery, percutaneous approach.
right vertebral artery, bifurcation, percutaneous endoscopic approach.
right vertebral artery, percutaneous endoscopic approach.
left vertebral artery, bifurcation, percutaneous approach.
left vertebral artery, percutaneous approach.
left vertebral artery, bifurcation, percutaneous endoscopic approach.
left vertebral artery, percutaneous endoscopic approach.
right internal jugular vein with intraluminal device, percutaneous approach.
right internal jugular vein with intraluminal device, percutaneous endoscopic approach.
left internal jugular vein with intraluminal device, percutaneous approach.
left internal jugular vein with intraluminal device, percutaneous endoscopic approach.
right external jugular vein with intraluminal device, percutaneous approach.
right external jugular vein with intraluminal device, percutaneous endoscopic approach.
left external jugular vein with intraluminal device, percutaneous approach.
left external jugular vein with intraluminal device, percutaneous endoscopic approach.
left vertebral vein with intraluminal device, percutaneous approach.
right vertebral vein with intraluminal device, percutaneous endoscopic approach.
left vertebral vein with intraluminal device, percutaneous approach.
left vertebral vein with intraluminal device, percutaneous endoscopic approach.
right face vein with intraluminal device, percutaneous approach.
right face vein with intraluminal device, percutaneous endoscopic approach.
We examined claims data from the
September 2018 update of the FY 2018
MedPAR file for MS–DRGs 034, 035,
and 036 and identified cases reporting
any one of the 46 ICD–10–PCS
procedure codes listed in the tables
above. Our findings are shown in the
following table.
MS–DRGS FOR CAROTID ARTERY STENT PROCEDURES
Number of
cases
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG
MS–DRG 034—All cases ............................................................................................................
MS–DRG 034—Cases with procedure code other than dilation of a carotid artery with an
intraluminal device ...................................................................................................................
MS–DRG 035—All cases ............................................................................................................
MS–DRG 035—Cases with procedure code other than dilation of a carotid artery with an
intraluminal device ...................................................................................................................
MS–DRG 036—All cases ............................................................................................................
MS–DRG 036—Cases with procedure code other than dilation of a carotid artery with an
intraluminal device ...................................................................................................................
As shown in the table above, we
found a total of 863 cases with an
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average length of stay of 6.8 days and
average costs of $27,600 in MS–DRG
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Average
length of stay
Average costs
863
6.8
$27,600
15
2,369
8.8
3
36,596
16,731
52
3,481
3.5
1.4
17,815
12,637
67
1.4
12,621
034. There were 15 cases reporting at
least one of the 46 procedure codes that
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do not describe dilation of the carotid
artery with an intraluminal device in
MS–DRG 034 with an average length of
stay of 8.8 days and average costs of
$36,596. For MS–DRG 035, we found a
total of 2,369 cases with an average
length of stay of 3 days and average
costs of $16,731. There were 52 cases
reporting at least one of the 46
procedure codes that do not describe
dilation of the carotid artery with an
intraluminal device in MS–DRG 035
with an average length of stay of 3.5
days and average costs of $17,815. For
MS–DRG 036, we found a total of 3,481
cases with an average length of stay of
1.4 days and average costs of $12,637.
There were 67 cases reporting at least
one of the 46 procedure codes that do
not describe dilation of the carotid
artery with an intraluminal device in
MS–DRG 036 with an average length of
stay of 1.4 days and average costs of
$12,621.
Our clinical advisors stated that MS–
DRGs 034, 035, and 036 are defined to
include only those procedure codes that
describe procedures that involve
dilation of a carotid artery with an
intraluminal device. Therefore, we are
proposing to remove the procedure
codes listed in the table above from MS–
DRGs 034, 035, and 036 that describe
procedures which (1) do not include an
intraluminal device; (2) describe
procedures performed on arteries other
than a carotid; and (3) describe
procedures performed on a vein.
The 46 ICD–10–PCS procedure codes
listed in the table above are also
assigned to MS–DRGs 037, 038, and 039
(Extracranial Procedures with MCC,
with CC, and without CC/MCC,
respectively). Therefore, we also
examined claims data from the
September 2018 update of the FY 2018
MedPAR file for MS–DRGs 037, 038,
and 039. Our findings are shown in the
following table.
MS–DRGS FOR EXTRACRANIAL PROCEDURES
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG 037—All cases ............................................................................................................
MS–DRG 038—All cases ............................................................................................................
MS–DRG 039—All cases ............................................................................................................
We found a total of 3,612 cases in
MS–DRG 037 with an average length of
stay of 7.1 days and average costs of
$23,703. We found a total of 11,406
cases in MS–DRG 038 with an average
length of stay of 3.1 days and average
costs of $12,480. We found a total of
22,938 cases in MS–DRG 039 with an
average length of stay of 1.5 days and
average costs of $8,400.
During our review of claims data for
MS–DRGs 037, 038, and 039, we also
discovered 96 ICD–10–PCS procedure
codes describing dilation of a carotid
artery with an intraluminal device that
were inadvertently included as a result
of efforts to replicate the ICD–9 based
MS–DRGs. These procedure codes are
also included in the logic for MS–DRGs
034, 035, and 036. Under ICD–9–CM,
procedure codes 00.61 (Percutaneous
angioplasty of extracranial vessel(s)) and
00.63 (Percutaneous insertion of carotid
artery stent(s)) are both required to be
reported on a claim to identify that a
carotid artery stent procedure was
performed and for assignment of the
case to MS–DRGs 034, 035, and 036.
Procedure code 00.61 is designated as
an O.R. procedure, while procedure
code 00.63 is designated as a non-O.R.
procedure. Under ICD–10–PCS, a
carotid artery stent procedure is
described by one unique code that
includes both clinical concepts of the
angioplasty (dilation) and the insertion
of the stent (intraluminal device). This
‘‘combination code’’ under ICD–10–PCS
is designated as an O.R. procedure.
Under ICD–9–CM, procedure code 00.61
reported in the absence of procedure
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code 00.63 results in assignment to MS–
DRGs 037, 038, and 039 according to the
MS–DRG logic because procedure code
00.61 has an inclusion term for vertebral
vessels, as well as for the carotid
vessels. Therefore, when all of the
comparable translations of procedure
code 00.61 as an O.R. procedure were
replicated from the ICD–9 based MS–
DRGs to the ICD–10 based MS–DRGs,
this replication inadvertently results in
the assignment of ICD–10–PCS
procedure codes that identify and
describe a carotid artery stent procedure
to MS–DRGs 037, 038, and 039.
Therefore, we are proposing to remove
the 96 ICD–10–PCS procedure codes
describing dilation of a carotid artery
with an intraluminal device from MS–
DRGs 037, 038, and 039.
We also found 6 procedure codes
describing dilation of a carotid artery
with an intraluminal device in MS–
DRGs 037, 038, and 039 that are not
currently assigned to MS–DRGs 034,
035, and 036. Our clinical advisors
recommended that these 6 procedure
codes be reassigned from MS–DRGs 037,
038, and 039 to MS–DRGs 034, 035, and
036 because the 6 procedure codes are
consistent with the other procedures
describing dilation of a carotid artery
with an intraluminal device that are
currently assigned to MS–DRGs 034,
035, and 036. We refer readers to Table
6P.1b. associated with this proposed
rule (which is available via the internet
on the CMS website at: https://www.cms.
hhs.gov/Medicare/Medicare-Fee-forService-Payment/AcuteInpatientPPS/
index.html) for the complete list of
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3,612
11,406
22,938
Average
length of stay
7.1
3.1
1.5
Average costs
$23,703
12,480
8,400
procedure codes that we are proposing
to remove from MS–DRGs 037, 038, and
039.
We also note that, as discussed in
section II.F.14.f. of the preamble of this
proposed rule, we are deleting a number
of codes that include the ICD–10–PCS
qualifier term ‘‘bifurcation’’ as the result
of the finalized proposal discussed at
the September 11–12, 2018 ICD–10
Coordination and Maintenance
Committee meeting. We refer readers to
the website at: https://www.cms.gov/
Medicare/Coding/ICD9Provider
DiagnosticCodes/ICD-9-CM-C-and-MMeeting-Materials.html for the
committee meeting materials and
discussion regarding this proposal. We
note that, of the 96 procedure codes that
we are proposing to remove from the
logic for MS–DRGs 037, 038, and 039,
there are 48 procedure codes that
include the qualifier term ‘‘bifurcation’’.
Therefore, these 48 procedure codes
will be deleted effective October 1,
2019. The 48 remaining valid procedure
codes that do not include the term
‘‘bifurcation’’ that we are proposing to
remove from MS–DRGs 037, 038, and
039 will continue to be assigned to MS–
DRGs 034, 035, and 036.
Lastly, if the applicable proposed
MS–DRG changes are finalized, we
would make a conforming change to the
ICD–10 MS–DRG Version 37 Definitions
Manual for FY 2020 by combining all
the procedure codes identifying a
carotid artery stent procedure within
MS–DRGs 034, 035, and 036 into one
list entitled ‘‘Operating Room
Procedures’’ to better reflect the
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definition of these MS–DRGs based on
the discussion and proposals described
above.
4. MDC 4 (Diseases and Disorders of the
Respiratory System): Pulmonary
Embolism
We received a request to reassign
three ICD–10–CM diagnosis codes for
pulmonary embolism with acute cor
ICD–10–CM code
I26.01 ...................
I26.02 ...................
I26.09 ...................
pulmonale from MS–DRG 176
(Pulmonary Embolism without MCC) to
the higher severity level MS–DRG 175
(Pulmonary Embolism with MCC). The
three diagnosis codes are identified in
the following table.
Code description
Septic pulmonary embolism with acute cor pulmonale.
Saddle embolus of pulmonary artery with acute cor pulmonale.
Other pulmonary embolism with acute cor pulmonale.
The requestor noted that, in the FY
2019 IPPS/LTCH PPS final rule (83 FR
41231 through 41234), we finalized the
proposal to remove the special logic in
the GROUPER for processing claims
containing a code on the Principal
Diagnosis Is Its Own CC or MCC Lists
and deleted the relevant tables from the
ICD–10 MS–DRG Definitions Manual
Version 36, effective October 1, 2018. As
a result of this change, cases reporting
any one of the three ICD–10–CM
diagnosis codes describing a pulmonary
embolism with acute cor pulmonale
were reassigned from MS–DRG 175 to
MS–DRG 176, absent a secondary
diagnosis code to trigger assignment to
MS–DRG 175. The requestor stated that
this change in the MS–DRG assignment
for these cases resulted in a reduction in
payment for cases involving pulmonary
embolism with acute cor pulmonale and
that the FY 2019 payment rate for MS–
DRG 176 does not appropriately account
for the costs and resource utilization
associated with these cases because the
subset of patients with pulmonary
embolism with acute cor pulmonale
often represents a more severe set of
patients with pulmonary embolism.
The logic for case assignment to MS–
DRGs 175 and 176 is displayed in the
ICD–10 MS–DRG Version 36 Definitions
Manual, which is available via the
internet on the CMS website at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/AcuteInpatient
PPS/MS-DRG-Classifications-andSoftware.html.
We analyzed claims data from the
September 2018 update of the FY 2018
MedPAR file for MS–DRGs 175 and 176
to identify cases reporting diagnosis
codes describing pulmonary embolism
with acute cor pulmonale as listed
above (ICD–10–CM diagnosis codes
I26.01, I26.02 or I26.09) as the principal
diagnosis or as a secondary diagnosis.
Our findings are shown in the following
table.
MS–DRGS FOR PULMONARY EMBOLISM
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG
MS–DRG
MS–DRG
MS–DRG
175—All cases ............................................................................................................
175—Cases with pulmonary embolism with acute cor pulmonale .............................
176—All cases ............................................................................................................
176—Cases with pulmonary embolism with acute cor pulmonale .............................
As shown in the table, for MS–DRG
175, there was a total of 24,389 cases
with an average length of stay of 5.2
days and average costs of $10,294. Of
these 24,389 cases, there were 2,326
cases reporting pulmonary embolism
with acute cor pulmonale, with an
average length of stay 5.7 days and
average costs of $13,034. For MS–DRG
176, there was a total of 30,215 cases
with an average length of stay of 3.3
days and average costs of $6,356. Of
these 30,215 cases, there were 1,821
cases reporting pulmonary embolism
with acute cor pulmonale with an
average length of stay of 3.9 days and
average costs of $9,630.
As stated in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41231 through
41234), available ICD–10 data can now
be used to evaluate other indicators of
resource utilization and, as shown by
our claims analysis, the data indicate
that the average costs of cases reporting
pulmonary embolism or saddle embolus
with acute cor pulmonale ($9,630) in
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MS–DRG 176 are closer to the average
costs for all pulmonary embolism cases
in MS–DRG 175 ($10,294) as compared
to the average costs for all cases in MS–
DRG 176 ($6,356). Our clinical advisors
also agree that this subset of patients
with acute cor pulmonale often
represents a more severe set of patients
and that these cases are more
appropriately assigned to the higher
severity level ‘‘with MCC’’ MS–DRG.
Therefore, we are proposing to reassign
cases reporting diagnosis code I26.01,
I26.02, or I26.09 to the higher severity
level MS–DRG 175 and to revise the title
for MS–DRG 175 to ‘‘Pulmonary
Embolism with MCC or Acute Cor
Pulmonale’’ to more accurately reflect
the diagnoses assigned there.
5. MDC 5 (Diseases and Disorders of the
Circulatory System)
a. Transcatheter Mitral Valve Repair
With Implant
As we did for the FY 2015 IPPS/LTCH
PPS proposed rule (79 FR 28008
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24,389
2,326
30,215
1,821
Average
length of stay
5.2
5.7
3.3
3.9
Average costs
$10,294
13,034
6,356
9,630
through 28010) and for the FY 2017
IPPS/LTCH PPS proposed rule (81 FR
24985 through 24989), for FY 2020, we
received a request to modify the MS–
DRG assignment for transcatheter mitral
valve repair (TMVR) with implant
procedures. ICD–10–PCS procedure
code 02UG3JZ (Supplement mitral valve
with synthetic substitute, percutaneous
approach) identifies and describes this
procedure. This request also included
the suggestion that CMS give
consideration to reclassifying other
endovascular cardiac valve repair
procedures. Specifically, the requestor
recommended that cases reporting
procedure codes describing an
endovascular cardiac valve repair with
implant be reassigned to MS–DRGs 266
and 267 (Endovascular Cardiac Valve
Replacement with and without MCC,
respectively) and that the MS–DRG
titles be revised to Endovascular Cardiac
Valve Interventions with Implant with
and without MCC, respectively. We
refer readers to detailed discussions of
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the MitraClip® System (hereafter
referred to as MitraClip®) for
transcatheter mitral valve repair in
previous rulemakings, including the FY
2012 IPPS/LTCH PPS proposed rule (76
FR 25822) and final rule (76 FR 51528
through 51529), the FY 2013 IPPS/LTCH
PPS proposed rule (77 FR 27902
through 27903) and final rule (77 FR
53308 through 53310), the FY 2015
IPPS/LTCH PPS proposed rule (79 FR
28008 through 28010) and final rule (79
FR 49889 through 49892), the FY 2016
IPPS/LTCH PPS proposed rule (80 FR
24356 through 24359) and final rule (80
FR 49363 through 49367), and the FY
2017 IPPS/LTCH PPS proposed rule (81
FR 24985 through 24989) and final rule
(81 FR 56809 through 56813), in
response to requests for MS–DRG
reclassification, as well as the FY 2014
IPPS/LTCH PPS proposed rule (78 FR
27547 through 27552), under the new
technology add-on payment policy. In
the FY 2014 IPPS/LTCH PPS final rule
(78 FR 50575), we were unable to
consider further the application for a
new technology add-on payment for
MitraClip® because the technology had
not received FDA approval by the July
1, 2013 deadline.
In the FY 2015 IPPS/LTCH PPS final
rule, we finalized our proposal to not
create a new MS–DRG or to reassign
cases reporting ICD–9–CM procedure
code 35.97 that described procedures
involving the MitraClip® to another
MS–DRG (79 FR 49889 through 49892).
Under a new application, the request for
new technology add-on payments for
the MitraClip® System was approved for
FY 2015 (79 FR 49941 through 49946).
The new technology add-on payment for
MitraClip® was subsequently
discontinued effective FY 2017.
In the FY 2016 IPPS/LTCH PPS final
rule (80 FR 49371), we finalized a
modification to the MS–DRGs to which
procedures involving the MitraClip®
were assigned. For the ICD–10 based
MS–DRGs to fully replicate the ICD–9–
CM based MS–DRGs, ICD–10–PCS code
02UG3JZ (Supplement mitral valve with
synthetic substitute, percutaneous
approach), which identifies the
MitraClip® technology and is the ICD–
10–PCS code translation for ICD–9–CM
procedure code 35.97 (Percutaneous
mitral valve repair with implant), was
assigned to new MS–DRGs 273 and 274
(Percutaneous Intracardiac Procedures
with MCC and without MCC,
respectively) and continued to be
assigned to MS–DRGs 231 and 232
(Coronary Bypass with PTCA with MCC
and without MCC, respectively).
In the FY 2017 IPPS/LTCH PPS
proposed and final rules, we also
discussed our analysis of MS–DRGs 228,
229, and 230 (Other Cardiothoracic
Procedures with MCC, with CC, and
without CC/MCC, respectively) with
regard to the possible reassignment of
cases reporting ICD–10–PCS procedure
code 02UG3JZ (Supplement mitral valve
with synthetic substitute, percutaneous
approach). We finalized our proposal to
collapse these MS–DRGs (228, 229, and
230) from three severity levels to two
severity levels by deleting MS–DRG 230
ICD–10–PCS code
amozie on DSK9F9SC42PROD with PROPOSALS2
02UF37J ...............
02UF37Z ..............
02UF38J ...............
02UF38Z ..............
02UF3JJ ...............
02UF3JZ ..............
02UF3KJ ..............
02UF3KZ ..............
02UG37E .............
02UG37Z ..............
02UG38E .............
02UG38Z ..............
02UG3KE .............
02UG3KZ .............
02UG3JE ..............
02UG3JZ ..............
02UH37Z ..............
02UH38Z ..............
02UH3JZ ..............
02UH3KZ .............
02UJ37G ..............
02UJ37Z ...............
02UJ38G ..............
02UJ38Z ...............
02UJ3JG ..............
02UJ3JZ ...............
VerDate Sep<11>2014
and revising the structure of MS–DRG
229. We also finalized our proposal to
reassign ICD–10–PCS procedure code
02UG3JZ (Supplement mitral valve with
synthetic substitute, percutaneous
approach) from MS–DRGs 273 and 274
to MS–DRG 228 and revised MS–DRG
229 (81 FR 56813).
According to the requestor, there are
substantial clinical and resource
differences between the transcatheter
mitral valve repair (TMVR) procedure
and other procedures currently grouping
to MS–DRGs 228 and 229. The requestor
noted that, currently, ICD–10–PCS
procedure code 02UG3JZ is the only
endovascular valve intervention with
implant procedure that maps to MS–
DRGs 228 and 229. The requestor also
noted that other ICD–10–PCS procedure
codes describing procedures for
endovascular (transcatheter) cardiac
valve repair with implant map to MS–
DRGs 273 and 274 or to MS–DRGs 216,
217, 218, 219, 220, and 221 (Cardiac
Valve and Other Major Cardiothoracic
Procedures with and without Cardiac
Catheterization with MCC, with CC and
without CC/MCC, respectively). The
requestor further noted that all ICD–10–
PCS procedure codes for endovascular
cardiac valve replacement procedures
map to MS–DRGs 266 (Endovascular
Cardiac Valve Replacement with MCC)
and 267 (Endovascular Cardiac Valve
Replacement without MCC).
The ICD–10–PCS procedure codes
describing a transcatheter cardiac valve
repair procedure with an implant are
listed in the following table.
Description
Supplement
Supplement
Supplement
Supplement
Supplement
Supplement
Supplement
Supplement
Supplement
Supplement
Supplement
Supplement
Supplement
proach.
Supplement
Supplement
Supplement
Supplement
Supplement
Supplement
Supplement
Supplement
proach.
Supplement
Supplement
Supplement
Supplement
Supplement
17:51 May 02, 2019
aortic valve created from truncal valve with autologous tissue substitute, percutaneous approach.
aortic valve with autologous tissue substitute, percutaneous approach.
aortic valve created from truncal valve with zooplastic tissue, percutaneous approach.
aortic valve with zooplastic tissue, percutaneous approach.
aortic valve created from truncal valve with synthetic substitute, percutaneous approach.
aortic valve with synthetic substitute, percutaneous approach.
aortic valve created from truncal valve with nonautologous tissue substitute, percutaneous approach.
aortic valve with nonautologous tissue substitute, percutaneous approach.
mitral valve created from left atrioventricular valve with autologous tissue substitute, percutaneous approach.
mitral valve with autologous tissue substitute, percutaneous approach.
mitral valve created from left atrioventricular valve with zooplastic tissue, percutaneous approach.
mitral valve with zooplastic tissue, percutaneous approach.
mitral valve created from left atrioventricular valve with nonautologous tissue substitute, percutaneous apmitral valve with nonautologous tissue substitute, percutaneous approach.
mitral valve created from left atrioventricular valve with synthetic substitute, percutaneous approach.
mitral valve with synthetic substitute, percutaneous approach.
pulmonary valve with autologous tissue substitute, percutaneous approach.
pulmonary valve with zooplastic tissue, percutaneous approach.
pulmonary valve with synthetic substitute, percutaneous approach.
pulmonary valve with nonautologous tissue substitute, percutaneous approach.
tricuspid valve created from right atrioventricular valve with autologous tissue substitute, percutaneous aptricuspid
tricuspid
tricuspid
tricuspid
tricuspid
Jkt 247001
valve
valve
valve
valve
valve
with autologous tissue substitute, percutaneous approach.
created from right atrioventricular valve with zooplastic tissue, percutaneous approach.
with zooplastic tissue, percutaneous approach.
created from right atrioventricular valve with synthetic substitute, percutaneous approach.
with synthetic substitute, percutaneous approach.
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Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
ICD–10–PCS code
Description
02UJ3KG ..............
Supplement tricuspid valve created from right atrioventricular valve with nonautologous tissue substitute, percutaneous approach.
Supplement tricuspid valve with nonautologous tissue substitute, percutaneous approach.
02UJ3KZ ..............
The ICD–10–PCS procedure codes
describing a transcatheter cardiac valve
replacement procedure are listed in the
following table.
ICD–10–PCS code
amozie on DSK9F9SC42PROD with PROPOSALS2
02RF37H ..............
02RF37Z ..............
02RF38H ..............
02RF38Z ..............
02RF3JH ..............
02RF3JZ ..............
02RF3KH .............
02RF3KZ ..............
02RG37H .............
02RG37Z ..............
02RG38H .............
02RG38Z ..............
02RG3JH .............
02RG3JZ ..............
02RG3KH .............
02RG3KZ .............
02RH37H .............
02RH37Z ..............
02RH38H .............
02RH38Z ..............
02RH3JH ..............
02RH3JZ ..............
02RH3KH .............
02RH3KZ .............
02RJ37H ..............
02RJ37Z ...............
02RJ38H ..............
02RJ38Z ...............
02RJ3JH ..............
02RJ3JZ ...............
02RJ3KH ..............
02RJ3KZ ..............
X2RF332 ..............
Description
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
group 2.
of aortic valve with autologous tissue substitute, transapical, percutaneous approach.
of aortic valve with autologous tissue substitute, percutaneous approach.
of aortic valve with zooplastic tissue, transapical, percutaneous approach.
of aortic valve with zooplastic tissue, percutaneous approach.
of aortic valve with synthetic substitute, transapical, percutaneous approach.
of aortic valve with synthetic substitute, percutaneous approach.
of aortic valve with nonautologous tissue substitute, transapical, percutaneous approach.
of aortic valve with nonautologous tissue substitute, percutaneous approach.
of mitral valve with autologous tissue substitute, transapical, percutaneous approach.
of mitral valve with autologous tissue substitute, percutaneous approach.
of mitral valve with zooplastic tissue, transapical, percutaneous approach.
of mitral valve with zooplastic tissue, percutaneous approach.
of mitral valve with synthetic substitute, transapical, percutaneous approach.
of mitral valve with synthetic substitute, percutaneous approach.
of mitral valve with nonautologous tissue substitute, transapical, percutaneous approach.
of mitral valve with nonautologous tissue substitute, percutaneous approach.
of pulmonary valve with autologous tissue substitute, transapical, percutaneous approach.
of pulmonary valve with autologous tissue substitute, percutaneous approach.
of pulmonary valve with zooplastic tissue, transapical, percutaneous approach.
of pulmonary valve with zooplastic tissue, percutaneous approach.
of pulmonary valve with synthetic substitute, transapical, percutaneous approach.
of pulmonary valve with synthetic substitute, percutaneous approach.
of pulmonary valve with nonautologous tissue substitute, transapical, percutaneous approach.
of pulmonary valve with nonautologous tissue substitute, percutaneous approach.
of tricuspid valve with autologous tissue substitute, transapical, percutaneous approach.
of tricuspid valve with autologous tissue substitute, percutaneous approach.
of tricuspid valve with zooplastic tissue, transapical, percutaneous approach.
of tricuspid valve with zooplastic tissue, percutaneous approach.
of tricuspid valve with synthetic substitute, transapical, percutaneous approach.
of tricuspid valve with synthetic substitute, percutaneous approach.
of tricuspid valve with nonautologous tissue substitute, transapical, percutaneous approach.
of tricuspid valve with nonautologous tissue substitute, percutaneous approach.
of aortic valve using zooplastic tissue, rapid deployment technique, percutaneous approach, new technology
The requestor performed its own
analyses, first comparing TMVR
procedures (ICD–10–PCS procedure
code 02UG3JZ) to other procedures
currently assigned to MS–DRGs 228 and
229, as well as to the transcatheter
cardiac valve replacement procedures in
MS–DRGs 266 and 267. We refer the
reader to the ICD–10 MS–DRG Version
36 Definitions Manual for complete
documentation of the logic for case
assignment to MS–DRGs 228 and 229
(which is available via the internet on
the CMS website at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/MS-DRGClassifications-and-Software.html).
According to the requestor, its findings
indicate that TMVR is more closely
aligned with MS–DRGs 266 and 267
than MS–DRGs 228 and 229 with regard
to average length of stay and average
[standardized] costs. The requestor also
examined the impact of removing cases
reporting a TMVR procedure (ICD–10–
PCS procedure code 02UG3JZ) from
MS–DRGs 228 and 229 and adding
those cases to MS–DRGs 266 and 267.
The requestor noted this movement
would have minimal impact to MS–
DRGs 266 and 267 based on its analysis.
In addition, the requestor stated that its
request is in alignment with CMS’
policy goal of creating and maintaining
clinically coherent MS–DRGs.
The requestor acknowledged that
CMS has indicated in prior rulemaking
that TMVR procedures are not clinically
similar to endovascular cardiac valve
replacement procedures, and the
requestor agreed that they are distinct
procedures. However, the requestor also
believed that TMVR is more similar to
the replacement procedures in MS–
DRGs 266 and 267 compared to the
other procedures currently assigned to
MS–DRGs 228 and 229. The requestor
provided the following table of
procedures in volume order (highest to
lowest) to illustrate the clinical
differences between TMVR procedures
and other procedures currently assigned
to MS–DRGs 228 and 229.
Procedure
Approach
Anatomy treated
ICD–10–PCS
root operation
TMVR ................................
Destruction ........................
Percutaneous ....................
Open .................................
Valves ...............................
Atria ...................................
Supplement .......................
Destruction ........................
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17:51 May 02, 2019
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03MYP2
Implanted device
Substitute.
None.
19188
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Procedure
Approach
Anatomy treated
ICD–10–PCS
root operation
Implanted device
Coronary Atherectomy ......
Insertion .............................
Open .................................
Percutaneous ....................
Coronary Artery .................
Atria or Ventricles .............
Extirpation .........................
Insertion ............................
Destruction ........................
Structural Heart Repair .....
Percutaneous ....................
Open .................................
Destructions ......................
Repair ................................
Structural Heart Excision ...
Open .................................
Atria ...................................
Septum, Heart, Chordae
Tendinae, or Papillary
Muscle.
Septum, Atria, Ventricles,
Chordae Tendinae, or
Papillary Muscle.
None.
Pacemaker or Intraluminal
Device.
None.
None.
Excision .............................
None.
The requestor noted that, among the
procedures listed in the table, TMVR is
the only procedure that involves
treatment of a cardiac valve and is the
only procedure that involves implanting
a synthetic substitute.
To illustrate the similarities between
TMVR procedures and endovascular
cardiac valve replacements in MS–DRGs
266 and 267, the requestor provided the
following table.
Procedure
Approach
Anatomy treated
ICD–10–PCS
root operation
TMVR ................................
Endovascular Cardiac
Valve Replacement.
Percutaneous ....................
Percutaneous ....................
Valves ...............................
Valves ...............................
Supplement .......................
Replacement .....................
The requestor noted that both TMVR
procedures and endovascular cardiac
valve replacements use a percutaneous
approach, treat cardiac valves, and use
an implanted device for purposes of
improving the function of the specified
valve. The requestor believed that the
analyses support the request to group
TMVR procedures with endovascular
cardiac valve replacements from a
resource perspective and an
improvement to clinical coherence
could be achieved because TMVR
procedures are more similar to the
endovascular cardiac valve
replacements compared to the other
procedures in MS–DRGs 228 and 229,
where TMVR is currently assigned.
As noted earlier in this section, the
request also included the suggestion
that CMS give consideration to
reclassifying other endovascular cardiac
valve repair with implant procedures to
MS–DRGs 266 and 267; specifically,
endovascular cardiac valve repair with
implant procedures involving the aortic,
pulmonary, tricuspid and other nonTMVR mitral valve procedures that
currently group to MS–DRGs 273 and
274 or MS–DRGs 216, 217, 218, 219, 220
and 221. The requestor acknowledged
that endovascular cardiac valve repair
with implant procedures involving
these other cardiac valves have lower
volumes in comparison to the TMVR
procedure (ICD–10–PCS procedure code
02UG3JZ), which makes analysis of
these procedures a little more difficult.
However, the requestor suggested that
movement of these procedures to MS–
DRGs 266 and 267 would enable the
ability to maintain clinical coherence
for all endovascular cardiac valve
interventions. The requestor also stated
that there is an anticipated increase in
the volume of not only the TMVR
procedure described by ICD–10–PCS
procedure code 02UG3JZ (which has
grown annually since the MitraClip®
was approved for new technology addon payment in FY 2015), but also for the
other endovascular cardiac valve repair
with implant procedures, such as those
involving the tricuspid valve, which are
currently under study in the United
States and Europe. Based on this
anticipated increase in volume for
endovascular cardiac valve repair with
Implanted device
Substitute.
Substitute.
implant procedures, the requestor
believed that it would be advantageous
to take this opportunity to restructure
the MS–DRGs by moving all the
endovascular cardiac valve repair with
implant procedures to MS–DRGs 266
and 267 with revised titles as noted
previously, to improve clinical
consistency beginning in FY 2020. The
requestor further noted that while the
requestor believes its request reflects the
best approach for appropriate MS–DRG
assignment for TMVR and other
endovascular cardiac valve repair with
implant procedures, the requestor
understands that CMS may consider
other alternatives.
We analyzed claims data from the
September 2018 update of the FY 2018
MedPAR file for cases reporting ICD–
10–PCS procedure code 02UG3JZ in
MS–DRGs 228 and 229 as well as cases
reporting one of the procedure codes
listed above describing a transcatheter
cardiac valve repair with implant
procedure in MS–DRGs 216, 217, 218,
219, 220, 221, 273, and 274. Our
findings are shown in the tables below.
MS–DRGS FOR TRANSCATHETER CARDIAC VALVE REPAIR WITH IMPLANT PROCEDURES
Number of
cases
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
216—All cases ............................................................................................................
216—Cases with procedure codes for transcatheter cardiac valve repair ................
217—All cases ............................................................................................................
217—Cases with procedure codes for transcatheter cardiac valve repair ................
218—All cases ............................................................................................................
218—Cases with procedure codes for transcatheter cardiac valve repair ................
219—All cases ............................................................................................................
219—Cases with procedure codes for transcatheter cardiac valve repair ................
VerDate Sep<11>2014
17:51 May 02, 2019
Jkt 247001
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5,909
48
2,166
25
268
4
15,105
55
E:\FR\FM\03MYP2.SGM
03MYP2
Average
length of stay
16
12.6
9.4
3.4
6.8
1.3
10.9
7.1
Average costs
$70,435
72,556
47,299
40,707
39,501
45,903
55,423
65,880
19189
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
MS–DRGS FOR TRANSCATHETER CARDIAC VALVE REPAIR WITH IMPLANT PROCEDURES—Continued
Number of
cases
MS–DRG
MS–DRG 220—All cases ............................................................................................................
MS–DRG 220—Cases with procedure codes for transcatheter cardiac valve repair ................
MS–DRG 221—All cases ............................................................................................................
MS–DRG 221—Cases with procedure codes for transcatheter cardiac valve repair ................
MS–DRG 228—All cases ............................................................................................................
MS–DRG 228—Cases with procedure code 02UG3JZ (Supplement mitral valve with synthetic substitute, percutaneous approach) ...............................................................................
MS–DRG 229—All cases ............................................................................................................
MS–DRG 229—Cases with procedure code 02UG3JZ (Supplement mitral valve with synthetic substitute, percutaneous approach) ...............................................................................
MS–DRG 273—All cases ............................................................................................................
MS–DRG 273—Cases with procedure codes for transcatheter cardiac valve repair ................
MS–DRG 274—All cases ............................................................................................................
MS–DRG 274—Cases with procedure codes for transcatheter cardiac valve repair ................
As shown in the table, we found a
total of 5,909 cases for MS–DRG 216
with an average length of stay of 16 days
and average costs of $70,435. Of those
5,909 cases, there were 48 cases
reporting a procedure code for a
transcatheter cardiac valve repair with
an average length of stay of 12.6 days
and average costs of $72,556. We found
a total of 2,166 cases for MS–DRG 217
with an average length of stay of 9.4
days and average costs of $47,299. Of
those 2,166 cases, there was a total of 25
cases reporting a procedure for a
transcatheter cardiac valve repair with
an average length of stay of 3.4 days and
average costs of $40,707. We found a
total of 268 cases for MS–DRG 218 with
an average length of stay of 6.8 days and
average costs of $39,501. Of those 268
cases, there were 4 cases reporting a
procedure code for a transcatheter
cardiac valve repair with an average
length of stay of 1.3 days and average
costs of $45,903. We found a total of
15,105 cases for MS–DRG 219 with an
average length of stay of 10.9 days and
average costs of $55,423. Of those
15,105 cases, there were 55 cases
reporting a procedure code for a
transcatheter cardiac valve repair with
an average length of stay of 7.1 days and
average costs of $65,880. We found a
total of 15,889 cases for MS–DRG 220
with an average length of stay of 6.6
days and average costs of $38,313. Of
those 15,889 cases, there were 40 cases
reporting a procedure code for a
transcatheter cardiac valve repair with
an average length of stay of 3 days and
average costs of $38,906. We found a
total of 2,652 cases for MS–DRG 221
with an average length of stay of 4.7
days and average costs of $33,577. Of
those 2,652 cases, there were 13 cases
reporting a procedure code for a
transcatheter cardiac valve repair with
an average length of stay of 2.2 days and
average costs of $29,646.
For MS–DRG 228, we found a total of
5,583 cases with an average length of
stay of 9.2 days and average costs of
$46,613. Of those 5,583 cases, there
were 1,688 cases reporting ICD–10–PCS
procedure code 02UG3JZ (Supplement
mitral valve with synthetic substitute,
percutaneous approach) with an average
length of stay of 5.6 days and average
costs of $49,569. As noted previously,
ICD–10–PCS procedure code 02UG3JZ
is the only endovascular cardiac valve
repair with implant procedure assigned
Average
length of stay
Average costs
15,889
40
2,652
13
5,583
6.6
3
4.7
2.2
9.2
38,313
38,906
33,577
29,646
46,613
1,688
6,593
5.6
4.3
49,569
32,322
2,018
7,785
6
20,434
7
1.7
6.9
7.5
2.3
1.4
38,321
27,200
52,370
22,771
28,152
to MS–DRGs 228 and 229. We found a
total of 6,593 cases for MS–DRG 229
with an average length of stay of 4.3
days and average costs of $32,322. Of
those 6,593 cases, there were 2,018
cases reporting ICD–10–PCS procedure
code 02UG3JZ with an average length of
stay of 1.7 days and average costs of
$38,321.
For MS–DRG 273, we found a total of
7,785 cases with an average length of
stay of 6.9 days and average costs of
$27,200. Of those 7,785 cases, there
were 6 cases reporting a procedure code
for a transcatheter cardiac valve repair
with an average length of stay of 7.5
days and average costs of $52,370. We
found a total of 20,434 cases in MS–
DRG 274 with an average length of stay
of 2.3 days and average costs of $22,771.
Of those 20,434 cases, there were 7
cases reporting a procedure code for a
transcatheter cardiac valve repair with
an average length of stay of 1.4 days and
average costs of $28,152.
We also analyzed cases reporting any
one of the procedure codes listed above
describing a transcatheter cardiac valve
replacement procedure in MS–DRGs
266 and 267. Our findings are shown in
the table below.
MS–DRGS FOR TRANSCATHETER CARDIAC VALVE REPLACEMENT PROCEDURES
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG 266—All cases ............................................................................................................
MS–DRG 267—All cases ............................................................................................................
As shown in the table, there was a
total of 15,079 cases with an average
length of stay of 5.6 days and average
costs of $51,402 in MS–DRG 266. For
MS–DRG 267, there was a total of
20,845 cases with an average length of
stay of 2.4 days and average costs of
$41,891.
VerDate Sep<11>2014
17:51 May 02, 2019
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As stated previously, the requestor
noted that ICD–10–PCS procedure code
02UG3JZ describing a transcatheter
mitral valve repair with implant
procedure is the only endovascular
cardiac valve intervention with implant
procedure assigned to MS–DRGs 228
and 229. The data analysis shows that
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15,079
20,845
Average
length of stay
5.6
2.4
Average costs
$51,402
41,891
for the cases reporting procedure code
02UG3JZ in MS–DRGs 228 and 229, the
average length of stay and average costs
are aligned with the average length of
stay and average costs of cases in MS–
DRGs 266 and 267, respectively.
The data also show that, for MS–DRGs
216, 217, 218, 219, 220, and 221 and for
E:\FR\FM\03MYP2.SGM
03MYP2
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Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
MS–DRG 274, the average length of stay
for cases reporting a transcatheter
cardiac valve with implant procedure is
shorter than the average length of stay
for all the cases in their assigned MS–
DRG. For MS–DRG 273, the average
length of stay for cases reporting a
transcatheter cardiac valve with implant
procedure is slightly longer (7.5 days
versus 6.9 days). In addition, the
average costs for the cases reporting a
transcatheter cardiac valve with implant
procedure are higher when compared to
all the cases in their assigned MS–DRG
with the exception of MS–DRG 217
($40,707 versus $47,299) and MS–DRG
221 ($29,646 versus $33,577).
Our clinical advisors continue to
believe that transcatheter cardiac valve
repair procedures are not the same as a
transcatheter (endovascular) cardiac
valve replacement. However, they agree
with the requestor and, based on our
data analysis, that these procedures are
more clinically coherent in that they
also describe endovascular cardiac valve
interventions with implants and are
similar in terms of average length of stay
and average costs to cases in MS–DRGs
266 and 267 when compared to other
procedures in their current MS–DRG
assignment. For these reasons, our
clinical advisors agree that we should
propose to reassign the endovascular
cardiac valve repair procedures
(supplement procedures) listed
previously to the endovascular cardiac
valve replacement MS–DRGs.
We analyzed the impact of grouping
the endovascular cardiac valve repair
with implant (supplement) procedures
with the endovascular cardiac valve
replacement procedures. The following
table reflects our findings for the
proposed revised endovascular cardiac
valve (supplement) procedures with the
endovascular cardiac valve replacement
MS–DRGs with a 2-way severity level
split.
PROPOSED REVISED MS–DRGS FOR ENDOVASCULAR CARDIAC VALVE REPLACEMENT AND SUPPLEMENT PROCEDURES
Number of
cases
MS–DRG
MS–DRG 266 (Endovascular Cardiac Valve Replacement and Supplement Procedures with
MCC) ........................................................................................................................................
MS–DRG 267 (Endovascular Cardiac Valve Replacement and Supplement Procedures without MCC) ..................................................................................................................................
As shown in the table, there was a
total of 16,922 cases for the
endovascular cardiac valve replacement
and supplement procedures with MCC
group, with an average length of stay of
5.7 days and average costs of $51,564.
There was a total of 22,958 cases for the
endovascular cardiac valve replacement
and supplement procedures without
MCC group, with an average length of
stay of 2.4 days and average costs of
$41,563. We applied the criteria to
create subgroups for the two-way
severity level split for the proposed
revised MS–DRGs and found that all
five criteria were met. For the proposed
revised MS–DRGs, there is at least (1)
500 or more cases in the MCC group or
in the without MCC subgroup; (2) 5
percent or more of the cases in the MCC
group or in the without MCC subgroup;
(3) a 20 percent difference in average
costs between the MCC group and the
without MCC group; (4) a $2,000
difference in average costs between the
MCC group and the without MCC group;
and (5) a 3-percent reduction in cost
variance, indicating that the proposed
severity level splits increase the
explanatory power of the base MS–DRG
in capturing differences in expected cost
between the proposed MS–DRG severity
level splits by at least 3 percent and
thus improve the overall accuracy of the
IPPS payment system.
amozie on DSK9F9SC42PROD with PROPOSALS2
ICD–10–PCS code
02QF3ZJ ..............
02QF3ZZ ..............
02QG3ZE .............
02QG3ZZ .............
02QH3ZZ .............
02QJ3ZG ..............
02QJ3ZZ ..............
02TH3ZZ ..............
02VG3ZZ ..............
02WF38Z .............
02WF3JZ ..............
02WF3KZ .............
02WG37Z .............
02WG38Z .............
02WG3JZ .............
02WG3KZ ............
02WH37Z .............
02WH38Z .............
02WH3JZ .............
02WH3KZ .............
02WJ37Z ..............
VerDate Sep<11>2014
5.7
$51,564
22,958
2.4
41,563.
During our review of the transcatheter
cardiac valve repair (supplement)
procedures in MS–DRGs 216, 217, 218,
219, 220, and 221, MS–DRGs 228 and
229, and MS–DRGs 273 and 274, our
clinical advisors recommended that we
also analyze the claims data to identify
other (non-supplement) transcatheter
(endovascular) procedures that involve
the cardiac valves and are assigned to
those same MS–DRGs to determine if
additional modifications may be
warranted, consistent with our ongoing
efforts to refine the ICD–10 MS–DRGs.
We analyzed the following ICD–10–
PCS procedure codes that are currently
assigned to MS–DRGs 216, 217, 218,
219, 220, and 221.
Repair aortic valve created from truncal valve, percutaneous approach.
Repair aortic valve, percutaneous approach.
Repair mitral valve created from left atrioventricular valve, percutaneous approach.
Repair mitral valve, percutaneous approach.
Repair pulmonary valve, percutaneous approach.
Repair tricuspid valve created from right atrioventricular valve, percutaneous approach.
Repair tricuspid valve, percutaneous approach.
Resection of pulmonary valve, percutaneous approach.
Restriction of mitral valve, percutaneous approach.
Revision of zooplastic tissue in aortic valve, percutaneous approach.
Revision of synthetic substitute in aortic valve, percutaneous approach.
Revision of nonautologous tissue substitute in aortic valve, percutaneous approach.
Revision of autologous tissue substitute in mitral valve, percutaneous approach.
Revision of zooplastic tissue in mitral valve, percutaneous approach.
Revision of synthetic substitute in mitral valve, percutaneous approach.
Revision of nonautologous tissue substitute in mitral valve, percutaneous approach.
Revision of autologous tissue substitute in pulmonary valve, percutaneous approach.
Revision of zooplastic tissue in pulmonary valve, percutaneous approach.
Revision of synthetic substitute in pulmonary valve, percutaneous approach.
Revision of nonautologous tissue substitute in pulmonary valve, percutaneous approach.
Revision of autologous tissue substitute in tricuspid valve, percutaneous approach.
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Average costs
16,922
Description
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Average
length of stay
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ICD–10–PCS code
02WJ38Z ..............
02WJ3JZ ..............
02WJ3KZ .............
Description
Revision of zooplastic tissue in tricuspid valve, percutaneous approach.
Revision of synthetic substitute in tricuspid valve, percutaneous approach.
Revision of nonautologous tissue substitute in tricuspid valve, percutaneous approach.
We also analyzed ICD–10–PCS
procedure code 02TH3ZZ (Resection of
pulmonary valve, percutaneous
approach) that is currently assigned to
MS–DRGs 228 and 229. Lastly, we
analyzed the following ICD–10–PCS
ICD–10–PCS code
025F3ZZ ...............
025G3ZZ ..............
025H3ZZ ..............
025J3ZZ ...............
027F34Z ...............
027F3DZ ..............
027F3ZZ ...............
027G34Z ..............
027G3DZ ..............
027G3ZZ ..............
027H34Z ..............
027H3DZ ..............
027H3ZZ ..............
027J34Z ...............
027J3DZ ...............
027J3ZZ ...............
02BF3ZZ ..............
02BG3ZZ ..............
02BH3ZZ ..............
02BJ3ZZ ...............
procedure codes that are currently
assigned to MS–DRGs 273 and 274.
Description
Destruction of aortic valve, percutaneous approach.
Destruction of mitral valve, percutaneous approach.
Destruction of pulmonary valve, percutaneous approach.
Destruction of tricuspid valve, percutaneous approach.
Dilation of aortic valve with drug-eluting intraluminal device, percutaneous approach.
Dilation of aortic valve with intraluminal device, percutaneous approach.
Dilation of aortic valve, percutaneous approach.
Dilation of mitral valve with drug-eluting intraluminal device, percutaneous approach.
Dilation of mitral valve with intraluminal device, percutaneous approach.
Dilation of mitral valve, percutaneous approach.
Dilation of pulmonary valve with drug-eluting intraluminal device, percutaneous approach.
Dilation of pulmonary valve with intraluminal device, percutaneous approach.
Dilation of pulmonary valve, percutaneous approach.
Dilation of tricuspid valve with drug-eluting intraluminal device, percutaneous approach.
Dilation of tricuspid valve with intraluminal device, percutaneous approach.
Dilation of tricuspid valve, percutaneous approach.
Excision of aortic valve, percutaneous approach.
Excision of mitral valve, percutaneous approach.
Excision of pulmonary valve, percutaneous approach.
Excision of tricuspid valve, percutaneous approach.
We analyzed claims data from the
September 2018 update of the FY 2018
MedPAR file for cases reporting any of
the above listed procedure codes in MS–
DRGs 216, 217, 218, 219, 220, and 221,
MS–DRGs 228 and 229, and MS–DRGs
273 and 274. Our findings are shown in
the following tables. We note that there
were no cases found in MS–DRGs 228
and 229 reporting ICD–10–PCS
procedure code 02TH3ZZ (Resection of
pulmonary valve, percutaneous
approach).
OTHER CARDIAC VALVE PROCEDURES IN MS–DRGS 216 THROUGH 221
ICD–10–PCS
code
Description
02QF3ZZ ...........
02QG3ZE ..........
58
4
9.7
1.3
$33,588
38,680
40
1
1
3.4
1
9
30,160
33,014
51,294
15
11
26
37
2
5
8.1
8.9
7.1
1
25,208
53,798
61,124
26,605
69,030
2
31
1
7.5
7.3
6
16,982
28,682
30,340
02WJ3JZ ...........
Repair aortic valve, percutaneous approach ...............................................
Repair mitral valve created from left atrioventricular valve, percutaneous
approach.
Repair mitral valve, percutaneous approach ...............................................
Repair pulmonary valve, percutaneous approach .......................................
Repair tricuspid valve created from right atrioventricular valve,
percutaneous approach.
Repair tricuspid valve, percutaneous approach ..........................................
Restriction of mitral valve, percutaneous approach ....................................
Revision of zooplastic tissue in aortic valve, percutaneous approach ........
Revision of synthetic substitute in aortic valve, percutaneous approach ...
Revision of nonautologous tissue substitute in aortic valve, percutaneous
approach.
Revision of zooplastic tissue in mitral valve, percutaneous approach ........
Revision of synthetic substitute in mitral valve, percutaneous approach ...
Revision of synthetic substitute in pulmonary valve, percutaneous approach.
Revision of synthetic substitute in tricuspid valve, percutaneous approach
1
3
14,145
Total ...........
......................................................................................................................
230
7.1
34,968
02QG3ZZ ..........
02QH3ZZ ...........
02QJ3ZG ...........
02QJ3ZZ ...........
02VG3ZZ ...........
02WF38Z ...........
02WF3JZ ...........
02WF3KZ ..........
amozie on DSK9F9SC42PROD with PROPOSALS2
02WG38Z ..........
02WG3JZ ..........
02WH3JZ ..........
Number of
times reported
Average
length of stay
Average costs
OTHER CARDIAC VALVE PROCEDURES IN MS–DRGS 273 AND 274
ICD–10–PCS
code
Description
025F3ZZ ............
Destruction of aortic valve, percutaneous approach ...................................
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times reported
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6
03MYP2
Average
length of stay
4.7
Average costs
$11,130
19192
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
OTHER CARDIAC VALVE PROCEDURES IN MS–DRGS 273 AND 274—Continued
ICD–10–PCS
code
Description
025J3ZZ ............
027F34Z ............
21
1
3.9
16
18,320
53,786
027F3DZ ...........
027F3ZZ ............
027G3ZZ ...........
027H3ZZ ...........
02BJ3ZZ ............
Destruction of tricuspid valve, percutaneous approach ..............................
Dilation of aortic valve with drug-eluting intraluminal device, percutaneous
approach.
Dilation of aortic valve with intraluminal device, percutaneous approach ..
Dilation of aortic valve, percutaneous approach .........................................
Dilation of mitral valve, percutaneous approach .........................................
Dilation of pulmonary valve, percutaneous approach .................................
Excision of tricuspid valve, percutaneous approach ...................................
5
1,720
86
5
1
8.4
8.6
6.4
3.8
4
20,951
25,265
19,791
10,506
30,843
Total ...........
......................................................................................................................
1,845
8.4
24,851
We found that the overall frequency
with which cases reporting at least one
of the above ICD–10–PCS procedure
codes were reflected in the claims data
was 2,075 times with an average length
of stay of 8.5 days and average costs of
$27,838. ICD–10–PCS procedure code
027F3ZZ (Dilation of aortic valve,
percutaneous approach) had the highest
frequency of 1,720 times with an
average length of stay of 8.6 days and
average costs of $25,265. We also found
that cases reporting ICD–10–PCS
procedure code 02WF3KZ (Revision of
nonautologous tissue substitute in aortic
valve, percutaneous approach) had the
highest average costs of $69,030 with an
average length of stay of 1 day. While
not displayed above, we also note that,
of the 7,785 cases found in MS–DRG
273, from the remaining procedure
codes describing procedures other than
those performed on a cardiac valve,
there were 4,920 cases reporting ICD–
10–PCS procedure code 02583ZZ
(Destruction of conduction mechanism,
percutaneous approach) with an average
length of stay of 6.6 days and average
costs of $26,800, representing
approximately 63 percent of all the
cases in that MS–DRG. In addition, of
Number of
times reported
the 20,434 cases in MS–DRG 274, from
the remaining procedure codes
describing procedures other than those
performed on a cardiac valve, there
were 9,268 cases reporting ICD–10–PCS
procedure code 02583ZZ (Destruction of
conduction mechanism, percutaneous
approach) with an average length of stay
of 3.2 days and average costs of $21,689,
and 8,775 cases reporting ICD–10–PCS
procedure code 02L73DK (Occlusion of
left atrial appendage with intraluminal
device, percutaneous approach) with an
average length of stay of 1.2 days and
average costs of $25,476, representing
approximately 88 percent of all the
cases in that MS–DRG.
After analyzing the claims data to
identify the overall frequency with
which the other (non-supplement) ICD–
10–PCS procedure codes describing a
transcatheter (endovascular) cardiac
valve procedure were reported and
assigned to MS–DRGs 216, 217, 218,
219, 220, and 221, MS–DRGs 228 and
229, and MS–DRGs 273 and 274, our
clinical advisors suggested that these
other cardiac valve procedures should
be grouped together because the
procedure codes are describing
procedures performed on a cardiac
valve with a percutaneous
Average
length of stay
Average costs
(transcatheter/endovascular) approach,
they can be performed in a cardiac
catheterization laboratory, they require
that the interventional cardiologist have
special additional training and skills,
and often require additional ancillary
procedures and equipment, such as
trans-esophageal echocardiography, be
available at the time of the procedure.
Our clinical advisors noted that these
procedures are generally considered
more complicated and resourceintensive, and form a clinically coherent
group. They also noted that the majority
of procedures currently being reported
in MS–DRGs 273 and 274 are
procedures other than those involving a
cardiac valve and, therefore, believed
that reassignment of the other (nonsupplement) ICD–10–PCS procedure
codes describing a transcatheter
(endovascular) cardiac valve procedure
would have minimal impact to those
MS–DRGs.
We then analyzed the impact of
grouping the other transcatheter cardiac
valve procedures. The following table
reflects our findings for the suggested
other endovascular cardiac valve
procedures MS–DRGs with a 2-way
severity level split.
SUGGESTED MS–DRGS FOR OTHER ENDOVASCULAR CARDIAC VALVE PROCEDURES
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG XXX (Other Endovascular Cardiac Valve Procedures with MCC) .............................
MS–DRG XXX (Other Endovascular Cardiac Valve Procedures without MCC) ........................
As shown in the table, there were
1,527 cases for the other endovascular
cardiac valve procedures with MCC
group, with an average length of stay of
9.7 days and average costs of $27,801.
There was a total of 560 cases for the
other endovascular cardiac valve
procedures without MCC group, with an
average length of stay of 3.9 days and
average costs of $17,027. We applied the
criteria to create subgroups for the two-
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way severity level split for the suggested
MS–DRGs and found that all five
criteria were met. For the suggested
MS–DRGs, there is at least (1) 500 or
more cases in the MCC group or in the
without MCC subgroup; (2) 5 percent or
more of the cases in the MCC group or
in the without MCC subgroup; (3) a 20
percent difference in average costs
between the MCC group and the without
MCC group; (4) at least a $2,000
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1,527
560
Average
length of stay
9.7
3.9
Average costs
$27,801
17,027
difference in average costs between the
MCC group and the without MCC group;
and (5) a 3-percent reduction in cost
variance, indicating that the proposed
severity level splits increase the
explanatory power of the base MS–DRG
in capturing differences in expected cost
between the proposed MS–DRG severity
level splits by at least 3 percent and
thus improve the overall accuracy of the
IPPS payment system.
E:\FR\FM\03MYP2.SGM
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Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
For FY 2020, we are proposing to
modify the structure of MS–DRGs 266
and 267 by reassigning the procedure
codes describing a transcatheter cardiac
valve repair (supplement) procedure
from the list above and to revise the title
of these MS–DRGs. We are proposing to
revise the title of MS–DRGs 266 from
‘‘Endovascular Cardiac Valve
Replacement with MCC’’ to
‘‘Endovascular Cardiac Valve
Replacement and Supplement
Procedures with MCC’’ and the title of
MS–DRG 267 from ‘‘Endovascular
Cardiac Valve Replacement without
MCC’’ to ‘‘Endovascular Cardiac Valve
Replacement and Supplement
Procedures without MCC’’, to reflect the
proposed restructuring. We also are
proposing to create two new MS–DRGs
with a two-way severity level split for
the remaining (non-supplement)
transcatheter cardiac valve procedures
listed above. These proposed new MS–
DRGs are proposed new MS–DRG 319
(Other Endovascular Cardiac Valve
Procedures with MCC) and proposed
new MS–DRG 320 (Other Endovascular
Cardiac Valve Procedures without
MCC), which would also conform with
the severity level split of MS–DRGs 266
and 267. We are proposing to reassign
the procedure codes from their current
MS–DRGs to the proposed new MS–
DRGs.
b. Revision of Pacemaker Lead
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41189 through 41190), we
finalized our proposal to maintain the
Version 35 ICD–10 MS–DRG GROUPER
logic for the Version 36 ICD–10 MS–
DRG GROUPER logic within MS–DRGs
260, 261, and 262 (Cardiac Pacemaker
Revision Except Device Replacement
with MCC, with CC and without CC/
MCC, respectively) so that cases
reporting any of the ICD–10–PCS
procedure codes describing procedures
involving pacemakers and related
procedures and associated devices
would continue to be assigned to those
MS–DRGs under MDC 5 because they
are reported when a pacemaker device
requires revision and they have a
corresponding circulatory system
diagnosis. We also discussed and
finalized the addition of ICD–10–PCS
procedure codes 02H63MZ (Insertion of
cardiac lead into right atrium,
percutaneous approach) and 02H73MZ
(Insertion of cardiac lead into left
atrium, percutaneous approach) to the
GROUPER logic as non-O.R. procedures
that impact the MS–DRG assignment
when reported as stand-alone codes for
the insertion of a pacemaker lead within
MS–DRGs 260, 261, and 262 in response
to a commenter’s suggestion.
After publication of the FY 2019
IPPS/LTCH PPS final rule, it was
brought to our attention that ICD–10–
PCS procedure code 02H60JZ (Insertion
of pacemaker lead into right atrium,
open approach) was inadvertently
omitted from the GROUPER logic for
MS–DRGs 260, 261, and 262. This
procedure code is designated as a nonO.R. procedure. However, we note that,
within MDC 5, in MS–DRGs 242, 243,
and 244, this procedure code is part of
a code pair that requires another
procedure code (cluster). We are
proposing to add procedure code
02H60JZ to the list of non-O.R.
procedures that would impact MS–
DRGs 260, 261, and 262 when reported
as a stand-alone procedure code,
consistent with ICD–10–PCS procedure
codes 02H63JZ (Insertion of pacemaker
lead into right atrium, percutaneous
approach) and 02H64JZ (Insertion of
pacemaker lead into right atrium,
percutaneous endoscopic approach),
which also describe the insertion of a
pacemaker lead into the right atrium. If
the proposal is finalized, we would
make conforming changes to the ICD–10
MS–DRG Definitions Manual Version
37.
6. MDC 8 (Diseases and Disorders of the
Musculoskeletal System and Connective
Tissue)
a. Knee Procedures With Principal
Diagnosis of Infection
We received a request to add ICD–10–
CM diagnosis codes M00.9 (Pyogenic
arthritis, unspecified) and A54.42
(Gonococcal arthritis) to the list of
principal diagnoses for MS–DRGs 485,
486, and 487 (Knee Procedure with
Principal Diagnosis of Infection with
MCC, with CC, and without CC/MCC,
respectively) in MDC 8. The requestor
believed that adding diagnosis code
M00.9 is necessary to accurately
recognize knee procedures that are
performed with a principal diagnosis of
infectious arthritis, including those
procedures performed when the specific
infectious agent is unknown. The
requestor stated that, currently, only
diagnosis codes describing infections
caused by a specific bacterium are
included in MS–DRGs 485, 486, and
487. The requestor stated that additional
diagnosis codes such as M00.9 are
indicated for knee procedures
performed as a result of infection
because pyogenic arthritis can
reasonably be diagnosed based on the
patient’s history and clinical symptoms,
even if a bacterial infection is not
confirmed by culture. For example, the
requestor noted that a culture may
present negative for infection if a patient
has been treated with antibiotics prior to
knee surgery, but other clinical signs
may indicate a principal diagnosis of
joint infection. In the absence of a
culture identifying an infection by a
specific bacterium, the requestor stated
that ICD–10–CM diagnosis code M00.09
should also be included as a principal
diagnosis in MS–DRGs 485, 486, and
487.
The requestor also asserted that ICD–
10–CM diagnosis code A54.42 should be
added to the list of principal diagnoses
for MS–DRGs 485, 486, and 487 because
gonococcal arthritis is also an infectious
type of arthritis that can be an
indication for a knee procedure.
Currently, cases reporting ICD–10–CM
diagnosis codes M00.9 or A54.42 as a
principal diagnosis group to MS–DRGs
488 and 489 (Knee Procedures without
Principal Diagnosis of Infection with
and without CC/MCC, respectively)
when a knee procedure is also reported
on the claim.
We analyzed claims data from the
September 2018 update of the FY 2018
MedPAR file for ICD–10–CM diagnosis
codes M00.9 and A54.42, which are
currently assigned to medical MS–DRGs
548, 549, and 550 (Septic Arthritis with
MCC, with CC, and without CC/MCC,
respectively) in the absence of a surgical
procedure. Our findings are shown in
the following table.
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRGS FOR SEPTIC ARTHRITIS WITH PYOGENIC ARTHRITIS OR GONOCOCCAL ARTHRITIS
Number of
cases
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
548—All cases ............................................................................................................
548—Cases with pyogenic arthritis as principal diagnosis ........................................
549—All cases ............................................................................................................
549—Cases with pyogenic arthritis as principal diagnosis ........................................
549—Cases with gonococcal arthritis as principal diagnosis .....................................
550—All cases ............................................................................................................
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601
312
1,169
686
2
402
03MYP2
Average
length of stay
8.1
7.6
5.0
4.7
8.0
3.5
Average costs
$13,974
13,177
8,547
7,976
7,070
6,317
19194
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
MS–DRGS FOR SEPTIC ARTHRITIS WITH PYOGENIC ARTHRITIS OR GONOCOCCAL ARTHRITIS—Continued
Number of
cases
MS–DRG
MS–DRG 550—Cases with pyogenic arthritis as principal diagnosis ........................................
MS–DRG 550—Cases with gonococcal arthritis as principal diagnosis .....................................
As shown in the table, we found a
total of 2,172 cases in MS–DRGs 548,
549, and 550. A total of 601 cases were
reported in MS–DRG 548, with an
average length of stay of 8.1 days and
average costs of $13,974. Cases in MS–
DRG 548 with a principal diagnosis of
pyogenic arthritis (ICD–10–CM
diagnosis code M00.9) accounted for
312 of these 601 cases, and reported an
average length of stay of 7.6 days and
average costs of $13,177. None of the
cases in MS–DRG 548 had a principal
diagnosis of gonococcal arthritis (ICD–
10–CM diagnosis code A54.42).
The total number of cases reported in
MS–DRG 549 was 1,169, with an
average length of stay of 5 days and
average costs of $8,547. Within this MS–
DRG, 686 cases had a principal
diagnosis described by ICD–10–CM
diagnosis code M00.9, with an average
length of stay of 4.7 days and average
costs of $7,976. Two of the cases
reported in MS–DRG 549 had a
principal diagnosis described by ICD–
10–CM diagnosis code A54.42. These 2
cases had an average length of stay of 8
days and average costs of $7,070.
The total number of cases reported in
MS–DRG 550 was 402, with an average
length of stay of 3.5 days and average
costs of $6,317. Within this MS–DRG,
260 cases had a principal diagnosis
described by ICD–10–CM diagnosis
code M00.9 with an average length of
stay of 3.2 days and average costs of
$6,209. Three of the cases reported in
MS–DRG 550 had a principal diagnosis
described by ICD–10–CM diagnosis
code A54.42. These 3 cases had an
average length of stay of 2.3 days and
average costs of $3,929.
In summary, for MS–DRGs 548, 549,
and 550, there were 1,258 cases that
reported ICD–10–CM diagnosis code
M00.9 as the principal diagnosis and 5
cases that reported ICD–10–CM
diagnosis code A54.42 as the principal
diagnosis. We note that, overall, our
260
3
Average
length of stay
3.2
2.3
Average costs
6,209
3,929
data analysis suggests that the MS–DRG
assignment for cases reporting ICD–10–
CM diagnosis codes M00.9 and A54.42
is appropriate based on the average
costs and average length of stay.
However, it is unclear how many of
these cases involved infected knee joints
because neither ICD–10–CM diagnosis
code M00.9 nor A54.42 is specific to the
knee. We then analyzed claims data for
MS–DRGs 485, 486, and 487 (Knee
Procedures with Principal Diagnosis of
Infection with MCC, with CC, and
without CC/MCC, respectively) and for
MS–DRGs 488 and 489 (Knee
Procedures without Principal Diagnosis
of Infection with and without CC/MCC,
respectively). For MS–DRGs 488 and
489, we also analyzed claims data for
cases reporting a knee procedure with
ICD–10–CM diagnosis code M00.9 or
A54.42 as a principal diagnosis, as these
are the MS–DRGs to which such cases
would currently group. Our findings are
shown in the following table.
MS–DRGS FOR KNEE PROCEDURES WITH AND WITHOUT INFECTION
Number of
cases
MS–DRG
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MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
485—All cases ............................................................................................................
486—All cases ............................................................................................................
487—All cases ............................................................................................................
488—All cases ............................................................................................................
488—Cases with pyogenic arthritis as principal diagnosis ........................................
489—All cases ............................................................................................................
489—Cases with pyogenic arthritis as principal diagnosis ........................................
489—Cases with gonococcal arthritis as principal diagnosis .....................................
As shown in the table, we found a
total of 1,021 cases reported in MS–DRG
485, with an average length of stay of
9.7 days and average costs of $23,980.
We found a total of 2,260 cases reported
in MS–DRG 486, with an average length
of stay of 6.0 days and average costs of
$16,060. The total number of cases
reported in MS–DRG 487 was 614, with
an average length of stay of 4.2 days and
average costs of $12,396. For MS–DRG
488, we found a total of 2,857 cases with
an average length of stay of 4.8 days and
average costs of $14,197. Of these 2,857
cases, we found 524 cases that reported
a principal diagnosis of pyogenic
arthritis (ICD–10–CM diagnosis code
M00.9), with an average length of stay
of 7.1 days and average costs of $16,894.
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There were no cases found that reported
a principal diagnosis of gonococcal
arthritis (ICD–10–CM diagnosis code
A54.42). For MS–DRG 489, we found a
total of 2,416 cases with an average
length of stay of 2.4 days and average
costs of $9,217. Of these 2,416 cases, we
found 195 cases that reported a
principal diagnosis of pyogenic arthritis
(ICD–10–CM diagnosis code M00.9),
with an average length of stay of 4.1
days and average costs of $9,526. We
found 1 case that reported a principal
diagnosis of gonococcal arthritis (ICD–
10–CM diagnosis code A54.42) in MS–
DRG 489, with an average length of stay
of 8 days and average costs of $10,810.
Upon review of the data, we noted
that the average costs and average length
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1,021
2,260
614
2,857
524
2,416
195
1
Average
length of stay
9.7
6
4.2
4.8
7.1
2.4
4.1
8
Average costs
$23,980
16,060
12,396
14,197
16,894
9,217
9,526
10,810
of stay for cases reporting a principal
diagnosis of pyogenic arthritis (ICD–10–
CM diagnosis code M00.9) in MS–DRG
488 are higher than the average costs
and average length of stay for all cases
in MS–DRG 488. We found similar
results for MS–DRG 489 for the cases
reporting diagnosis code M00.9 or
A54.42 as the principal diagnosis.
As stated earlier, the requestor
recommended that ICD–10–CM
diagnosis codes M00.9 and A54.42 be
added to the list of principal diagnoses
in MS–DRGs 485, 486, and 487 to
recognize knee procedures that are
performed with a principal diagnosis of
an infectious type of arthritis. Because
these diagnosis codes are not specific to
the knee in the code description, we
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examined the ICD–10–CM Alphabetic
Index to review the entries that refer
and correspond to these diagnosis
codes. Specifically, we searched the
Index for codes M00.9 and A54.42 and
found the following entries.
Our clinical advisors agreed that the
results of our ICD–10–CM Alphabetic
Index review combined with the data
analysis results support the addition of
ICD–10–CM diagnosis code M00.9 to the
list of principal diagnoses of infection
for MS–DRGs 485, 486, and 487. The
entries for diagnosis code M00.9 include
infection of the knee, and as discussed
above, in our data analysis, we found
cases reporting ICD–10–CM diagnosis
code M00.9 as a principal diagnosis in
MS–DRGs 488 and 489, indicating that
knee procedures are, in fact, being
performed for an infectious arthritis of
the knee. In addition, the average costs
for cases reporting a principal diagnosis
code of pyogenic arthritis (ICD–10–CM
diagnosis code M00.9) in MS–DRG 488
are similar to the average costs of cases
in MS–DRG 486 ($16,894 and $16,060,
respectively). Because MS–DRG 488
includes cases with a CC or an MCC, we
reviewed how many of the 524 cases
reporting a principal diagnosis code of
pyogenic arthritis (ICD–10–CM
diagnosis code M00.9) were reported
with a CC or an MCC. We found that
there were 361 cases reporting a CC
with an average length of stay of 6 days
and average costs of $14,092 and 163
cases reporting an MCC with an average
length of stay of 9.5 days and average
costs of $23,100. Therefore, the cases in
MS–DRG 488 reporting a principal
diagnosis code of pyogenic arthritis
(ICD–10–CM diagnosis code M00.9)
with an MCC have average costs that are
consistent with the average costs of
cases in MS–DRG 485 ($23,100 and
$23,980, respectively), and the cases
with a CC have average costs that are
consistent with the average costs of
cases in MS–DRG 486 ($14,092 and
$16,060, respectively), as noted above.
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We also note that the average length of
stay for cases reporting a principal
diagnosis code of pyogenic arthritis
(ICD–10–CM diagnosis code M00.9)
with an MCC in MS–DRG 488 is similar
to the average length of stay for cases in
MS–DRG 485 (9.5 days and 9.7 days,
respectively), and the cases with a CC
have an average length of stay that is
equivalent to the average length of stay
for cases in MS–DRG 486 (6 days and 6
days, respectively). We further note that
the average length of stay for cases
reporting a principal diagnosis code of
pyogenic arthritis (ICD–10–CM
diagnosis code M00.9) in MS–DRG 489
is similar to the average length of stay
for cases in MS DRG 487 (4.1 days and
4.2 days, respectively). Lastly, the
average costs for cases reporting a
principal diagnosis code of pyogenic
arthritis (ICD–10–CM diagnosis code
M00.9) in MS–DRG 489 are consistent
with the average costs for cases in MS–
DRG 487 ($9,526 and $12,396,
respectively), with a difference of
$2,870. For these reasons, we are
proposing to add ICD–10–CM diagnosis
code M00.9 to the list of principal
diagnosis codes for MS–DRGs 485, 486,
and 487.
Our clinical advisors did not support
the addition of ICD–10–CM diagnosis
code A54.42 to the list of principal
ICD–10–CM code
M86.9 ...................
T84.50XA .............
T84.51XA .............
T84.52XA .............
T84.59XA .............
T84.60XA .............
T84.63XA .............
T84.69XA .............
diagnosis codes for MS–DRGs 485, 486,
and 487 because ICD–10–CM diagnosis
code A54.42 is not specifically indexed
to include the knee or any infection in
the knee. Therefore, we are not
proposing to add ICD–10–CM diagnosis
code A54.42 to the list of principal
diagnosis codes for these MS–DRGs.
Upon review of the existing list of
principal diagnosis codes for MS–DRGs
485, 486, and 487, our clinical advisors
recommended that we review the
following ICD–10–CM diagnosis codes
currently included on the list of
principal diagnosis codes because the
codes are not specific to the knee.
Code description
Osteomyelitis, unspecified.
Infection and inflammatory reaction
Infection and inflammatory reaction
Infection and inflammatory reaction
Infection and inflammatory reaction
Infection and inflammatory reaction
Infection and inflammatory reaction
Infection and inflammatory reaction
These ICD–10–CM diagnosis codes
are currently assigned to medical MS–
DRGs 559, 560, and 561 (Aftercare,
Musculoskeletal System and Connective
Tissue with MCC, with CC, and without
due
due
due
due
due
due
due
to
to
to
to
to
to
to
unspecified internal joint prosthesis, initial encounter.
internal right hip prosthesis, initial encounter.
internal left hip prosthesis, initial encounter.
other internal joint prosthesis, initial encounter.
internal fixation device of unspecified site, initial encounter.
internal fixation device of spine, initial encounter.
internal fixation device of other site, initial encounter.
CC/MCC, respectively) within MDC 8 in
the absence of a surgical procedure.
Similar to the process described above,
we examined the ICD–10–CM
Alphabetic Index to review the entries
that refer and correspond to the
diagnosis codes shown in the table
above. We found the following entries.
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Index entries referring to M86.9: Osteomyelitis (general) (infective) (localized) (neonatal) (purulent) (septic) (staphylococcal) (streptococcal) (suppurative) (with periostitis).
Index entries referring to T84.50XA:Complication(s) (from) (of) > joint prosthesis, internal > infection or inflammation Infection, infected, infective
(opportunistic) > joint NEC > due to internal joint prosthesis.
Index entries referring to T84.51XA: Infection, infected, infective (opportunistic) > hip (joint) NEC > due to internal joint prosthesis > right.
Index entries referring to T84.52XA: Infection, infected, infective (opportunistic) > hip (joint) NEC > due to internal joint prosthesis > left.
Index entries referring to T84.59XA: Complication(s) (from) (of) > joint prosthesis, internal > infection or inflammation > specified joint NEC Infection, infected, infective (opportunistic) > shoulder (joint) NEC > due to internal joint prosthesis.
Index entries referring to T84.60XA: Complication(s) (from) (of) > fixation device, internal (orthopedic) > infection and inflammation.
Index entries referring to T84.63XA: Complication(s) (from) (of) > fixation device, internal (orthopedic) > infection and inflammation > spine.
Index entries referring to T84.69XA: Complication(s) (from) (of) > fixation device, internal (orthopedic) > infection and inflammation > specified
site NEC.
The Index entries for the ICD–10–CM
diagnosis codes listed above reflect
terms relating to an infection. However,
none of the entries is specific to the
knee. In addition, we note that there are
other diagnosis codes in the subcategory
T84.5– series (Infection and
inflammatory reaction due to internal
joint prosthesis) that are specific to the
knee. For example, ICD–10–CM
diagnosis code T84.53X– (Infection and
inflammatory reaction due to internal
right knee prosthesis) or ICD–10–CM
diagnosis code T84.54X– (Infection and
inflammatory reaction due to internal
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left knee prosthesis) with the
appropriate 7th digit character to
identify initial encounter, subsequent
encounter or sequela, would be reported
to identify a documented infection of
the right or left knee due to an internal
prosthesis. We further note that these
ICD–10–CM diagnosis codes (T84.53X–
and T84.54X–) with the 7th character
‘‘A’’ for initial encounter are currently
already in the list of principal diagnosis
codes for MS–DRGs 485, 486, and 487.
Our clinical advisors support the
removal of the above ICD–10–CM
diagnosis codes from the list of
principal diagnosis codes for MS–DRGs
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485, 486, and 487 because they are not
specifically indexed to include an
infection of the knee and there are other
diagnosis codes in the subcategory
T84.5– series that uniquely identify an
infection and inflammatory reaction of
the right or left knee due to an internal
prosthesis as noted above.
We also analyzed claims data for MS–
DRGs 485, 486 and 487 to identify cases
reporting one of the above listed ICD–
10–CM diagnosis codes not specific to
the knee as a principal diagnosis. Our
findings are shown in the following
table.
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Number of
cases
MS–DRG
MS–DRG 485—Cases reporting principal diagnosis code not specific to the knee ..................
MS–DRG 486—Cases reporting principal diagnosis code not specific to the knee ..................
MS–DRG 487—Cases reporting principal diagnosis code not specific to the knee ..................
For MS–DRG 485, we found 13 cases
reporting one of the diagnosis codes not
specific to the knee as a principal
diagnosis with an average length of stay
of 11.2 days and average costs of
$30,765. For MS–DRG 486, we found 43
cases reporting one of the diagnosis
codes not specific to the knee as a
principal diagnosis with an average
length of stay of 6.5 days and average
costs of $15,837. For MS–DRG 487, we
found 7 cases reporting one of the
diagnosis codes not specific to the knee
as a principal diagnosis with an average
length of stay of 2.6 days and average
costs of $11,362.
Overall, for MS–DRGs 485, 486, and
487, there were a total of 63 cases
reporting one of the ICD–10–CM
diagnosis codes not specific to the knee
as a principal diagnosis with an average
length of stay of 7 days and average
costs of $18,421. Of those 63 cases, there
were 32 cases reporting a principal
diagnosis code from the ICD–10–CM
subcategory T84.5-series (Infection and
inflammatory reaction due to internal
joint prosthesis); 23 cases reporting a
principal diagnosis code from the ICD–
10–CM subcategory T84.6-series
(Infection and inflammatory reaction
due to internal fixation device), with 22
of the 23 cases reporting ICD–10–CM
diagnosis code T84.69XA (Infection and
inflammatory reaction due to internal
fixation device of other site, initial
encounter) and 1 case reporting ICD–
10–CM diagnosis code T84.63XA
(Infection and inflammatory reaction
due to internal fixation device of spine,
initial encounter); and 8 cases reporting
ICD–10–CM diagnosis code M86.9
(Osteomyelitis, unspecified) as a
principal diagnosis.
Our clinical advisors believe that
there may have been coding errors
among the 63 cases reporting a principal
diagnosis of infection not specific to the
knee. For example, 32 cases reported a
principal diagnosis code from the ICD–
10–CM subcategory T84.5-series
(Infection and inflammatory reaction
due to internal joint prosthesis) that was
not specific to the knee and, as stated
ICD–10–CM code
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A18.02 ..................
M01.X61 ...............
M01.X62 ...............
M01.X69 ...............
M71.061 ...............
M71.062 ...............
M71.069 ...............
M71.161 ...............
M71.162 ...............
M71.169 ...............
13
43
7
11.2
6.5
2.6
Average costs
$30,765
15,837
11,362
previously, there are other codes in this
subcategory that uniquely identify an
infection and inflammatory reaction of
the right or left knee due to an internal
prosthesis.
Based on the results of our claims
analysis and input from our clinical
advisors, we are proposing to remove
the following ICD–10–CM diagnosis
codes that do not describe an infection
of the knee from the list of principal
diagnosis codes for MS–DRGs 485, 486,
and 487: M86.9; T84.50XA; T84.51XA;
T84.52XA; T84.59XA; T84.60XA;
T84.63XA; and T84.69XA. We are not
proposing to change the current
assignment of these diagnosis codes in
MS–DRGs 559, 560, and 561.
In addition, our clinical advisors
recommended that we add the following
ICD–10–CM diagnosis codes as
principal diagnosis codes for MS–DRGs
485, 486, and 487 because they are
specific to the knee and describe an
infection.
Code description
Tuberculous arthritis of other joints.
Direct infection of right knee in infectious and parasitic diseases classified elsewhere.
Direct infection of left knee in infectious and parasitic diseases classified elsewhere.
Direct infection of unspecified knee in infectious and parasitic diseases classified elsewhere.
Abscess of bursa, right knee.
Abscess of bursa, left knee.
Abscess of bursa, unspecified knee.
Other infective bursitis, right knee.
Other infective bursitis, left knee.
Other infective bursitis, unspecified knee.
ICD–10–CM diagnosis code A18.02
(Tuberculous arthritis of other joints) is
currently assigned to medical MS–DRGs
548, 549, and 550 (Septic Arthritis with
MCC, with CC, and without CC/MCC,
respectively) within MDC 8 and MS–
DRGs 974, 975, and 976 (HIV with
Major Related Condition with MCC,
with CC, and without CC/MCC,
respectively) within MDC 25 (Human
Immunodeficiency Virus Infections) in
the absence of a surgical procedure.
ICD–10–CM diagnosis codes M01.X61
(Direct infection of right knee in
infectious and parasitic diseases
classified elsewhere), M01.X62 (Direct
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infection of left knee in infectious and
parasitic diseases classified elsewhere),
and M01.X69 (Direct infection of
unspecified knee in infectious and
parasitic diseases classified elsewhere)
are currently assigned to medical MS–
DRGs 548, 549, and 550 (Septic Arthritis
with MCC, with CC, and without CC/
MCC, respectively) within MDC 8 in the
absence of a surgical procedure. ICD–
10–CM diagnosis codes M71.061
(Abscess of bursa, right knee), M71.062
(Abscess of bursa, left knee), M71.069
(Abscess of bursa, unspecified knee),
M71.161 (Other infective bursitis, right
knee), M71.162 (Other infective bursitis,
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left knee), and M71.169 (Other infective
bursitis, unspecified knee) are currently
assigned to medical MS–DRGs 557 and
558 (Tendonitis, Myositis and Bursitis
with and without MCC, respectively)
within MDC 8 in the absence of a
surgical procedure.
Similar to the process described
above, we examined the ICD–10–CM
Alphabetic Index to review the entries
that refer and correspond to the
diagnosis codes shown in the table
above. We found the following entries.
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Index entries referring to A18.02:
Arthritis, arthritic (acute) (chronic) (nonpyogenic) (subacute)> tuberculous
Caries> hip (tuberculous)
Caries> knee (tuberculous)
Chondritis> tuberculous NEC
Coxalgia, coxalgic (nontuberculous) >tuberculous
Cyst (colloid) (mucous) (simple) (retention)> Baker's> tuberculous
Disease, diseased> hip Goint) >tuberculous
Inflammation, inflamed, inflammatory (with exudation)> knee Goint) >tuberculous
Morbus> coxae senilis >tuberculous
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> abscess (respiratory)>
bone> hip
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> abscess (respiratory)>
bone> knee
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> abscess (respiratory)>
hip
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> abscess (respiratory)>
"ointNEC
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> abscess (respiratory)>
·oint NEC >hip
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Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
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19199
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> abscess (respiratory)>
oint NEC > knee
0
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> abscess (respiratory)>
oint NEC >specified NEC
0
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> abscess (respiratory)>
knee
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> ankle Goint) (bone)
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> arthritis (chronic)
(synovial)
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> bone> hip
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> bone> knee
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> cartilage
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> coxae
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> coxalgia
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Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
19200
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circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> elbow
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> genu
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> hip Goint) (disease)
(bone)
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> joint
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> knee Goint)
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> shoulder Goint)
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> sternoclavicular joint
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> swelling, joint (see also
category MOl)
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> symphysis pubis
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> synovitis> articular
BILLING CODE 4120–01–C
We note that there were no Index
entries specifically for ICD–10–CM
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diagnosis codes M71.061, M71.062,
M71.069, M71.161, M71.162, and
M71.169. Rather, there were Index
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entries at the subcategory levels of
M71.06– and M71.16–. We found the
following entries.
E:\FR\FM\03MYP2.SGM
03MYP2
EP03MY19.003
amozie on DSK9F9SC42PROD with PROPOSALS2
Tuberculosis, tubercular, tuberculous (calcification) (calcified) (caseous) (chromogenic
acid-fast bacilli) (degeneration) (fibrocaseous) (fistula) (interstitial) (isolated
circumscribed lesions) (necrosis) (parenchymatous) (ulcerative)> wrist (joint)
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Index entry referring to M71.06–: (connective tissue) (embolic) (fistulous) (infective) (metastatic) (multiple) (pernicious) (pyogenic) (septic) >
bursa > knee.
Index entry referring to M71.16–: Infective NEC > knee.
Our clinical advisors agreed that the
results of our review of the ICD–10–CM
Alphabetic Index support the addition
of these ICD–10–CM diagnosis codes to
MS–DRGs 485, 486, and 487 because the
Index entries and/or the code
descriptions clearly describe or include
an infection that is specific to the knee.
Therefore, we are proposing to add
the following ICD–10–CM diagnosis
codes to the list of principal diagnosis
codes for MS–DRGs 485, 486, and 487:
A18.02; M01.X61; M01.X62; M01.X69;
M71.061; M71.062; M71.069; M71.161;
M71.162; and M71.169.
b. Neuromuscular Scoliosis
We received a request to add ICD–10–
CM diagnosis codes describing
neuromuscular scoliosis to the list of
principal diagnosis codes for MS–DRGs
ICD–10–CM code
M41.40
M41.44
M41.45
M41.46
M41.47
.................
.................
.................
.................
.................
456, 457, and 458 (Spinal Fusion except
Cervical with Spinal Curvature or
Malignancy or Infection or Extensive
Fusions with MCC, with CC, and
without CC/MCC, respectively).
Excluding the ICD–10–CM diagnosis
codes that address the cervical spine,
the following ICD–10–CM diagnosis
codes are used to describe
neuromuscular scoliosis.
Code description
Neuromuscular
Neuromuscular
Neuromuscular
Neuromuscular
Neuromuscular
scoliosis,
scoliosis,
scoliosis,
scoliosis,
scoliosis,
The requestor asserted that all levels
of neuromuscular scoliosis, except
cervical, should group to the noncervical spinal fusion MS–DRGs for
spinal curvature (MS–DRGs 456, 457,
and 458). The requestor also noted that
the current MS–DRG logic only groups
cases reporting neuromuscular scoliosis
to MS–DRGs 456, 457, and 458 when
neuromuscular scoliosis is reported as a
secondary diagnosis. The requestor
contended that it would be rare for a
diagnosis of neuromuscular scoliosis to
be reported as a secondary diagnosis
because there is not a ‘‘code first’’ note
site unspecified.
thoracic region.
thoracolumbar region.
lumbar region.
lumbosacral region.
in the ICD–10–CM Tabular List of
Diseases and Injuries indicating to
‘‘code first’’ the underlying cause.
According to the requestor, when a
diagnosis of neuromuscular scoliosis is
the reason for an admission for noncervical spinal fusion, neuromuscular
scoliosis must be sequenced as the
principal diagnosis because it is the
chief condition responsible for the
admission. However, this sequencing,
which adheres to the ICD–10–CM
Official Guidelines for Coding and
Reporting, prevents the admission from
grouping to the non-cervical spinal
fusion MS–DRGs for spinal curvature
caused by neuromuscular scoliosis.
We analyzed claims data from the
September 2018 update of the FY 2018
MedPAR file for cases reporting any of
the ICD–10–CM diagnosis codes
describing neuromuscular scoliosis (as
listed previously) as a principal
diagnosis with a non-cervical spinal
fusion, which are currently assigned to
MS–DRGs 459 and 460 (Spinal Fusion
except Cervical with MCC and without
MCC, respectively). Our findings are
shown in the following table.
MS–DRGS FOR CASES INVOLVING NON-CERVICAL SPINAL FUSION WITH PRINCIPAL DIAGNOSIS OF NEUROMUSCULAR
SCOLIOSIS
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG
MS–DRG
MS–DRG
MS–DRG
459—All cases ............................................................................................................
459—Cases with principal diagnosis of neuromuscular scoliosis ..............................
460—All cases ............................................................................................................
460—Cases with principal diagnosis of neuromuscular scoliosis ..............................
The data reveal that there was a total
of 56,500 cases in MS–DRGs 459 and
460. We found 3,903 cases reported in
MS–DRG 459, with an average length of
stay of 8.6 days and average costs of
$46,416. Of these 3,903 cases, 3 reported
a principal diagnosis code of
neuromuscular scoliosis, with an
average length of stay of 15.3 days and
average costs of $95,745. We found a
total of 52,597 cases in MS–DRG 460,
with an average length of stay of 3.3
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17:51 May 02, 2019
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days and average costs of $28,754. Of
these 52,597 cases, 8 cases reported a
principal diagnosis code describing
neuromuscular scoliosis, with an
average length of stay of 4.3 days and
average costs of $71,406. The data
clearly demonstrate that the average
costs and average length of stay for the
small number of cases reporting a
principal diagnosis of neuromuscular
scoliosis are higher in comparison to all
the cases in their assigned MS–DRG.
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3,903
3
52,597
8
Average
length of stay
8.6
15.3
3.3
4.3
Average costs
$46,416
95,745
28,754
71,406
We also analyzed claims data for MS–
DRGs 456, 457, and 458 (Spinal Fusion
except Cervical with Spinal Curvature
or Malignancy or Infection or Extensive
Fusions with MCC, with CC, and
without CC/MCC, respectively) to
identify the spinal fusion cases
reporting any of the ICD–10–CM codes
describing neuromuscular scoliosis (as
listed previously) as a secondary
diagnosis. Our findings are shown in the
following table.
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MS–DRGS FOR CASES INVOLVING NON-CERVICAL SPINAL FUSION WITH SPINAL CURVATURE OR MALIGNANCY OR
INFECTION OR EXTENSIVE FUSIONS WITH SECONDARY DIAGNOSIS OF NEUROMUSCULAR SCOLIOSIS
Number of
cases
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
456—All cases ............................................................................................................
456—Cases with secondary diagnosis of neuromuscular scoliosis ...........................
457—All cases ............................................................................................................
457—Cases with secondary diagnosis of neuromuscular scoliosis ...........................
458—All cases ............................................................................................................
458—Cases with secondary diagnosis of neuromuscular scoliosis ...........................
The data indicate that there were
1,344 cases reported in MS–DRG 456,
with an average length of stay of 12 days
and average costs of $66,012. Of these
1,344 cases, 6 cases reported a
secondary diagnosis code describing
neuromuscular scoliosis, with an
average length of stay of 18.2 days and
average costs of $79,809. We found a
total of 3,654 cases in MS–DRG 457,
with an average length of stay of 6.2
days and average costs of $47,577.
Twelve of these 3,654 cases reported a
secondary diagnosis code describing
neuromuscular scoliosis, with an
average length of stay of 4.5 days and
average costs of $31,646. Finally, the
1,245 cases reported in MS–DRG 458
had an average length of stay of 3.4 days
and average costs of $34,179. Of these
1,245 cases, 6 cases reported
neuromuscular scoliosis as a secondary
diagnosis, with an average length of stay
of 3.3 days and average costs of $31,117.
We reviewed the ICD–10–CM Tabular
List of Diseases for subcategory M41.4
and confirmed there is a ‘‘Code also
underlying condition’’ note. We also
reviewed the ICD–10–CM Official
Guidelines for Coding and Reporting for
the ‘‘code also’’ note at Section
1.A.12.b., which states: ‘‘A ‘code also’
note instructs that two codes may be
required to fully describe a condition,
but this note does not provide
sequencing direction.’’ Our clinical
advisors agree that the sequencing of the
ICD–10–CM diagnosis codes is
determined by which condition leads to
the encounter and is responsible for the
admission. They also note that there
may be instances in which the
underlying cause of the diagnosis of
neuromuscular scoliosis is not treated or
responsible for the admission.
As discussed earlier, our review of the
claims data shows that a small number
of cases reported neuromuscular
scoliosis either as a principal diagnosis
in MS–DRGs 459 and 460 or as a
secondary diagnosis in MS–DRGs 456,
457, and 458. Our clinical advisors
agree that while the volume of cases is
small, the average costs and average
length of stay for the cases reporting
neuromuscular scoliosis as a principal
diagnosis with a non-cervical spinal
fusion currently grouping to MS–DRGs
459 and 460 are more aligned with the
average costs and average length of stay
ICD–10–CM code
M41.50
M41.54
M41.55
M41.56
M41.57
.................
.................
.................
.................
.................
Other
Other
Other
Other
Other
secondary
secondary
secondary
secondary
secondary
scoliosis,
scoliosis,
scoliosis,
scoliosis,
scoliosis,
amozie on DSK9F9SC42PROD with PROPOSALS2
12.0
18.2
6.2
4.5
3.4
3.3
c. Secondary Scoliosis and Secondary
Kyphosis
We received a request to add ICD–10–
CM diagnosis codes describing
secondary scoliosis and secondary
kyphosis to the list of principal
diagnoses for MS–DRGs 456, 457, and
458 (Spinal Fusion except Cervical with
Spinal Curvature or Malignancy or
Infection or Extensive Fusions with
MCC, with CC, and without CC/MCC,
respectively). Excluding the ICD–10–CM
diagnosis codes that address the cervical
spine, the following ICD–10–CM
diagnosis codes are used to describe
secondary scoliosis.
codes are used to describe secondary
kyphosis.
Code description
Other secondary kyphosis, site unspecified.
Other secondary kyphosis, thoracic region.
Other secondary kyphosis, thoracolumbar region.
The requestor stated that generally in
cases of diagnoses of secondary scoliosis
or kyphosis, the underlying cause of the
condition is not treated or is not
17:51 May 02, 2019
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responsible for the admission. If a
patient is admitted for surgery to correct
non-cervical spinal curvature, it is
appropriate to sequence the diagnosis of
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$66,012
79,809
47,577
31,646
34,179
31,117
for the cases reporting neuromuscular
scoliosis as a secondary diagnosis with
a non-cervical spinal fusion currently
grouping to MS–DRGs 456, 457, and
458. Therefore, for the reasons described
above, we are proposing to add the
following ICD–10–CM codes describing
neuromuscular scoliosis to the list of
principal diagnosis codes for MS–DRGs
456, 457, and 458: M41.40; M41.44;
M41.45; M41.46; and M41.47.
site unspecified.
thoracic region.
thoracolumbar region.
lumbar region.
lumbosacral region.
ICD–10–CM code
VerDate Sep<11>2014
Average costs
Code description
Excluding the ICD–10–CM diagnosis
codes that address the cervical spine,
the following ICD–10–CM diagnosis
M40.10 .................
M40.14 .................
M40.15 .................
1,344
6
3,654
12
1,245
6
Average
length of stay
secondary scoliosis or secondary
kyphosis as principal diagnosis.
However, reporting a diagnosis of
secondary scoliosis or secondary
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kyphosis as the principal diagnosis with
a non-cervical spinal fusion procedure
results in the case grouping to MS–DRG
459 or 460 (Spinal Fusion except
Cervical with MCC and without MCC,
respectively), instead of the spinal
fusion with spinal curvature MS–DRGs
456, 457, and 458.
We analyzed claims data from the
September 2018 update of the FY 2018
MedPAR file for MS–DRGs 459 and 460
to determine the number of cases
reporting an ICD–10–CM diagnosis code
describing secondary scoliosis or
secondary kyphosis as the principal
diagnosis. Our findings are shown in the
following table.
MS–DRGS FOR CASES INVOLVING NON-CERVICAL SPINAL FUSION WITH A PRINCIPAL DIAGNOSIS OF SECONDARY
SCOLIOSIS OR SECONDARY KYPHOSIS
Number of
cases
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
459—All cases ............................................................................................................
459—Cases with a principal diagnosis of secondary scoliosis ..................................
459—Cases with a principal diagnosis of secondary kyphosis ..................................
460—All cases ............................................................................................................
460—Cases with a principal diagnosis of secondary scoliosis ..................................
460—Cases with a principal diagnosis of secondary kyphosis ..................................
As shown in the table, we found a
total of 3,903 cases in MS–DRG 459,
with an average length of stay of 8.6
days and average costs of $46,416. Of
these 3,903 cases, we found 4 cases that
reported a principal diagnosis of
secondary scoliosis, with an average
length of stay of 7.3 days and average
costs of $56,024. We also found 4 cases
that reported a principal diagnosis of
secondary kyphosis, with an average
length of stay of 5.8 days and average
costs of $41,883. For MS–DRG 460, we
found a total of 52,597 cases with an
average length of stay of 3.3 days and
average costs of $28,754. Of these
52,597 cases, we found 34 cases that
reported a principal diagnosis of
secondary scoliosis, with an average
length of stay of 3.6 days and average
costs of $34,424. We found 31 cases that
reported a principal diagnosis of
3,903
4
4
52,597
34
31
Average
length of stay
8.6
7.3
5.8
3.3
3.6
4.6
Average costs
$46,416
56,024
41,883
28,754
34,424
42,315
secondary kyphosis in MS–DRG 460,
with an average length of stay of 4.6
days and average costs of $42,315.
We also analyzed claims data for MS–
DRGs 456, 457, and 458 to determine
the number of cases reporting an ICD–
10–CM diagnosis code describing
secondary scoliosis or secondary
kyphosis as a secondary diagnosis. Our
findings are shown in the following
table.
MS–DRGS FOR CASES INVOLVING NON-CERVICAL SPINAL FUSION WITH SPINAL CURVATURE OR MALIGNANCY OR
INFECTION OR EXTENSIVE FUSIONS WITH SECONDARY DIAGNOSIS OF SECONDARY SCOLIOSIS OR SECONDARY KYPHOSIS
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
456—All cases ............................................................................................................
456—Cases with a secondary diagnosis of secondary scoliosis ...............................
456—Cases with a secondary diagnosis of secondary kyphosis ..............................
457—All cases ............................................................................................................
457—Cases with a secondary diagnosis of secondary scoliosis ...............................
457—Cases with a secondary diagnosis of secondary kyphosis ..............................
458—All cases ............................................................................................................
458—Cases with a secondary diagnosis of secondary scoliosis ...............................
458—Cases with a secondary diagnosis of secondary kyphosis ..............................
The data indicate that there were
1,344 cases in MS–DRG 456, with an
average length of stay of 12 days and
average costs of $66,012. Of these 1,344
cases, there were 37 cases that reported
a secondary diagnosis of secondary
scoliosis, with an average length of stay
of 7.7 days and average costs of $58,009.
There were also 52 cases in MS–DRG
456 reporting a secondary diagnosis of
secondary kyphosis, with an average
length of stay of 12 days and average
costs of $78,865. In MS–DRG 457, there
was a total of 3,654 cases, with an
average length of stay of 6.2 days and
average costs of $47,577. Of these 3,654
cases, there were 187 cases that reported
secondary scoliosis as a secondary
diagnosis, with an average length of stay
of 4.9 days and average costs of $37,655.
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In MS–DRG 457, there were also 114
cases that reported a secondary
diagnosis of secondary kyphosis, with
an average length of stay of 5.2 days and
average costs of $37,357. Finally, there
was a total of 1,245 cases in MS–DRG
458, with an average length of stay of
3.4 days and average costs of $34,179.
Of these 1,245 cases, there were 190
cases that reported a secondary
diagnosis of secondary scoliosis, with
an average length of stay of 3 days and
average costs of $29,052. There were 39
cases in MS–DRG 458 that reported a
secondary diagnosis of secondary
kyphosis, with an average length of stay
of 3.7 days and average costs of $31,015.
Our clinical advisors agree that the
average length of stay and average costs
for the small number of cases reporting
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1,344
37
52
3,654
187
114
1,245
190
39
Average
length of stay
12
7.7
12
6.2
4.9
5.2
3.4
3.0
3.7
Average costs
$66,012
58,009
78,865
47,577
37,655
37,357
34,179
29,052
31,015
secondary scoliosis or secondary
kyphosis as a principal diagnosis with
a non-cervical spinal fusion currently
grouping to MS–DRGs 459 and 460 are
generally more aligned with the average
length of stay and average costs for the
cases reporting secondary scoliosis or
secondary kyphosis as a secondary
diagnosis with a non-cervical spinal
fusion currently grouping to MS–DRGs
456, 457, and 458. They also note that
there may be instances in which the
underlying cause of the diagnosis of
secondary scoliosis or secondary
kyphosis is not treated or responsible
for the admission.
Therefore, for the reasons described
above, we are proposing to add the
following ICD–10–CM diagnosis codes
describing secondary scoliosis and
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secondary kyphosis to the list of
principal diagnosis codes for MS–DRGs
456, 457, and 458: M40.10; M40.14;
M40.15; M41.50; M41.54; M41.55;
M41.56; and M41.57. During our review
of MS–DRGs 456, 457, and 458, we
ICD–10–CM code
M40.03 .................
M40.202 ...............
M40.203 ...............
M40.292 ...............
M40.293 ...............
M41.02 .................
M41.03 .................
M41.112 ...............
M41.113 ...............
M41.122 ...............
M41.123 ...............
M41.22 .................
M41.23 .................
M41.82 .................
M41.83 .................
M42.01 .................
M42.02 .................
M42.03 .................
M43.8X1 ...............
M43.8X2 ...............
M43.8X3 ...............
M46.21 .................
M46.22 .................
M46.23 .................
M48.51XA ............
M48.52XA ............
M48.53XA ............
M40.12 .................
M40.13 .................
M41.41 .................
M4.142 .................
M4143 ..................
M41.52 .................
M41.53 .................
Code description
Postural kyphosis, cervicothoracic region.
Unspecified kyphosis, cervical region.
Unspecified kyphosis, cervicothoracic region.
Other kyphosis, cervical region.
Other kyphosis, cervicothoracic region.
Infantile idiopathic scoliosis, cervical region.
Infantile idiopathic scoliosis, cervicothoracic region.
Juvenile idiopathic scoliosis, cervical region.
Juvenile idiopathic scoliosis, cervicothoracic region.
Adolescent idiopathic scoliosis, cervical region.
Adolescent idiopathic scoliosis, cervicothoracic region.
Other idiopathic scoliosis, cervical region.
Other idiopathic scoliosis, cervicothoracic region.
Other forms of scoliosis, cervical region.
Other forms of scoliosis, cervicothoracic region.
Juvenile osteochondrosis of spine, occipito-atlanto-axial region.
Juvenile osteochondrosis of spine, cervical region.
Juvenile osteochondrosis of spine, cervicothoracic region.
Other specified deforming dorsopathies, occipito-atlanto-axial region.
Other specified deforming dorsopathies, cervical region.
Other specified deforming dorsopathies, cervicothoracic region.
Osteomyelitis of vertebra, occipito-atlanto-axial region.
Osteomyelitis of vertebra, cervical region.
Osteomyelitis of vertebra, cervicothoracic region.
Collapsed vertebra, not elsewhere classified, occipito-atlanto-axial region, initial encounter for fracture.
Collapsed vertebra, not elsewhere classified, cervical region, initial encounter for fracture.
Collapsed vertebra, not elsewhere classified, cervicothoracic region, initial encounter for fracture.
Other secondary kyphosis, cervical region.
Other secondary kyphosis, cervicothoracic region.
Neuromuscular scoliosis, occipito-atlanto-axial region.
Neuromuscular scoliosis, cervical region.
Neuromuscular scoliosis, cervicothoracic region.
Other secondary scoliosis, cervical region.
Other secondary scoliosis, cervicothoracic region.
Our clinical advisors noted that
because the diagnosis codes shown in
the table above describe conditions
involving the cervical region, they are
not clinically appropriate for
assignment to MS–DRGs 456, 457, and
458, which are defined by non-cervical
spinal fusion procedures (with spinal
curvature or malignancy or infection or
extensive fusions). Therefore, our
clinical advisors recommended that
these codes be removed from the MS–
DRG logic for these MS–DRGs. As such,
we are proposing to remove the
diagnosis codes that describe conditions
involving the cervical region as shown
in the table above from MS–DRGs 456,
457, and 458.
7. MDC 11 (Diseases and Disorders of
the Kidney and Urinary Tract):
Extracorporeal Shock Wave Lithotripsy
(ESWL)
We received two separate, but related
requests to add ICD–10–CM diagnosis
code N13.6 (Pyonephrosis) and ICD–10–
CM diagnosis code T83.192A (Other
mechanical complication of indwelling
ureteral stent, initial encounter) to the
list of principal diagnosis codes for MS–
DRGs 691 and 692 (Urinary Stones with
ESW Lithotripsy with CC/MCC and
without CC/MCC, respectively) in MDC
11 so that cases are assigned more
amozie on DSK9F9SC42PROD with PROPOSALS2
ICD–10–PCS code
0TF3XZZ ..............
0TF4XZZ ..............
OTF6XZZ .............
OTF7XZZ .............
OTFBXZZ .............
OTFCXZZ .............
OTFDXZZ .............
VerDate Sep<11>2014
found the following diagnosis codes that
describe conditions involving the
cervical region.
appropriately when an Extracorporeal
Shock Wave Lithotripsy (ESWL)
procedure is performed.
ICD–10–CM diagnosis code N13.6
currently groups to MS–DRGs 689 and
690 (Kidney and Urinary Tract
Infections with MCC and without MCC,
respectively) and ICD–10–CM diagnosis
code T83.192A currently groups to MS–
DRGs 698, 699, and 700 (Other Kidney
and Urinary Tract Diagnoses with MCC,
with CC, and without CC/MCC,
respectively).
The ICD–10–PCS procedure codes for
identifying procedures involving ESWL
are designated as non-O.R. procedures
and are shown in the following table.
Code description
Fragmentation
Fragmentation
Fragmentation
Fragmentation
Fragmentation
Fragmentation
Fragmentation
17:51 May 02, 2019
in
in
in
in
in
in
in
right kidney pelvis, external approach.
left kidney pelvis, external approach.
right ureter, external approach.
left ureter, external approach.
bladder, external approach.
bladder neck, external approach.
urethra, external approach.
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Pyonephrosis can be described as an
infection of the kidney with pus in the
upper collecting system which can
progress to obstruction. Patients with an
obstruction in the upper urinary tract
due to urinary stones (calculi), tumors,
fungus balls or ureteropelvic obstruction
(UPJ) may also have a higher risk of
developing pyonephrosis. If
pyonephrosis is not recognized and
treated promptly, it can result in serious
complications, including fistulas, septic
shock, irreversible damage to the
kidneys, and death.
As noted above, the requestor
recommended that ICD–10–CM
diagnosis codes N13.6 and T83.192A be
added to the list of principal diagnosis
codes for MS–DRGs 691 and 692. There
are currently four MS–DRGs that group
cases for diagnoses involving urinary
stones, which are subdivided to identify
cases with and without an ESWL
procedure: MS–DRGs 691 and 692
(Urinary Stones with ESW Lithotripsy
with and without CC/MCC,
respectively) and MS–DRGs 693 and
694 (Urinary Stones without ESW
Lithotripsy with and without MCC,
respectively).
The requestor stated that when
patients who have been diagnosed with
hydronephrosis secondary to renal and
ureteral calculus obstruction undergo an
ESWL procedure, ICD–10–CM diagnosis
code N13.2 (Hydronephrosis with renal
and ureteral calculous obstruction) is
reported and groups to MS–DRGs 691
and 692. However, if a patient with a
diagnosis of hydronephrosis has a
urinary tract infection (UTI) in addition
to a renal calculus obstruction and
undergoes an ESWL procedure, ICD–10–
CM diagnosis code N13.6 must be coded
and reported as the principal diagnosis,
which groups to MS–DRGs 689 and 690.
The requestor stated that ICD–10–CM
diagnosis code N13.6 should be grouped
to MS–DRGs 691 and 692 when
reported as a principal diagnosis
because this grouping will more
appropriately reflect resource
consumption for patients who undergo
an ESWL procedure for obstructive
urinary calculi, while also receiving
treatment for urinary tract infections.
With regard to ICD–10–CM diagnosis
code T83.192A, the requestor believed
that when an ESWL procedure is
performed for the treatment of
calcifications within and around an
indwelling ureteral stent, it is
comparable to an ESWL procedure
performed for the treatment of urinary
calculi. Therefore, the requestor
recommended adding ICD–10–CM
diagnosis code T83.192A to MS–DRGs
691 and 692 when reported as a
principal diagnosis and an ESWL
procedure is also reported on the claim.
To analyze these separate, but related
requests, we first reviewed the reporting
of ICD–10–CM diagnosis code N13.6
within the ICD–10–CM classification.
ICD–10–CM diagnosis code N13.6 is to
be assigned for conditions identified in
the code range N13.0–N13.5 with
infection. (Codes in this range describe
hydronephrosis with obstruction.)
Infection may be documented by the
patient’s provider as urinary tract
infection (UTI) or as specific as acute
pyelonephritis. We agree with the
requestor that if a patient with a
diagnosis of hydronephrosis has a
urinary tract infection (UTI) in addition
to a renal calculus obstruction and
undergoes an ESWL procedure, ICD–10–
CM diagnosis code N13.6 must be coded
and reported as the principal diagnosis,
which groups to MS–DRGs 689 and 690.
In this case scenario, the ESWL
procedure is designated as a non-O.R.
procedure and does not impact the MS–
DRG assignment when reported with
ICD–10–CM diagnosis code N13.6.
The ICD–10–CM classification
instructs that when both a urinary
obstruction and a genitourinary
infection co-exist, the correct code
assignment for reporting is ICD–10–CM
diagnosis code N13.6, which is
appropriately grouped to MS–DRGs 689
and 690 (Kidney and Urinary Tract
Infections with MCC and without MCC,
respectively) because it describes a type
of urinary tract infection. Therefore, in
response to the requestor’s suggestion
that ICD–10–CM diagnosis code N13.6
be grouped to MS–DRGs 691 and 692
when reported as a principal diagnosis
to more appropriately reflect resource
consumption for patients who undergo
an ESWL procedure for obstructive
urinary calculi while also receiving
treatment for urinary tract infections, we
note that the ICD–10–CM classification
provides instruction to identify the
conditions reported with ICD–10–CM
diagnosis code N13.6 as an infection,
and not as urinary stones. Our clinical
advisors agree with this classification
and the corresponding MS–DRG
assignment for diagnosis code N13.6. In
addition, our clinical advisors noted
that an ESWL procedure is a non-O.R.
procedure and they do not believe that
this procedure is a valid indicator of
resource consumption for cases that
involve an infection and obstruction.
Our clinical advisors believe that the
resources used for a case that involves
an infection and an obstruction are
clinically distinct from the cases that
involve an obstruction only in the
course of treatment. Therefore, our
clinical advisors do not agree with the
request to add ICD–10–CM diagnosis
code N13.6 to the list of principal
diagnoses for MS–DRGs 691 and 692.
We also performed various analyses of
claims data to evaluate this request. We
analyzed claims data from the
September 2018 update of the FY 2018
MedPAR file for MS–DRGs 689 and 690
to identify cases reporting ICD–10–CM
diagnosis code N13.6 as the principal
diagnosis with and without an ESWL
procedure. Our findings are reflected in
the table below.
KIDNEY AND URINARY TRACT INFECTIONS WITH PRINCIPAL DIAGNOSIS OF PYONEPHROSIS WITH AND WITHOUT ESWL
Number of
cases
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
689—All cases ............................................................................................................
689—Cases with principal diagnosis of pyonephrosis ...............................................
689—Cases with principal diagnosis of pyonephrosis with ESWL ............................
690—All cases ............................................................................................................
690—Cases with principal diagnosis of pyonephrosis ...............................................
690—Cases with principal diagnosis of pyonephrosis with ESWL ............................
For MS–DRG 689, we found a total of
68,020 cases with an average length of
stay of 4.8 days and average costs of
$7,873. Of those 68,020 cases, we found
1,024 cases reporting pyonephrosis
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(ICD–10–CM diagnosis code N13.6) as a
principal diagnosis with an average
length of stay of 6.1 days and average
costs of $13,809. Of those 1,024 cases
reporting pyonephrosis (ICD–10–CM
PO 00000
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68,020
1,024
6
131,999
4,625
24
Average
length of stay
4.8
6.1
14.2
3.5
3.6
4.8
Average costs
$7,873
13,809
45,489
5,692
5,483
14,837
diagnosis code N13.6) as a principal
diagnosis, there were 6 cases that also
reported an ESWL procedure with an
average length of stay of 14.2 days and
average costs of $45,489. For MS–DRG
E:\FR\FM\03MYP2.SGM
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690, we found a total of 131,999 cases
with an average length of stay of 3.5
days and average costs of $5,692. Of
those 131,999 cases, we found 4,625
cases reporting pyonephrosis (ICD–10–
CM diagnosis code N13.6) as a principal
diagnosis with an average length of stay
of 3.6 days and average costs of $5,483.
Of those 4,625 cases reporting
pyonephrosis (ICD–10–CM diagnosis
code N13.6) as a principal diagnosis,
there were 24 cases that also reported an
ESWL procedure with an average length
of stay of 4.8 days and average costs of
$14,837.
The data indicate that the 1,024 cases
reporting pyonephrosis (ICD–10–CM
diagnosis code N13.6) as a principal
diagnosis in MS–DRG 689 have a longer
average length of stay (6.1 days versus
4.8 days) and higher average costs
($13,809 versus $7,873) compared to all
the cases in MS–DRG 689. The data also
indicate that the 6 cases reporting
pyonephrosis (ICD–10–CM diagnosis
code N13.6) as a principal diagnosis that
also reported an ESWL procedure have
a longer average length of stay (14.2
days versus 4.8 days) and higher average
costs ($45,489 versus $7,873) in
comparison to all the cases in MS–DRG
689. We found similar results for cases
reporting pyonephrosis (ICD–10–CM
diagnosis code N13.6) as a principal
diagnosis with an ESWL procedure in
MS–DRG 690, where the average length
of stay was slightly longer (4.8 days
versus 3.5 days) and the average costs
were higher ($14,837 versus $5,692).
We then conducted further analysis
for the six cases in MS–DRG 689 that
reported a principal diagnosis of
pyonephrosis with ESWL to determine
what factors may be contributing to the
longer lengths of stay and higher
average costs. Specifically, we analyzed
the MCC conditions that were reported
across the six cases. Our findings are
shown in the table below.
SECONDARY DIAGNOSIS MCC CONDITIONS REPORTED IN MS–DRG 689 WITH PRINCIPAL DIAGNOSIS OF PYONEPHROSIS
WITH ESWL
Number of
times reported
Average
length of stay
ICD–10–CM code
Description
A41.9 .....................
G82.50 ..................
I50.23 ....................
J96. 01 ..................
K66.1 .....................
L89.153 .................
R57.1 ....................
Sepsis, unspecified organism ..................................................................
Quadriplegia, unspecified .........................................................................
Acute on chronic systolic (congestive) heart failure ................................
Acute respiratory failure with hypoxia ......................................................
Hemoperitoneum ......................................................................................
Pressure ulcer of sacral region, stage 3 ..................................................
Hypovolemic shock ..................................................................................
2
1
1
1
1
1
1
26.5
7
7
7
10
8
10
96,525
13,782
13,304
13,304
26,314
26,487
26,314
Total ...............
...................................................................................................................
8
12.8
39,069
We found seven secondary diagnosis
MCC conditions reported among the six
cases in MS–DRG 689 that had a
principal diagnosis of pyonephrosis
with ESWL. These MCC conditions
appear to have contributed to the longer
lengths of stay and higher average costs
for those six cases. As shown in the
table above, the overall average length of
stay for the cases reporting these
conditions is 12.8 days with average
costs of $39,069, which is consistent
with the average length of stay of 14.2
days and average costs of $45,489 for
the cases in MS–DRG 689 that had a
principal diagnosis of pyonephrosis
with ESWL.
Average costs
We then analyzed the 24 cases in MS–
DRG 690 that reported a principal
diagnosis of pyonephrosis with ESWL to
determine what factors may be
contributing to the longer lengths of stay
and higher average costs. Specifically,
we analyzed the CC conditions that
were reported across the 24 cases. Our
findings are shown in the table below.
amozie on DSK9F9SC42PROD with PROPOSALS2
SECONDARY DIAGNOSIS CC CONDITIONS REPORTED IN MS–DRG 690 WITH PRINCIPAL DIAGNOSIS OF PYONEPHROSIS
WITH ESWL
Number of
times reported
ICD–10–CM code
Description
B37.0 ...................
B37.49 .................
C79.89 .................
E22.2 ...................
E44.0 ...................
E46 ......................
E87.0 ...................
E87.1 ...................
F11.20 .................
F33.1 ...................
G81.94 ................
G82.20 ................
G93.40 ................
I13.0 ....................
Candidal stomatitis .....................................................................................
Other urogenital candidiasis ......................................................................
Secondary malignant neoplasm of other specified sites ...........................
Syndrome of inappropriate secretion of antidiuretic hormone ...................
Moderate protein-calorie malnutrition ........................................................
Unspecified protein-calorie malnutrition .....................................................
Hyperosmolality and hypernatremia ..........................................................
Hypo-osmolality and hyponatremia ............................................................
Opioid dependence, uncomplicated ...........................................................
Major depressive disorder, recurrent, moderate ........................................
Hemiplegia, unspecified affecting left nondominant side ..........................
Paraplegia, unspecified ..............................................................................
Encephalopathy, unspecified .....................................................................
Hypertensive heart and chronic kidney disease with heart failure and
stage 1 through stage 4 chronic kidney disease, or unspecified chronic kidney dis.
Persistent atrial fibrillation ..........................................................................
Chronic systolic (congestive) heart failure .................................................
Chronic diastolic (congestive) heart failure ................................................
Hemiplegia and hemiparesis following cerebral infarction affecting right
dominant side.
I48.1 ....................
I50.22 ..................
I50.32 ..................
I69.351 ................
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E:\FR\FM\03MYP2.SGM
Average
length of stay
Average costs
2
2
1
1
1
2
1
1
1
1
3
1
2
1
9.5
7.5
3
2
6
5.5
6
5
1
12
9.3
10
7
4
$18,895
30,458
5,882
5,979
9,027
8,704
9,027
12,339
8,209
55,034
25,390
15,142
10,277
12,348
1
1
2
1
12
12
3.5
3
55,034
55,034
9,115
4,845
03MYP2
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SECONDARY DIAGNOSIS CC CONDITIONS REPORTED IN MS–DRG 690 WITH PRINCIPAL DIAGNOSIS OF PYONEPHROSIS
WITH ESWL—Continued
Number of
times reported
ICD–10–CM code
Description
I69.859 ................
Z68.1 ...................
Z68.43 .................
Hemiplegia and hemiparesis following other cerebrovascular disease affecting unspecified side.
Other intraoperative cardiac functional disturbances during other surgery
Chronic obstructive pulmonary disease with acute lower respiratory infection.
Chronic obstructive pulmonary disease with (acute) exacerbation ...........
Chronic respiratory failure, unspecified whether with hypoxia or
hypercapnia.
Chronic respiratory failure with hypoxia .....................................................
Diverticulitis of intestine, part unspecified, without perforation or abscess
without bleeding.
Tubulo-interstitial nephritis, not specified as acute or chronic ..................
Other obstructive and reflux uropathy .......................................................
Acute kidney failure, unspecified ...............................................................
Calculus of ureter .......................................................................................
Calculus of kidney with calculus of ureter .................................................
Hallucinations, unspecified .........................................................................
Aphasia ......................................................................................................
Bacteremia .................................................................................................
Minor contusion of left kidney, initial encounter ........................................
Infection and inflammatory reaction due to indwelling urethral catheter,
initial encounter.
Body mass index (BMI) 19.9 or less, adult ...............................................
Body mass index (BMI) 50–59.9, adult .....................................................
Total .............
.....................................................................................................................
I97.791 ................
J44.0 ...................
J44.1 ...................
J96.10 .................
J96.11 .................
K57.92 .................
N12 ......................
N13.8 ...................
N17.9 ...................
N20.1 ...................
N20.2 ...................
R44.3 ...................
R47.01 .................
R78.81 .................
S37.012A ............
T83.511A .............
We found 37 secondary diagnosis CC
conditions reported among the 24 cases
in MS–DRG 690 that had a principal
diagnosis of pyonephrosis with ESWL.
These CC conditions appear to have
contributed to the longer length of stay
and higher average costs for those 24
cases. As shown in the table above, the
overall average length of stay for the
cases reporting these conditions is 6.6
days with average costs of $18,173,
which is higher, although comparable,
to the average length of stay of 4.8 days
and average costs of $14,837 for the
cases in MS–DRG 690 that had a
principal diagnosis of pyonephrosis
with ESWL. We note that it appears that
1 of the 24 cases had at least 4
secondary diagnosis CC conditions
(F33.1, I48.1, I50.22, and J96.10) with an
average length of stay of 12 days and
average costs of $55,034, which we
believe contributed greatly overall to the
longer length of stay and higher average
costs for those secondary diagnosis CC
conditions reported among the 24 cases.
Our clinical advisors agree that the
resource consumption for the 6 cases in
MS–DRG 689 and the 24 cases in MS–
DRG 690 that reported a principal
diagnosis of pyonephrosis with ESWL
cannot be directly attributed to ESWL
Average
length of stay
Average costs
1
4
18,160
1
1
8
11
8,114
25,641
2
1
5
12
11,283
55,034
2
1
7
8
15,243
12,150
1
1
1
1
1
1
1
1
1
1
11
5
2
10
6
2
4
11
2
10
25,641
32,854
21,329
15,142
9,027
21,329
10,161
4,849
21,329
15,142
2
1
4.5
3
10,040
6,145
47
6.6
18,173
and believe that it is the secondary
diagnosis MCC and CC conditions that
are the major contributing factors to the
longer average length of stay and higher
average costs for these cases.
We also analyzed claims data for MS–
DRGs 691 and 692 (Urinary Stones with
ESW Lithotripsy with CC/MCC and
without CC/MCC, respectively) and
MS–DRGs 693 and 694 (Urinary Stones
without ESW Lithotripsy with MCC and
without MCC, respectively) to identify
claims reporting pyonephrosis (ICD–10–
CM diagnosis code N13.6) as a
secondary diagnosis. Our findings are
shown in the following table.
MS–DRGS FOR URINARY STONES WITH SECONDARY DIAGNOSIS OF PYONEPHROSIS WITH AND WITHOUT ESWL
Number of
times reported
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
691—All cases ............................................................................................................
691—Cases with secondary diagnosis of pyonephrosis and ESWL .........................
692—All cases ............................................................................................................
693—All cases ............................................................................................................
693—Cases with secondary diagnosis of pyonephrosis ............................................
694—All cases ............................................................................................................
694—Cases with secondary diagnosis of pyonephrosis ............................................
As shown in the table above, in MS–
DRG 691, there was a total of 140 cases
with an average length of stay of 3.9
days and average costs of $11,997. Of
those 140 cases, there were 3 cases that
reported pyonephrosis as a secondary
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Jkt 247001
diagnosis and an ESWL procedure with
an average length of stay of 8.0 days and
average costs of $24,280. There was a
total of 124 cases found in MS–DRG 692
with an average length of stay of 2.1
days and average costs of $8,326. There
PO 00000
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Fmt 4701
Sfmt 4702
140
3
124
1,315
16
7,240
89
Average
length of stay
3.9
8
2.1
5.1
5.5
2.7
3.5
Average costs
$11,997
24,280
8,326
9,668
9,962
5,263
6,678
were no cases in MS–DRG 692 that
reported pyonephrosis as a secondary
diagnosis with an ESWL procedure. For
MS–DRG 693, there was a total of 1,315
cases with an average length of stay of
5.1 days and average costs of $9,668. Of
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those 1,315 cases, there were 16 cases
reporting pyonephrosis as a secondary
diagnosis with an average length of stay
of 5.5 days and average costs of $9,962.
For MS–DRG 694, there was a total of
7,240 cases with an average length of
stay of 2.7 days and average costs of
$5,263. Of those 7,240 cases, there were
89 cases reporting pyonephrosis as a
secondary diagnosis with an average
length of stay of 3.5 days and average
costs of $6,678.
Similar to the process described
above, we then conducted further
analysis for the three cases in MS–DRG
691 that reported a secondary diagnosis
of pyonephrosis with ESWL to
determine what factors may be
contributing to the longer lengths of stay
and higher average costs. Specifically,
we analyzed what other MCC and CC
conditions were reported across the
three cases. We found no other MCC
conditions reported for those three
cases. Our findings for the CC
conditions reported for those three cases
are shown in the table below.
SECONDARY DIAGNOSIS CC CONDITIONS REPORTED IN MS–DRG 691
Number of
times reported
Average
length of stay
ICD–10–CM code
Description
E44.0 .....................
J96.10 ...................
1
1
15
7
$52,384
15,110
....................
....................
....................
....................
Moderate protein-calorie malnutrition .......................................................
Chronic respiratory failure, unspecified whether with hypoxia or
hypercapnia.
Pyonephrosis ............................................................................................
Acute kidney failure, unspecified .............................................................
Urinary tract infection, site not specified ..................................................
Ehlers-Danlos syndrome ..........................................................................
2
1
1
1
8.5
2
2
2
28,865
5,346
5,346
5,346
Total ...............
...................................................................................................................
7
6.4
20,181
N13.6
N17.9
N39.0
Q79.6
We found six secondary diagnosis CC
conditions reported among the three
cases in MS–DRG 691 that had a
secondary diagnosis of pyonephrosis
with ESWL. These CC conditions appear
to have contributed to the longer lengths
of stay and higher average costs for
those three cases. As shown in the table
above, the overall average length of stay
for the cases reporting these conditions
is 6.4 days with average costs of
$20,181, which is more consistent with
the average length of stay of 8.0 days
and average costs of $24,280 for the
cases in MS–DRG 691 that had a
secondary diagnosis of pyonephrosis
with ESWL.
Our clinical advisors believe that the
resource consumption for those three
cases cannot be directly attributed to
ESWL and that it is the secondary
diagnosis CC conditions reported in
addition to pyonephrosis, which is also
designated as a CC condition, that are
the major contributing factors for the
longer average lengths of stay and
higher average costs for these cases in
MS–DRG 691.
We did not conduct further analysis
for the 16 cases in MS–DRG 693 or the
89 cases in MS–DRG 694 that reported
a secondary diagnosis of pyonephrosis
because MS–DRGs 693 and 694 do not
include ESWL procedures and the
average length of stay and average costs
for those cases were consistent with the
data findings for all of the cases in their
assigned MS–DRG.
As discussed earlier in this section,
the requestor suggested that ICD–10–CM
diagnosis code N13.6 should be grouped
to MS–DRGs 691 and 692 when
reported as a principal diagnosis
because this grouping will more
appropriately reflect resource
consumption for patients who undergo
an ESWL procedure for obstructive
urinary calculi, while also receiving
treatment for urinary tract infections.
However, based on the results of the
data analysis and input from our
clinical advisors, we believe that cases
for which ICD–10–CM diagnosis code
N13.6 was reported as a principal
diagnosis or as a secondary diagnosis
with an ESWL procedure should not be
utilized as an indicator for increased
utilization of resources based on the
performance of an ESWL procedure.
Rather, we believe that the resource
consumption is more likely the result of
Average costs
secondary diagnosis CC and/or MCC
diagnosis codes.
With respect to the requestor’s
concern that cases reporting ICD–10–
CM diagnosis code T83.192A (Other
mechanical complication of indwelling
ureteral stent, initial encounter) and an
ESWL procedure are not appropriately
assigned and should be added to the list
of principal diagnoses for MS–DRGs 691
and 692 (Urinary Stones with ESW
Lithotripsy with CC/MCC and without
CC/MCC, respectively), our clinical
advisors note that ICD–10–CM diagnosis
code T83.192A is not necessarily
indicative of a patient having urinary
stones. As such, they do not support
adding ICD–10–CM diagnosis code
T83.192A to the list of principal
diagnosis codes for MS–DRGs 691 and
692.
We analyzed claims data to identify
cases reporting ICD–10–CM diagnosis
code T83.192A as a principal diagnosis
with ESWL in MS–DRGs 698, 699, and
700 (Other Kidney and Urinary Tract
Diagnoses with MCC, with CC, and
without CC/MCC, respectively). Our
findings are shown in the following
table.
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRGS FOR OTHER KIDNEY AND URINARY TRACT DIAGNOSES WITH PRINCIPAL DIAGNOSIS OF OTHER MECHANICAL
COMPLICATIONS OF INDWELLING URETERAL STENT WITH ESWL
Number of
cases
MS–DRG
MS–DRG 698—All cases ............................................................................................................
MS–DRG 698—Cases with diagnosis code T83.192A reported as principal diagnosis ............
MS–DRG 699—All cases ............................................................................................................
MS–DRG 699—Cases with diagnosis code T83.192A reported as principal diagnosis ............
MS–DRG 699—Cases with diagnosis code T83.192A reported as principal diagnosis with
ESWL .......................................................................................................................................
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Average
length of stay
Average costs
56,803
35
33,693
63
6.1
7.1
4.2
4.1
$11,220
14,574
7,348
7,652
1
3
7,986
E:\FR\FM\03MYP2.SGM
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MS–DRGS FOR OTHER KIDNEY AND URINARY TRACT DIAGNOSES WITH PRINCIPAL DIAGNOSIS OF OTHER MECHANICAL
COMPLICATIONS OF INDWELLING URETERAL STENT WITH ESWL—Continued
Number of
cases
MS–DRG
MS–DRG 700—All cases ............................................................................................................
For MS–DRG 698, there was a total of
56,803 cases reported, with an average
length of stay of 6.1 days and average
costs of $11,220. Of these 56,803 cases,
35 cases reported ICD–10–CM diagnosis
code T83.192A as the principal
diagnosis, with an average length of stay
of 7.1 days and average costs of $14,574.
There were no cases that reported an
ESWL procedure with ICD–10–CM
diagnosis code T83.192A as the
principal diagnosis in MS–DRG 698. For
MS–DRG 699, there was a total of
33,693 cases reported, with an average
length of stay of 4.2 days and average
costs of $7,348. Of the 33,693 cases in
MS–DRG 699, there were 63 cases that
reported ICD–10–CM diagnosis code
T83.192A as the principal diagnosis,
with an average length of stay of 4.1
days and average costs of $7,652. There
was only 1 case in MS–DRG 699 that
reported ICD–10–CM diagnosis code
T83.192A as the principal diagnosis
with an ESWL procedure, with an
average length of stay of 3 days and
average costs of $7,986. For MS–DRG
700, there was a total of 3,719 cases
reported, with an average length of stay
of 3 days and average costs of $5,356.
There were no cases that reported ICD–
10–CM diagnosis code T83.192A as the
principal diagnosis in MS–DRG 700. Of
the 98 cases in MS–DRGs 698 and 699
that reported a principal diagnosis of
other mechanical complication of
indwelling ureteral stent (diagnosis
code T83.192A), only 1 case also
MS–DRGs
5,356
reported an ESWL procedure. Based on
the results of our data analysis and
input from our clinical advisors, we are
not proposing to add ICD–10–CM
diagnosis code T83.192A to the list of
principal diagnosis codes for MS–DRGs
691 and 692.
In connection with these requests, our
clinical advisors recommended that we
evaluate the frequency with which
ESWL is reported in the inpatient
setting across all the MS–DRGs.
Therefore, we also analyzed claims data
from the September 2018 update of the
FY 2018 MedPAR file to identify the
other MS–DRGs to which claims
reporting an ESWL procedure were
reported. Our findings are shown in the
following table.
cases in the applicable MS–DRG, are
shown in the table below.
Number of
times reported
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
3
Major Bladder Procedures with CC.
Kidney and Ureter Procedures for Neoplasm with CC.
Kidney and Ureter Procedures for Non-Neoplasm with MCC, with CC, without CC/MCC, respectively.
Minor Bladder Procedures with MCC and with CC, respectively.
Prostatectomy with MCC and with CC, respectively.
Transurethral Procedures with MCC, with CC, and without CC/MCC, respectively.
Urethral Procedures with CC/MCC.
Renal Failure with MCC and with CC, respectively.
Kidney and Urinary Tract Infections with MCC and without MCC, respectively.
Urinary Stones with ESW Lithotripsy with CC/MCC and without CC/MCC, respectively.
Kidney and Urinary Tract Signs and Symptoms without MCC.
Other Kidney and Urinary Tract Diagnoses with MCC, with CC, and without CC/MCC, respectively.
Extensive O.R. Procedure Unrelated to Principal Diagnosis with CC.
Our findings with respect to the cases
reporting an ESWL procedure in each of
these MS–DRGs, as compared to all
654—All cases ............................................................................................................
654—Cases reporting ESWL ......................................................................................
657—All cases ............................................................................................................
657—Cases reporting ESWL ......................................................................................
659—All cases ............................................................................................................
659—Cases reporting ESWL ......................................................................................
660—All cases ............................................................................................................
660—Cases reporting ESWL ......................................................................................
661—All cases ............................................................................................................
661—Cases reporting ESWL ......................................................................................
662—All cases ............................................................................................................
662—Cases reporting ESWL ......................................................................................
663—All cases ............................................................................................................
663—Cases reporting ESWL ......................................................................................
665—All cases ............................................................................................................
665—Cases reporting ESWL ......................................................................................
666—All cases ............................................................................................................
666—Cases reporting ESWL ......................................................................................
668—All cases ............................................................................................................
VerDate Sep<11>2014
3,719
Average costs
MS–DRG description
654 .......................
657 .......................
659, 660, 661 .......
662, 663 ...............
665, 666 ...............
668, 669, 670 .......
671 .......................
682, 683 ...............
689, 690 ...............
691, 692 ...............
696 .......................
698, 699, 700 .......
982 .......................
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
Average
length of stay
17:51 May 02, 2019
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3,838
1
7,242
2
7,761
71
17,617
193
12,434
154
614
1
1,349
2
589
2
1,517
2
2,065
E:\FR\FM\03MYP2.SGM
03MYP2
Average
length of stay
6.7
5
4.1
2
8.1
11.1
4.1
4
2.3
2.7
10.2
22
5
3.5
9.4
16.5
5.6
9.5
9
Average costs
$19,805
9,102
14,047
19,021
18,717
26,366
10,292
13,627
7,997
12,639
23,110
57,520
11,213
15,870
21,328
17,710
13,060
16,521
20,229
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Number of
times reported
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
668—Cases reporting ESWL ......................................................................................
669—All cases ............................................................................................................
669—Cases reporting ESWL ......................................................................................
670—All cases ............................................................................................................
670—Cases reporting ESWL ......................................................................................
671—All cases ............................................................................................................
671—Cases reporting ESWL ......................................................................................
682—All cases ............................................................................................................
682—Cases reporting ESWL ......................................................................................
683—All cases ............................................................................................................
683—Cases reporting ESWL ......................................................................................
689—All cases ............................................................................................................
689—Cases reporting ESWL ......................................................................................
690—All cases ............................................................................................................
690—Cases reporting ESWL ......................................................................................
691—All cases ............................................................................................................
691—Cases reporting ESWL ......................................................................................
692—All cases ............................................................................................................
692—Cases reporting ESWL ......................................................................................
696—All cases ............................................................................................................
696—Cases reporting ESWL ......................................................................................
698—All cases ............................................................................................................
698—Cases reporting ESWL ......................................................................................
699—All cases ............................................................................................................
699—Cases reporting ESWL ......................................................................................
700—All cases ............................................................................................................
700—Cases reporting ESWL ......................................................................................
982—All cases ............................................................................................................
982—Cases reporting ESWL ......................................................................................
higher average costs, with the exception
of the case assigned to MS–DRG 700,
which is a medical MS–DRG and has no
CC or MCC conditions in the logic.
Therefore, our clinical advisors do not
believe that cases reporting an ESWL
procedure should be considered as an
indication of increased resource
consumption for inpatient
hospitalizations.
Our clinical advisors also suggested
that we evaluate the reporting of ESWL
Our data analysis indicates that,
generally, the subset of cases reporting
an ESWL procedure appear to have a
longer average length of stay and higher
average costs when compared to all the
cases in their assigned MS–DRG.
However, we note that this same subset
of cases also reported at least one O.R.
procedure and/or diagnosis designated
as a CC or an MCC, which our clinical
advisors believe are contributing factors
to the longer average lengths of stay and
FY 2014
(version 31)
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG 691—Urinary
Stones with ESW
Lithotripsy w CC/MCC
MS–DRG 692—Urinary
Stones with ESW
Lithotripsy without CC/
MCC ............................
FY 2015
(version 32)
1
5,259
5
1,707
5
367
1
97,347
5
132,206
4
68,020
11
131,999
39
140
140
124
124
5,933
2
56,803
18
33,693
9
3,719
1
16,834
2
Average costs
4
4.9
2.4
2.6
3
6.4
3
5.7
10
3.9
13.3
4.8
13.3
3.5
4.9
3.9
3.9
2.1
2.1
2.9
2.5
6.1
9.2
4.2
4.4
3
1
6.3
11
19,383
11,217
13,006
7,177
18,416
13,519
29,731
10,384
26,773
6,450
19,706
7,873
35,510
5,692
13,567
11,997
11,997
8,326
8,326
4,938
6,238
11,220
27,818
7,348
10,986
5,356
7,580
16,939
74,751
procedures in the inpatient setting over
the past few years. We analyzed claims
data for MS–DRGs 691 and 692 from the
FY 2012 through the FY 2016 MedPAR
files, which were used in our analysis
of claims data for MS–DRG
reclassification requests effective for FY
2014 through FY 2018. We note that the
analysis findings shown in the
following table reflect ICD–9–CM, ICD–
10–CM and ICD–10–PCS coded claims
data.
FY 2016
(version 33)
FY 2017
(version 34)
FY 2018
(version 35)
Number
of cases
Average
length
of stay
Average
costs
Number
of cases
Average
length
of stay
Average
costs
Number
of cases
Average
length
of stay
Average
costs
Number
of cases
Average
length
of stay
Average
costs
Number
of cases
Average
length
of stay
Average
costs
898
3.77
$10,274
832
3.81
$11,141
812
3.72
$11,534
750
4.06
$11,907
448
3.4
$11,502
231
2.02
7,292
197
2.14
8,041
133
2.32
9,273
103
2.39
9,398
61
2.3
8,702
The data show a steady decline in the
number of cases reporting urinary
stones with an ESWL procedure for the
past 5 years. As previously noted, the
total number of cases reporting urinary
stones with an ESWL procedure for MS–
DRGs 691 and 692 based on our analysis
of the September 2018 update of the FY
2018 MedPAR file was 264, which again
is a decline from the prior year’s figures.
As discussed throughout this section, an
ESWL procedure is a non-O.R.
VerDate Sep<11>2014
Average
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17:51 May 02, 2019
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procedure which currently groups to
medical MS–DRGs 691 and 692.
Therefore, because an ESWL procedure
is a non-O.R. procedure and due to
decreased usage of this procedure in the
inpatient setting for the treatment of
urinary stones, our clinical advisors
believe that there is no longer a clinical
reason to subdivide the MS–DRGs for
urinary stones (MS–DRGs 691, 692, 693,
and 694) based on ESWL procedures.
Therefore, we are proposing to delete
MS–DRGs 691 and 692 and to revise the
PO 00000
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Fmt 4701
Sfmt 4702
titles for MS–DRGs 693 and 694 from
‘‘Urinary Stones without ESW
Lithotripsy with MCC’’ and ‘‘Urinary
Stones without ESW Lithotripsy
without MCC’’, respectively to ‘‘Urinary
Stones with MCC’’ and ‘‘Urinary Stones
without MCC’’, respectively.
8. MDC 12 (Diseases and Disorders of
the Male Reproductive System):
Diagnostic Imaging of Male Anatomy
We received a request to review four
ICD–10–CM diagnosis codes describing
E:\FR\FM\03MYP2.SGM
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body parts associated with male
anatomy that are currently assigned to
MDC 5 (Diseases and Disorders of the
Circulatory System) in MS–DRGs 302
and 303 (Atherosclerosis with MCC and
Atherosclerosis without MCC,
ICD–10–CM code
amozie on DSK9F9SC42PROD with PROPOSALS2
R93.811
R93.812
R93.813
R93.819
................
................
................
................
respectively). The four codes are listed
in the following table.
Code description
Abnormal
Abnormal
Abnormal
Abnormal
radiologic
radiologic
radiologic
radiologic
findings
findings
findings
findings
The requestor recommended that the
four diagnosis codes shown in the table
above be considered for assignment to
MDC 12 (Diseases and Disorders of the
Male Reproductive System), consistent
with other diagnosis codes that include
the male anatomy. However, the
requestor did not suggest a specific MS–
DRG assignment within MDC 12.
We examined claims data from the
September 2018 update of the FY 2018
MedPAR file for MS–DRGs 302 and 303
to identify any cases reporting a
diagnosis code for abnormal radiologic
findings on diagnostic imaging of the
testicles. We did not find any such
cases.
Our clinical advisors reviewed this
request and determined that the
assignment of diagnosis codes R93.811,
R93.812, R93.813, and R93.819 to MDC
5 in MS–DRGs 302 and 303 was a result
of replication from ICD–9–CM diagnosis
code 793.2 (Nonspecific (abnormal)
findings on radiological and other
examination of other intrathoracic
organs) which was assigned to those
MS–DRGs. Therefore, our clinical
advisors support reassignment of these
codes to MDC 12. Our clinical advisors
agree that this reassignment is clinically
appropriate because these diagnosis
codes are specific to the male anatomy,
consistent with other diagnosis codes in
MDC 12 that include the male anatomy.
Specifically, our clinical advisors
suggest reassignment of the four
diagnosis codes to MS–DRGs 729 and
730 (Other Male Reproductive System
Diagnoses with CC/MCC and without
CC/MCC, respectively). Therefore, we
are proposing to reassign ICD–10–CM
diagnosis codes R93.811, R93.812,
R93.813, and R93.819 from MDC 5 in
MS–DRGs 302 and 303 to MDC 12 in
MS–DRGs 729 and 730.
VerDate Sep<11>2014
19211
17:51 May 02, 2019
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on
on
on
on
diagnostic
diagnostic
diagnostic
diagnostic
imaging
imaging
imaging
imaging
of
of
of
of
right testicle.
left testicle.
testicles, bilateral.
unspecified testicle.
9. MDC 14 (Pregnancy, Childbirth and
the Puerperium): Proposed
Reassignment of Diagnosis Code O99.89
We received a request to review the
MS–DRG assignment for cases reporting
ICD–10–CM diagnosis code O99.89
(Other specified diseases and conditions
complicating pregnancy, childbirth and
the puerperium). The requestor stated
that it is experiencing MS–DRG shifts to
MS–DRG 769 (Postpartum and Post
Abortion Diagnoses with O.R.
Procedure) as a result of the new
obstetric MS–DRG logic when ICD–10–
CM diagnosis code O99.89 is reported as
a principal diagnosis in the absence of
a delivery code on the claim (to indicate
the patient delivered during that
hospitalization), or when there is no
other secondary diagnosis code on the
claim indicating that the patient is in
the postpartum period. According to the
requestor, claims reporting ICD–10–CM
diagnosis code O99.89 as a principal
diagnosis for conditions described as
occurring during the antepartum period
that are reported with an O.R. procedure
are grouping to MS–DRG 769. In the
example provided by the requestor,
ICD–10–CM diagnosis code O99.89 was
reported as the principal diagnosis, with
ICD–10–CM diagnosis codes N13.2
(Hydronephrosis with renal and ureteral
calculous obstruction) and Z3A.25 (25
weeks of gestation of pregnancy)
reported as secondary diagnoses with
ICD–10–PCS procedure code 0T68DZ
(Dilation of right ureter with
intraluminal device, endoscopic
approach), resulting in assignment to
MS–DRG 769. The requestor noted that,
in the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41212), we stated ‘‘If there
was not a principal diagnosis of
abortion reported on the claim, the logic
asks if there was a principal diagnosis
of an antepartum condition reported on
the claim. If yes, the logic then asks if
there was an O.R. procedure reported on
the claim. If yes, the logic assigns the
case to one of the proposed new MS–
PO 00000
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Fmt 4701
Sfmt 4702
DRGs 817, 818, or 819.’’ In the
requestor’s example, there were not any
codes reported to indicate that the
patient was in the postpartum period,
nor was there a delivery code reported
on the claim. Therefore, the requestor
suggested that a more appropriate
assignment for ICD–10–CM diagnosis
code O99.89 may be MS–DRGs 817, 818,
and 819 (Other Antepartum Diagnoses
with O.R. Procedure with MCC, with CC
and without CC/MCC, respectively).
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41202 through 41216), we
finalized our proposal to restructure the
MS–DRGs within MDC 14 (Pregnancy,
Childbirth and the Puerperium) which
established new concepts for the
GROUPER logic. As a result of the
modifications made, ICD–10–CM
diagnosis code O99.89 was classified as
a postpartum condition and is currently
assigned to MS–DRG 769 (Postpartum
and Post Abortion Diagnoses with O.R.
Procedure) and MS–DRG 776
(Postpartum and Post Abortion
Diagnoses without O.R. Procedure)
under the Version 36 ICD–10 MS–DRGs.
As also discussed and displayed in
Diagram 2 in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41212 through
41213), the logic asks if there was a
principal diagnosis of a postpartum
condition reported on the claim. If yes,
the logic then asks if there was an O.R.
procedure reported on the claim. If yes,
the logic assigns the case to MS–DRG
769. If no, the logic assigns the case to
MS–DRG 776. Therefore, the MS–DRG
assignment for the example provided by
the requestor is grouping accurately
according to the current GROUPER
logic.
We analyzed claims data from the
September 2018 update of the FY 2018
MedPAR file for cases reporting
diagnosis code O99.89 in MS–DRGs 769
and 776 as a principal diagnosis or as
a secondary diagnosis. Our findings are
shown in the following table.
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POSTPARTUM MS–DRGS WITH PRINCIPAL OR SECONDARY DIAGNOSIS OF OTHER SPECIFIED DISEASES AND CONDITIONS
COMPLICATING PREGNANCY, CHILDBIRTH AND THE PUERPERIUM
Number of
cases
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
769—All cases ............................................................................................................
769—Cases reporting diagnosis code O99.89 as principal diagnosis .......................
769—Cases reporting diagnosis code O99.89 as secondary diagnosis ....................
776—All cases ............................................................................................................
776—Cases reporting diagnosis code O99.89 as principal diagnosis .......................
As shown in the table above, we
found a total of 91 cases in MS–DRG
769 with an average length of stay of 4.3
days and average costs of $11,015. Of
these 91 cases, 7 cases reported ICD–10–
CM diagnosis code O99.89 as a
principal diagnosis with an average
length of stay of 5.6 days and average
costs of $19,059, and 61 cases reported
ICD–10–CM diagnosis code O99.89 as a
secondary diagnosis with an average
length of stay of 12.1 days and average
costs of $41,717. For MS–DRG 776, we
found a total of 560 cases with an
average length of stay of 3.1 days and
average costs of $5,332. Of these 560
cases, 57 cases reported ICD–10–CM
diagnosis code O99.89 as a principal
diagnosis with an average length of stay
of 3.5 days and average costs of $6,439.
There were no cases reporting ICD–10–
CM diagnosis code O99.89 as a
secondary diagnosis in MS–DRG 776.
For MS–DRG 769, the data show that
the 68 cases reporting ICD–10–CM
diagnosis code O99.89 as a principal or
secondary diagnosis have a longer
average length of stay and higher
average costs compared to all the cases
in MS–DRG 769. For MS–DRG 776, the
data show that the 57 cases reporting a
principal diagnosis of ICD–10–CM
diagnosis code O99.89 have a similar
average length of stay compared to all
the cases in MS–DRG 776 (3.5 days
versus 3.1 days) and average costs that
are consistent with the average costs of
all cases in MS–DRG 776 ($6,439 versus
$5,332).
We note that the description for ICD–
10–CM diagnosis code O99.89 ‘‘Other
specified diseases and conditions
complicating pregnancy, childbirth and
the puerperium’’, describes conditions
that may occur during the antepartum
period (pregnancy), during childbirth,
or during the postpartum period
(puerperium). In addition, in the ICD–
10–CM Tabular List of Diseases, there is
an inclusion term at subcategory O99.8instructing users that the reporting of
any diagnosis codes in that subcategory
is intended for conditions that are
reported in certain ranges of the
classification. Specifically, the inclusion
term states ‘‘Conditions in D00–D48,
H00–H95, M00–N99, and Q00–Q99.’’
There is also an instructional note to
‘‘Use additional code to identify
condition.’’ As a result, ICD–10–CM
diagnosis code O99.89 may be reported
to identify conditions that occur during
the antepartum period (pregnancy),
during childbirth, or during the
postpartum period (puerperium).
However, it is not restricted to the
reporting of obstetric specific conditions
only. In the example provided by the
requestor, ICD–10–CM diagnosis code
O99.89 was reported as the principal
ICD–10–CM code
amozie on DSK9F9SC42PROD with PROPOSALS2
O99.810 ...............
O99.814 ...............
O99.815 ...............
4.3
5.6
12.1
3.1
3.5
Average costs
$11,015
19,059
41,717
5,332
6,439
diagnosis with ICD–10–CM diagnosis
code N13.2 (Hydronephrosis with renal
and ureteral calculous obstruction) as a
secondary diagnosis. ICD–10–CM
diagnosis code N13.2 is within the code
range referenced earlier in this section
(M00–N99) and qualifies as an
appropriate condition for reporting
according to the instruction.
As noted earlier, ICD–10–CM
diagnosis code O99.89 is intended to
report conditions that occur during the
antepartum period (pregnancy), during
childbirth, or during the postpartum
period (puerperium) and is not
restricted to the reporting of obstetric
specific conditions only. However,
because the diagnosis code description
includes three distinct obstetric related
stages, it is not clear what stage the
patient is in by this single code. For
example, upon review of subcategory
O99.8-, we recognized that the other
ICD–10–CM diagnosis code subsubcategories are expanded to include
unique codes that identify the condition
as occurring or complicating pregnancy,
childbirth or the puerperium.
Specifically, sub-subcategory O99.81(Abnormal glucose complicating
pregnancy, childbirth, and the
puerperium) is expanded to include the
following ICD–10–CM diagnosis codes.
Code description
Abnormal glucose complicating pregnancy.
Abnormal glucose complicating childbirth.
Abnormal glucose complicating the puerperium.
The codes listed above specifically
identify at what stage the abnormal
glucose was a complicating condition.
Because each code uniquely identifies a
stage, the code can be easily classified
under MDC 14 as an antepartum
condition (ICD–10–CM diagnosis code
O99.810), occurring during a delivery
episode (ICD–10–CM diagnosis code
VerDate Sep<11>2014
91
7
61
560
57
Average
length of stay
17:51 May 02, 2019
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O99.814), or as a postpartum condition
(ICD–10–CM diagnosis code O99.815).
The same is not true for ICD–10–CM
diagnosis code O99.89 because it
includes all three stages in the single
code.
Therefore, we examined the number
and type of secondary diagnoses
reported with ICD–10–CM diagnosis
PO 00000
Frm 00056
Fmt 4701
Sfmt 4702
code O99.89 as a principal diagnosis for
MS–DRGs 769 and 776 to identify how
many secondary diagnoses were related
to other obstetric conditions and how
many were related to non-obstetric
conditions.
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Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
Number of
secondary
diagnoses
reported with
O99.89
as principal
MS–DRG
MS–DRG 769 ...........................................
MS–DRG 776 ...........................................
59
376
As shown in the table above, there
was a total of 59 secondary diagnoses
reported with diagnosis code O99.89 as
the principal diagnosis for MS–DRG
769. Of those 59 secondary diagnoses,
13 were obstetric (OB) related diagnosis
codes (11 antepartum, 1 postpartum and
1 delivery) and 46 were non-obstetric
(Non-OB) related diagnosis codes. For
MS–DRG 776, there was a total of 376
secondary diagnoses reported with
diagnosis code O99.89 as the principal
diagnosis. Of those 376 secondary
diagnoses, 113 were obstetric (OB)
related diagnosis codes (88 antepartum,
19 postpartum and 6 delivery) and 263
were non-obstetric (Non-OB) related
diagnosis codes.
The data reflect that, for MS–DRGs
769 and 776, the number of secondary
diagnoses identified as OB-related
antepartum diagnoses is greater than the
Number of
secondary
OB related
antepartum
diagnoses
Number of
secondary
OB related
diagnoses
13
113
Number of
secondary
OB related
postpartum
diagnoses
11
88
number of secondary diagnoses
identified as OB-related postpartum
diagnoses (99 antepartum diagnoses
versus 20 postpartum diagnoses). The
data also indicate that, of the 435
secondary diagnoses reported with ICD–
10–CM diagnosis code O99.89 as the
principal diagnosis, 309 (71 percent) of
those secondary diagnoses were nonOB-related diagnosis codes. Because
there was a greater number of secondary
diagnoses identified as OB-related
antepartum diagnoses compared to the
OB-related postpartum diagnoses within
the postpartum MS–DRGs when ICD–
10–CM diagnosis code O99.89 was
reported as the principal diagnosis, we
performed further analysis of diagnosis
code O99.89 within the antepartum
MS–DRGs.
Under the Version 35 ICD–10 MS–
DRGs, diagnosis code O99.89 was
1
19
Number of
secondary
OB
related
delivery
diagnoses
Number of
secondary
non-OB
related
diagnoses
1
6
46
263
classified as an antepartum condition
and was assigned to MS–DRG 781
(Other Antepartum Diagnoses with
Medical Complications). Therefore, we
also analyzed claims data for MS–DRGs
817, 818 and 819 (Other Antepartum
Diagnoses with O.R. Procedure with
MCC, with CC and without CC/MCC,
respectively) and MS–DRGs 831, 832,
and 833 (Other Antepartum Diagnoses
without O.R. Procedure with MCC, with
CC and without CC/MCC, respectively)
for cases reporting ICD–10–CM
diagnosis code O99.89 as a secondary
diagnosis. We note that the analysis for
the proposed FY 2020 ICD–10 MS–
DRGs is based upon the September 2018
update of the FY 2018 MedPAR claims
data that were grouped through the
ICD–10 MS–DRG GROUPER Version 36.
Our findings are shown in the table
below.
ANTEPARTUM MS–DRGS WITH SECONDARY DIAGNOSIS OF OTHER SPECIFIED DISEASES AND CONDITIONS COMPLICATING
PREGNANCY, CHILDBIRTH AND THE PUERPERIUM
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
817—All cases ............................................................................................................
817—Cases reporting diagnosis code O99.89 as secondary diagnosis ....................
818—All cases ............................................................................................................
818—Cases reporting diagnosis code O99.89 as secondary diagnosis ....................
819—All cases ............................................................................................................
819—Cases reporting diagnosis code O99.89 as secondary diagnosis ....................
831—All cases ............................................................................................................
831—Cases reporting diagnosis code O99.89 as secondary diagnosis ....................
832—All cases ............................................................................................................
832—Cases reporting diagnosis code O99.89 as secondary diagnosis ....................
833—All cases ............................................................................................................
833—Cases reporting diagnosis code O99.89 as secondary diagnosis ....................
As shown in the table above, we
found a total of 63 cases in MS–DRG
817 with an average length of stay of 5.7
days and average costs of $14,948. Of
these 63 cases, there were 8 cases
reporting ICD–10–CM diagnosis code
O99.89 as a secondary diagnosis with an
average length of stay of 10.8 days and
average costs of $24,359. For MS–DRG
818, we found a total of 78 cases with
an average length of stay of 4.1 days and
average costs of $9,343. Of these 78
cases, there were 7 cases reporting ICD–
10–CM diagnosis code O99.89 as a
secondary diagnosis with an average
length of stay of 3.4 days and average
VerDate Sep<11>2014
17:51 May 02, 2019
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costs of $14,182. For MS–DRG 819, we
found a total of 25 cases with an average
length of stay of 2.2 days and average
costs of $5,893. Of these 25 cases, there
was 1 case reporting ICD–10–CM
diagnosis code O99.89 as a secondary
diagnosis with an average length of stay
of 1 day and average costs of $4,990.
For MS–DRG 831, we found a total of
747 cases with an average length of stay
of 4.8 days and average costs of $7,714.
Of these 747 cases, there were 127 cases
reporting ICD–10–CM diagnosis code
O99.89 as a secondary diagnosis with an
average length of stay of 5.4 days and
average costs of $7,050. For MS–DRG
PO 00000
Frm 00057
Fmt 4701
Sfmt 4702
63
8
78
7
25
1
747
127
1,142
145
537
47
Average
length of stay
5.7
10.8
4.1
3.4
2.2
1
4.8
5.4
3.6
4.2
2.6
2.6
Average costs
$14,948
24,359
9,343
14,182
5,893
4,990
7,714
7,050
5,159
5,656
3,807
3,307
832, we found a total of 1,142 cases with
an average length of stay of 3.6 days and
average costs of $5,159. Of these 1,142
cases, there were 145 cases reporting
ICD–10–CM diagnosis code O99.89 as a
secondary diagnosis with an average
length of stay of 4.2 days and average
costs of $5,656. For MS–DRG 833, we
found a total of 537 cases with an
average length of stay of 2.6 days and
average costs of $3,807. Of these 537
cases, there were 47 cases reporting
ICD–10–CM diagnosis code O99.89 as a
secondary diagnosis with an average
length of stay of 2.6 days and average
costs of $3,307.
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Overall, there was a total of 335 cases
reporting ICD–10–CM diagnosis code
O99.89 as a secondary diagnosis within
the antepartum MS–DRGs. Of those 335
cases, 16 cases involved an O.R.
procedure and 319 cases did not involve
an O.R. procedure. The data indicate
that ICD–10–CM diagnosis code O99.89
is reported more often as a secondary
diagnosis within the antepartum MS–
DRGs (335 cases) than it is reported as
a principal or secondary diagnosis
within the postpartum MS–DRGs (125
cases).
Our clinical advisors believe that,
because ICD–10–CM diagnosis code
O99.89 can be reported during the
antepartum period (pregnancy), during
childbirth, or during the postpartum
period (puerperium), there is not a clear
clinical indication as to which set of
MS–DRGs (antepartum, delivery, or
postpartum) would be the most
appropriate assignment for this
diagnosis code. They recommended that
we collaborate with the National Center
for Health Statistics (NCHS) at the
Centers for Disease Control and
Prevention (CDC), in consideration of a
proposal to possibly expand ICD–10–
CM diagnosis code O99.89 to become a
sub-subcategory that would result in the
creation of unique codes with a sixth
digit character to specify which
obstetric related stage the patient is in.
For example, under subcategory
O99.8-, a proposed new sub-subcategory
for ICD–10–CM diagnosis code O99.89could include the following proposed
new diagnosis codes:
• O99.890 (Other specified diseases
and conditions complicating
pregnancy);
• O99.894 (Other specified diseases
and conditions complicating childbirth);
and
• O99.85 (Other specified diseases
and conditions complicating the
puerperium).
If such a proposal to create this new
sub-subcategory and new diagnosis
codes were approved and finalized, it
would enable improved data collection
and more appropriate MS–DRG
assignment, consistent with the current
MS–DRG assignments of the existing
obstetric related diagnosis codes. For
instance, a new diagnosis code
described as ‘‘complicating pregnancy’’
would be clinically aligned with the
antepartum MS–DRGs, a new diagnosis
code described as ‘‘complicating
childbirth’’ would be clinically aligned
with the delivery MS–DRGs, and a new
diagnosis code described as
‘‘complicating the puerperium’’ would
be clinically aligned with the
postpartum MS–DRGs. (We note that all
requests for new diagnosis codes require
that a proposal be approved for
discussion at a future ICD–10
Coordination and Maintenance
Committee meeting.)
While our clinical advisors could not
provide a strong clinical justification for
classifying ICD–10–CM diagnosis code
O99.89 as an antepartum condition
versus as a postpartum condition for the
reasons described above, they did
consider the claims data to be
informative as to how the diagnosis
code is being reported for obstetric
patients. In analyzing both the
postpartum MS–DRGs and the
antepartum MS–DRGs discussed earlier
in this section, they agreed that the data
ICD–10–PCS code
amozie on DSK9F9SC42PROD with PROPOSALS2
0HR9X73 ..............
0HR9X74 ..............
0HR9XJ3 ..............
0HR9XJ4 ..............
0HR9XJZ ..............
0HR9XK3 .............
0HR9XK4 .............
10. MDC 22 (Burns): Skin Graft to
Perineum for Burn
We received a request to add seven
ICD–10–PCS procedure codes that
describe a skin graft to the perineum to
MS–DRG 927 (Extensive Burns Or Full
Thickness Burns with MV >96 Hours
with Skin Graft) and MS–DRGs 928 and
929 (Full Thickness Burn with Skin
Graft Or Inhalation Injury with CC/MCC
and without CC/MCC, respectively) in
MDC 22. The seven procedure codes are
listed in the following table.
Code description
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
of
of
of
of
of
of
of
perineum
perineum
perineum
perineum
perineum
perineum
perineum
These seven procedure codes are
currently assigned to MS–DRGs 746 and
747 (Vagina, Cervix and Vulva
Procedures with CC/MCC and without
CC/MCC, respectively). In addition,
when reported in conjunction with a
principal diagnosis in MDC 21 (Injuries,
Poisonings and Toxic Effects of Drugs),
these codes group to MS–DRGs 907,
908, and 909 (Other O.R. Procedures For
Injuries with MCC, with CC and without
CC/MCC, respectively), and when
reported in conjunction with a principal
diagnosis in MDC 24 (Multiple
VerDate Sep<11>2014
clearly show that ICD–10–CM diagnosis
code O99.89 is reported more frequently
as a secondary diagnosis within the
antepartum MS–DRGs than it is
reported as a principal or secondary
diagnosis within the postpartum MS–
DRGs.
Based on our analysis of claims data
and input from our clinical advisors, we
are proposing to reclassify ICD–10–CM
diagnosis code O99.89 from a
postpartum condition to an antepartum
condition under MDC 14. If finalized,
ICD–10–CM diagnosis code O99.89
would follow the logic as described in
the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41212) which asks if there was
a principal diagnosis of an antepartum
condition reported on the claim. If yes,
the logic then asks if there was an O.R.
procedure reported on the claim. If yes,
the logic assigns the case to MS–DRG
817, 818, or 819. If no (there was not an
O.R. procedure reported on the claim),
the logic assigns the case to MS–DRG
831, 832, or 833.
19:32 May 02, 2019
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skin
skin
skin
skin
skin
skin
skin
with
with
with
with
with
with
with
autologous tissue substitute, full thickness, external approach.
autologous tissue substitute, partial thickness, external approach.
synthetic substitute, full thickness, external approach.
synthetic substitute, partial thickness, external approach.
synthetic substitute, external approach.
non-autologous tissue substitute, full thickness, external approach.
non-autologous tissue substitute, partial thickness, external approach.
Significant Trauma), these codes group
to MS–DRGs 957, 958, and 959 (Other
O.R. Procedures For Multiple
Significant Trauma with MCC, with CC
and without CC/MCC, respectively). In
addition, these procedures are
designated as non-extensive O.R.
procedures and are assigned to MS–
DRGs 987, 988 and 989 (Non-Extensive
O.R. Procedure Unrelated to Principal
Diagnosis with MCC, with CC, and
without CC/MCC, respectively) when a
principal diagnosis that is unrelated to
the procedure is reported on the claim.
PO 00000
Frm 00058
Fmt 4701
Sfmt 4702
The requestor provided an example in
which it identified one case where a
patient underwent debridement and
split thickness skin graft (STSG) to the
perineum area (only), and expressed
concern that the case did not route to
MS–DRGs 928 and 929 to recognize
operating room resources. (We note that
the requestor did not specify the
diagnosis associated with this case nor
the MS–DRG to which this one case was
grouped.) The requestor stated that
providers may document various
terminologies for this anatomic site,
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including perineum, groin, and buttocks
crease; therefore, when a provider
deems a burn to affect the perineum as
opposed to the groin or buttock crease,
cases should route to MS–DRGs which
compensate hospitals for skin grafting
operating room resources. Therefore, the
requestor recommended that the cited
seven ICD–10–PCS codes be added to
the list of procedure codes for a skin
graft within MS–DRGs 927, 928, and
929.
We reviewed this request by
analyzing claims data from the
September 2018 update of the FY 2018
MedPAR file for cases reporting any of
the above seven procedure codes in
MS–DRGs 746, 747, 907, 908, 909, 957,
958, 959, 987, 988, and 989. Our
findings are shown in the following
table.
CASES INVOLVING SKIN GRAFT TO THE PERINEUM
Number of
cases
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
746—All cases ............................................................................................................
746—Cases with skin graft to the perineum procedure .............................................
907—All cases ............................................................................................................
907—Cases with skin graft to the perineum procedure .............................................
908—All cases ............................................................................................................
908—Cases with skin graft to the perineum procedure .............................................
988—All cases ............................................................................................................
988—Cases with skin graft to the perineum procedure .............................................
989—All cases ............................................................................................................
989—Cases with skin graft to the perineum procedure .............................................
As shown in the table above, the
overall volume of cases reporting a skin
graft to the perineum procedure is low,
with a total of 6 cases found. In MS–
DRG 746, we found a total of 1,344 cases
with an average length of stay of 5 days
and average costs of $11,847. The single
case reporting a skin graft to the
perineum procedure in MS–DRG 746
had a length of stay of 2 days and a cost
of $10,830. In MS–DRG 907, we found
a total of 7,843 cases with an average
length of stay of 10 days and average
costs of $28,919. The single case
reporting a skin graft to the perineum
procedure in MS–DRG 907 had a length
of stay of 8 days and a cost of $21,909.
In MS–DRG 908, we found a total of
9,286 cases with an average length of
stay of 5.3 days and average costs of
$14,601. The single case reporting a skin
graft to the perineum procedure in MS–
DRG 908 had a length of stay of 6 days
and a cost of $8,410. In MS–DRG 988,
we found a total of 8,391 cases with an
average length of stay of 5.7 days and
average costs of $12,294. The 2 cases
reporting a skin graft to the perineum
procedure in MS–DRG 988 had an
average length of stay of 3 days and
average costs of $6,906. In MS–DRG
989, we found a total of 1,551 cases with
an average length of stay of 3.1 days and
average costs of $8,171. The single case
reporting a skin graft to the perineum
procedure in MS–DRG 989 had a length
of stay of 7 day and a cost of $14,080.
We found no cases reporting a skin graft
amozie on DSK9F9SC42PROD with PROPOSALS2
927—All cases ............................................................................................................
928—All cases ............................................................................................................
928—Cases with skin graft to the perineum procedure .............................................
929—All cases ............................................................................................................
As shown in the table above, for MS–
DRG 927, we found a total of 146 cases
with an average length of stay of 30.9
days and average costs of $147,903; no
cases reporting a skin graft to the
perineum procedure were found. For
MS–DRG 928, we found a total of 1,149
cases with an average length of stay of
15.7 days and average costs of $45,523.
We found 5 cases reporting a skin graft
to the perineum procedure with an
average length of stay of 39 days and
average costs of $64,041. For MS–DRG
929, we found a total of 296 cases with
an average length of stay of 7.9 days and
average costs of $21,474; and no cases
VerDate Sep<11>2014
17:51 May 02, 2019
Jkt 247001
reporting a skin graft to the perineum
procedure were found. We note that
none of the 5 cases reporting a skin graft
to the perineum in MS–DRGs 927, 928,
and 929 reported a skin graft to the
perineum procedure as the only
operating room procedure. Therefore, it
is not possible to determine how much
of the operating room resources for
these 5 cases were attributable to the
skin graft to the perineum procedure.
Our clinical advisors reviewed the
claims data described above and noted
that none of the cases reporting the
seven identified procedure codes that
grouped to MS–DRGs 746, 907, 908,
PO 00000
Frm 00059
Fmt 4701
Sfmt 4702
5
2
10
8
5.3
6
5.7
3
3.1
7
Average costs
$11,847
10,830
28,919
21,909
14,601
8,410
12,294
6,906
8,171
14,080
to the perineum procedure in MS–DRG
747, 909, 957, 958, 959, or 987. Cases
reporting a skin graft to the perineum
procedure generally had shorter length
of stays and lower average costs than
those of their assigned MS–DRGs
overall.
We then analyzed claims data for MS–
DRGs 927, 928, and 929 (the MS–DRGs
to which the requestor suggested that
these cases group) for all cases reporting
a procedure describing a skin graft to
the perineum listed in the table above
to consider how the resources involved
in the cases reporting a procedure
describing a skin graft to the perineum
compared to those of all cases in MS–
DRGs 927, 928, and 929. Our findings
are shown in the following table.
Number of
cases
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
1,344
1
7,843
1
9,286
1
8,391
2
1,551
1
Average
length of stay
146
1,149
5
296
Average
length of stay
30.9
15.7
39
7.9
Average costs
$147,903
45,523
64,041
21,474
988, and 989 (listed in the table above)
had a principal or secondary diagnosis
of a burn, which suggests that these skin
grafts were not performed to treat a
burn. Therefore, our clinical advisors
believe that it would not be appropriate
for these cases that report a skin graft to
the perineum procedure to group to
MS–DRGs 927, 928, and 929, which
describe burns. Our clinical advisors
state that the seven ICD–10–PCS
procedure codes that describe a skin
graft to the perineum are more clinically
aligned with the other procedures in
MS–DRGs 746 and 747, to which they
are currently assigned. Therefore, we are
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not proposing to add the seven
identified procedure codes to MS–DRGs
927, 928, and 929.
11. MDC 23 (Factors Influencing Health
Status and Other Contacts With Health
Services): Proposed Assignment of
Diagnosis Code R93.89
We received a request to consider
reassignment of ICD–10–CM diagnosis
code R93.89 (Abnormal finding on
diagnostic imaging of other specified
body structures) from MDC 5 (Diseases
and Disorders of the Circulatory System)
in MS–DRGs 302 and 303
(Atherosclerosis with and without MCC
and Atherosclerosis without MCC,
respectively) to MDC 23 (Factors
Influencing Health Status and Other
Contact with Health Services),
consistent with other diagnosis codes
Number of
cases
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
302—All cases ............................................................................................................
302—Cases reporting diagnosis code R93.89 ...........................................................
303—All cases ............................................................................................................
303—Cases reporting diagnosis code R93.89 ...........................................................
As shown in the table, for MS–DRG
302, there was a total of 3,750 cases
with an average length of stay of 3.8
days and average costs of $7,956. Of
these 3,750 cases, there were 3 cases
reporting abnormal finding on
diagnostic imaging of other specified
body structures, with an average length
of stay 7.7 days and average costs of
$10,818. For MS–DRG 303, there was a
total of 12,986 cases with an average
length of stay of 2.3 days and average
costs of $4,920. Of these 12,986 cases,
there were 10 cases reporting abnormal
finding on diagnostic imaging of other
specified body structures, with an
average length of stay 2 days and
average costs of $3,416.
Our clinical advisors reviewed this
request and determined that the
assignment of diagnosis code R93.89 to
MDC 5 in MS–DRGs 302 and 303 was
a result of replication from ICD–9–CM
diagnosis code 793.2 (Nonspecific
(abnormal) findings on radiological and
other examination of other intrathoracic
organs), which was assigned to those
MS–DRGs. Therefore, they support
reassignment of diagnosis code R93.89
to MDC 23. Our clinical advisors agree
this reassignment is clinically
appropriate as it is consistent with other
diagnosis codes in MDC 23 that include
abnormal findings from other
nonspecified sites. Specifically, our
clinical advisors suggest reassignment of
diagnosis code R89.93 to MS–DRGs 947
and 948 (Signs and Symptoms with and
without MCC, respectively). Therefore,
we are proposing to reassign ICD–10–
CM diagnosis code R93.89 from MDC 5
in MS–DRGs 302 and 303 to MDC 23 in
MS–DRGs 947 and 948.
12. Review of Procedure Codes in MS–
DRGs 981 Through 983 and 987
Through 989
a. Adding Procedure Codes and
Diagnosis Codes Currently Grouping to
MS–DRGs 981 Through 983 or MS–
DRGs 987 Through 989 into MDCs
We annually conduct a review of
procedures producing assignment to
MS–DRGs 981 through 983 (Extensive
O.R. Procedure Unrelated to Principal
Diagnosis with MCC, with CC, and
without CC/MCC, respectively) or MS–
DRGs 987 through 989 (Nonextensive
O.R. Procedure Unrelated to Principal
Diagnosis with MCC, with CC, and
without CC/MCC, respectively) on the
basis of volume, by procedure, to see if
it would be appropriate to move cases
reporting these procedure codes out of
these MS–DRGs into one of the surgical
MS–DRGs for the MDC into which the
principal diagnosis falls. The data are
arrayed in two ways for comparison
purposes. We look at a frequency count
of each major operative procedure code.
We also compare procedures across
MDCs by volume of procedure codes
within each MDC. We use this
amozie on DSK9F9SC42PROD with PROPOSALS2
ICD–10–CM
diagnosis code
C49.A0
C49.A1
C49.A2
C49.A3
C49.A4
C49.A5
C49.A9
.................
.................
.................
.................
.................
.................
.................
VerDate Sep<11>2014
that include abnormal findings.
However, the requestor did not suggest
a specific MS–DRG assignment within
MDC 23.
We examined claims data from the
September 2018 update of the FY 2018
MedPAR file for MS–DRGs 302 and 303
and identified cases reporting diagnosis
code R93.89. Our findings are shown in
the following table.
3,750
3
12,986
10
17:51 May 02, 2019
stromal
stromal
stromal
stromal
stromal
stromal
stromal
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Frm 00060
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Sfmt 4702
$7,956
10,818
4,920
3,416
(1) Gastrointestinal Stromal Tumors
With Excision of Stomach and Small
Intestine
Gastrointestinal stromal tumors
(GIST) are tumors of connective tissue,
and are currently assigned to MDC 8
(Diseases and Disorders of the
Musculoskeletal System and Connective
Tissue). The ICD–10–CM diagnosis
codes describing GIST are listed in the
table below.
tumor, unspecified site.
tumor of esophagus.
tumor of stomach.
tumor of small intestine.
tumor of large intestine.
tumor of rectum.
tumor of other sites.
PO 00000
3.8
7.7
2.3
2
Average costs
information to determine which
procedure codes and diagnosis codes to
examine.
We identify those procedures
occurring in conjunction with certain
principal diagnoses with sufficient
frequency to justify adding them to one
of the surgical MS–DRGs for the MDC in
which the diagnosis falls. We also
consider whether it would be more
appropriate to move the principal
diagnosis codes into the MDC to which
the procedure is currently assigned.
Based on the results of our review of the
claims data from the September 2018
update of the FY 2018 MedPAR file, we
are proposing to move the cases
reporting the procedures and/or
principal diagnosis codes described
below from MS–DRGs 981 through 983
or MS–DRGs 987 through 989 into one
of the surgical MS–DRGs for the MDC
into which the principal diagnosis or
procedure is assigned.
Code description
Gastrointestinal
Gastrointestinal
Gastrointestinal
Gastrointestinal
Gastrointestinal
Gastrointestinal
Gastrointestinal
Average
length of stay
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During our review of cases that group
to MS–DRGs 981 through 983, we noted
that when procedures describing open
excision of the stomach or small
intestine (ICD–10–PCS procedure codes
0DB60ZZ (Excision of stomach, open
approach) and 0DB80ZZ (Excision of
claim, which is unrelated to the MDC to
which the case was assigned based on
the principal diagnosis, it results in an
MS–DRG assignment to a surgical class
referred to as ‘‘unrelated operating room
procedures’’.
small intestine, open approach)) were
reported with a principal diagnosis of
GIST, the cases group to MS–DRGs 981
through 983. These two excision codes
are assigned to several MDCs, as listed
in the table below. Whenever there is a
surgical procedure reported on the
DRG ASSIGNMENTS FOR ICD–10–PCS PROCEDURE CODES 0DB60ZZ AND 0DB80ZZ
MDC
DRG
5 ......................
6 ......................
10 ....................
17 ....................
17 ....................
21 ....................
24 ....................
264 ................
326–328 ........
619–621 ........
820–822 ........
826–828 ........
907–909 ........
957–959 ........
DRG Description
Other Circulatory O.R. Procedures.
Stomach, Esophageal and Duodenal Procedures.
Procedures for Obesity.
Lymphoma and Leukemia with Major Procedure.
Myeloproliferative Disorders or Poorly Differentiated Neoplasms with Major Procedure.
Other O.R. Procedures for Injuries.
Other Procedures for Multiple Significant Trauma.
We first examined cases that reported
a principal diagnosis of GIST and ICD–
10–PCS procedure code 0DB60ZZ or
0DB80ZZ that currently group to MS–
DRGs 981 through 983, as well as all
cases in MS–DRGs 981 through 983. Our
findings are shown in the table below.
MS–DRGS 981–983: ALL CASES AND CASES WITH PRINCIPAL DIAGNOSIS OF GIST AND PROCEDURE CODE 0DB60ZZ
OR 0DB80ZZ
Number of
cases
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
981—All cases ............................................................................................................
981—Cases with procedure code 0DB60ZZ ..............................................................
981—Cases with procedure code 0DB80ZZ ..............................................................
982—All cases ............................................................................................................
982—Cases with procedure code 0DB60ZZ ..............................................................
982—Cases with procedure code 0DB80ZZ ..............................................................
983—All cases ............................................................................................................
983—Cases with procedure code 0DB60ZZ ..............................................................
983—Cases with procedure code 0DB80ZZ ..............................................................
Of the MDCs to which these
gastrointestinal excision procedures are
currently assigned, our clinical advisors
indicated that cases with a principal
diagnosis of GIST that also report an
open gastrointestinal excision procedure
code would logically be assigned to
MDC 6 (Diseases and Disorders of the
Digestive System). Within MDC 6, ICD–
10–PCS procedures codes 0DB60ZZ and
0DB80ZZ are currently assigned to MS–
DRGs 326, 327, and 328 (Stomach,
Esophageal and Duodenal Procedures
with MCC, CC, and without CC/MCC,
respectively). To understand how the
resources associated with the subset of
29,192
46
12
16,834
104
41
3,166
97
19
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG 326—All cases ............................................................................................................
MS–DRG 327—All cases ............................................................................................................
MS–DRG 328—All cases ............................................................................................................
Our clinical advisors reviewed these
data and noted that the average length
of stay and average costs of this subset
of cases were similar to those of cases
in MS–DRGs 326, 327, and 328 in MDC
6. To consider whether it was
appropriate to move the GIST diagnosis
codes from MDC 8, we examined the
other procedure codes reported for cases
that report a principal diagnosis of GIST
and noted that almost all of the O.R.
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procedures most frequently reported
were assigned to MDC 6 rather than
MDC 8. Our clinical advisors believe
that, given the similarity in resource use
between this subset of cases and cases
in MS–DRGs 326, 327, and 328, and that
the GIST diagnosis codes are
gastrointestinal in nature, they would be
more appropriately assigned to MS–
DRGs 326, 327, and 328 in MDC 6 than
their current assignment in MDC 8.
PO 00000
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Sfmt 4702
11.3
12.4
10.8
6.3
6.8
8
3.3
4.5
4.5
Average costs
$29,862
35,723
28,059
16,939
17,442
18,961
11,872
11,901
9,971
cases reporting a principal diagnosis of
GIST and procedure code 0DB60ZZ or
0DB80ZZ compare to those of cases in
MS–DRGs 326, 327, and 328 as a whole,
we examined the average costs and
average length of stay for all cases in
MS–DRGs 326, 327, and 328. Our
findings are shown in the table below.
Number of
cases
MS–DRG
Average
length of stay
9,898
9,602
7,634
Average
length of stay
13
6.6
2.9
Average costs
$36,129
18,736
11,555
Therefore, we are proposing to move the
GIST diagnosis codes listed above from
MDC 8 to MDC 6 within MS–DRGs 326,
327, and 328. Under our proposal, cases
reporting a principal diagnosis of GIST
would group to MS–DRGs 326, 327, and
328.
(2) Peritoneal Dialysis Catheter
Complications
During our review of the cases
currently grouping to MS–DRGs 981–
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983, we noted that cases reporting a
principal diagnosis of complications of
peritoneal dialysis catheters with
procedure codes describing removal,
revision, and/or insertion of new
peritoneal dialysis catheters group to
MS–DRGs 981 through 983. The ICD–
10–CM diagnosis codes that describe
complications of peritoneal dialysis
catheters, listed in the table below, are
assigned to MDC 21 (Injuries,
Poisonings and Toxic Effects of Drugs).
ICD–10–CM code
T85.611A ..............
T85.621A ..............
T85.631A ..............
T85.691A ..............
T85.71XA .............
T85.898A ..............
Code description
Breakdown (mechanical) of intraperitoneal dialysis catheter, initial encounter.
Displacement of intraperitoneal dialysis catheter, initial encounter.
Leakage of intraperitoneal dialysis catheter, initial encounter.
Other mechanical complication of intraperitoneal dialysis catheter, initial encounter.
Infection and inflammatory reaction due to peritoneal dialysis catheter, initial encounter.
Other specified complication of other internal prosthetic devices, implants and graft, initial encounter.
The procedure codes in the table
below describe removal, revision, and/
or insertion of new peritoneal dialysis
catheters or revision of synthetic
substitutes and are currently assigned to
MDC 6 (Diseases and Disorders of the
Digestive System) in MS–DRGs 356,
357, and 358 (Other Digestive System
ICD–10–PCS
procedure code
0WHG03Z
0WHG43Z
0WPG03Z
0WPG43Z
0WWG03Z
0WWG0JZ
0WWG43Z
0WWG4JZ
............
............
............
............
...........
............
...........
............
These principal diagnoses are frequently
reported with the procedure codes
describing removal, revision, and/or
insertion of new peritoneal dialysis
catheters.
O.R. Procedures with MCC, with CC,
and without CC/MCC, respectively).
Code description
Insertion of infusion device into peritoneal cavity, open approach.
Insertion of infusion device into peritoneal cavity, percutaneous endoscopic approach.
Removal of infusion device from peritoneal cavity, open approach.
Removal of infusion device from peritoneal cavity, percutaneous endoscopic approach.
Revision of infusion device in peritoneal cavity, open approach.
Revision of synthetic substitute in peritoneal cavity, open approach.
Revision of infusion device in peritoneal cavity, percutaneous endoscopic approach.
Revision of synthetic substitute in peritoneal cavity, percutaneous endoscopic approach.
We examined the claims data from the
September 2018 update of the FY 2018
MedPAR file for the average costs and
length of stay for cases that report a
principal diagnosis of complications of
peritoneal dialysis catheters with a
procedure describing removal, revision,
and/or insertion of new peritoneal
dialysis catheters or revision of
synthetic substitutes. Our findings are
shown in the table below. We note that
we did not find any such cases in MS–
DRG 983.
MS–DRG 981 THROUGH 982: PERITONEAL DIALYSIS CATHETER PROCEDURES WITH PRINCIPAL DIAGNOSIS OF
COMPLICATIONS OF PERITONEAL DIALYSIS CATHETERS
Number of
cases
MS–DRG
MS–DRG 981—Cases reporting peritoneal dialysis catheter procedures with a principal diagnosis of complications of peritoneal dialysis catheters ............................................................
MS–DRG 982—Cases reporting peritoneal dialysis catheter procedures with a principal diagnosis of complications of peritoneal dialysis catheters ............................................................
Our clinical advisors indicated that,
within MDC 21, the procedures
describing removal, revision, and/or
insertion of new peritoneal dialysis
catheters or revision of synthetic
substitutes most suitably group to MS–
DRGs 907, 908, and 909, which contain
all procedures for injuries that are not
specific to the hand, skin, and wound
debridement. To determine how the
resources for this subset of cases
compared to cases in MS–DRGs 907,
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8.5
$20,676
5
8.6
11,694
908, and 909 as a whole, we examined
the average costs and length of stay for
cases in MS–DRGs 907, 908, and 909.
Our findings are shown in the table
below.
MS–DRG 907—All cases ............................................................................................................
MS–DRG 908—All cases ............................................................................................................
MS–DRG 909—All cases ............................................................................................................
and length of stay for this subset of
cases, most of which group to MS–DRG
Frm 00062
Fmt 4701
Sfmt 4702
Average costs
1,603
Number of
cases
MS–DRG
Our clinical advisors considered these
data and noted that the average costs
Average
length of stay
9,482
9,305
3,011
Average
length of stay
9.7
5.3
3
Average costs
$27,492
14,597
9,587
981, are lower than the average costs
and length of stay for cases of the same
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severity level in MS–DRGs 907.
However, our clinical advisors believe
that the procedures describing removal,
revision, and/or insertion of new
peritoneal dialysis catheters or revision
of synthetic substitutes are clearly
related to the principal diagnosis codes
describing complications of peritoneal
dialysis catheters and, therefore, it is
clinically appropriate for the procedures
to group to the same MS–DRGs as the
principal diagnoses. Therefore, we are
proposing to add the eight procedure
codes listed in the table above that
describe removal, revision, and/or
insertion of new peritoneal dialysis
catheters or revision of synthetic
substitutes to MDC 21 (Injuries,
Poisonings & Toxic Effects of Drugs) in
MS–DRGs 907, 908, and 909. Under this
proposal, cases reporting a principal
diagnosis of complications of peritoneal
dialysis catheters with a procedure
describing removal, revision, and/or
insertion of new peritoneal dialysis
catheters or revision of synthetic
substitutes would group to MS–DRGs
907, 908, and 909.
(3) Bone Excision With Pressure Ulcers
During our review of the cases that
group to MS–DRGs 981 through 983, we
noted that when procedures describing
excision of the sacrum, pelvic bones,
and coccyx (ICD–10–PCS procedure
codes 0QB10ZZ (Excision of sacrum,
open approach), 0QB20ZZ (Excision of
right pelvic bone, open approach),
0QB30ZZ (Excision of left pelvic bone,
open approach), and 0QBS0ZZ
(Excision of coccyx, open approach)) are
reported with a principal diagnosis of
pressure ulcers in MDC 9 (Diseases and
Disorders of the Skin, Subcutaneous
Tissue and Breast), the cases group to
MS–DRGs 981 through 983. The
procedures describing excision of the
sacrum, pelvic bones, and coccyx group
to several MDCs, which are listed in the
table below.
MS–DRG ASSIGNMENTS FOR ICD–10–PCS CODES 0QB10ZZ, 0QB20ZZ, 0QB30ZZ, AND 0QBS0ZZ
MDC
MS–DRG
MS–DRG description
3 ......................
8 ......................
133–134 ........
515–517 ........
10 ....................
628–630 ........
21 ....................
24 ....................
907–909 ........
957–959 ........
Other Ear, Nose, Mouth and Throat O.R. Procedures with CC/MCC and without CC/MCC, respectively.
Other Musculoskeletal System and Connective Tissue O.R. Procedures with MCC, with CC, and without CC/
MCC, respectively.
Other Endocrine, Nutritional and Metabolic O.R. Procedures with MCC, with CC, and without CC/MCC, respectively.
Other O.R. Procedures for Injuries.
Other Procedures for Multiple Significant Trauma.
When cases reporting procedure
codes describing excision of the sacrum,
pelvic bones, and coccyx report a
principal diagnosis from MDC 9, the
ICD–10–CM diagnosis codes that are
ICD–10–CM
diagnosis code
L89.150
L89.153
L89.154
L89.214
L89.224
L89.314
L89.324
L89.894
................
................
................
................
................
................
................
................
most frequently reported as principal
diagnoses are listed below.
Code description
Pressure
Pressure
Pressure
Pressure
Pressure
Pressure
Pressure
Pressure
ulcer
ulcer
ulcer
ulcer
ulcer
ulcer
ulcer
ulcer
of
of
of
of
of
of
of
of
sacral region, unstageable.
sacral region, stage 3.
sacral region, stage 4.
right hip, stage 4.
left hip, stage 4.
right buttock, stage 4.
left buttock, stage 4.
other site, stage 4.
We examined the claims data from the
September 2018 update of the FY 2018
MedPAR file for the average costs and
length of stay for cases that report
procedures describing excision of the
sacrum, pelvic bones, and coccyx in
conjunction with a principal diagnosis
of pressure ulcers.
MS–DRGS 981 THROUGH 983: CASES REPORTING EXCISION OF THE SACRUM, PELVIC BONES, AND COCCYX REPORTED
WITH A PRINCIPAL DIAGNOSIS OF PRESSURE ULCERS
Number of
cases
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG
MS–DRG 981—Cases
principal diagnosis of
MS–DRG 982—Cases
principal diagnosis of
MS–DRG 983—Cases
principal diagnosis of
reporting excision of the sacrum, pelvic bones, and coccyx and a
pressure ulcers .....................................................................................
Reporting excision of the sacrum, pelvic bones, and coccyx and a
pressure ulcers .....................................................................................
Reporting excision of the sacrum, pelvic bones, and coccyx and a
pressure ulcers .....................................................................................
Our clinical advisors indicated that,
given the nature of these procedures,
they could not be appropriately
assigned to the specific surgical MS–
DRGs within MDC 9, which are: Skin
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graft; skin debridement; mastectomy for
malignancy; and breast biopsy, local
excision, and other breast procedures.
Therefore, our clinical advisors believe
that these procedures would most
PO 00000
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Average
length of stay
Average costs
394
11.9
$24,398
477
9.4
16,464
38
4.8
8,519
suitably group to MS–DRGs 579, 580,
and 581 (Other Skin, Subcutaneous
Tissue and Breast Procedures with
MCC, with CC, and without CC/MCC,
respectively), which contain procedures
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assigned to MDC 9 that do not fit within
the specific surgical MS–DRGs in MDC
9. Therefore, we examined the claims
data for the average length of stay and
average costs for MS–DRGs 579, 580,
and 581 in MDC 9. Our findings are
shown in the table below.
Number of
cases
MS–DRG
MS–DRG 579 ..............................................................................................................................
MS–DRG 580 ..............................................................................................................................
MS–DRG 581 ..............................................................................................................................
Our clinical advisors reviewed these
data and noted that, in this subset of
cases, most cases group to MS–DRGs
981 and 982 and have greater average
length of stay and average costs than
those cases of the same severity level in
MS–DRGs 579 and 580. The smaller
number of cases that group to MS–DRG
983 have lower average costs than cases
in MS–DRG 581. However, our clinical
advisors believe that the procedure
codes describing excision of the sacrum,
pelvic bones, and coccyx are clearly
related to the principal diagnosis codes
describing pressure ulcers, as these
procedures would be performed to treat
pressure ulcers in the sacrum, hip, and
buttocks regions. Therefore, our clinical
advisors believe that it is clinically
appropriate for the procedures to group
to the same MS–DRGs as the principal
diagnoses. Therefore, we are proposing
to add the ICD–10–PCS procedure codes
describing excision of the sacrum,
pelvic bones, and coccyx to MDC 9 in
MS–DRGs 579, 580, and 581. Under this
proposal, cases reporting a principal
diagnosis in MDC 9 (such as pressure
ulcers) with a procedure describing
excision of the sacrum, pelvic bones,
and coccyx would group to MS–DRGs
579, 580, and 581.
ICD–10–PCS
procedure code
9.2
5.2
3
Average costs
$19,873
11,229
8,987
(4) Lower Extremity Muscle and Tendon
Excision
During the review of the cases that
group to MS–DRGs 981 through 983, we
noted that when several ICD–10–PCS
procedure codes describing excision of
lower extremity muscles and tendons
are reported in conjunction with ICD–
10–CM diagnosis codes in MDC 10
(Endocrine, Nutritional and Metabolic
Diseases and Disorders), the cases group
to MS–DRGs 981 through 983. These
ICD–10–PCS procedure codes are listed
in the table below, and are assigned to
several MS–DRGs, which are also listed
below.
Code description
0KBN0ZZ ...............
0KBP0ZZ ...............
0KBS0ZZ ...............
0KBT0ZZ ................
0KBV0ZZ ...............
0KBW0ZZ ..............
0LBV0ZZ ................
0LBW0ZZ ...............
Excision
Excision
Excision
Excision
Excision
Excision
Excision
Excision
of
of
of
of
of
of
of
of
right hip muscle, open approach.
left hip muscle, open approach.
right lower leg muscle, open approach.
left lower leg muscle, open approach.
right foot muscle, open approach.
left foot muscle, open approach.
right foot tendon, open approach.
left foot tendon, open approach.
MDC
MS–DRG
MS–DRG description
01 ....................
040–042 ........
08 ....................
09 ....................
500–502 ........
579–581 ........
21 ....................
24 ....................
907–909 ........
957–959 ........
Peripheral, Cranial Nerve and Other Nervous System Procedures with MCC, with CC or Peripheral
Neurostimulator, and without CC/MCC, respectively.
Soft Tissue Procedures with MCC, with CC, and without CC/MCC, respectively.
Other Skin, Subcutaneous Tissue and Breast Procedures with MCC, with CC, and without CC/MCC, respectively.
Other O.R. Procedures for Injuries.
Other Procedures for Multiple Significant Trauma.
The ICD–10–CM diagnosis codes in
MDC 10 that are most frequently
reported as the principal diagnosis with
a procedure describing excision of lower
extremity muscles and tendons are
listed in the table below. The
ICD–10–CM
procedure code
amozie on DSK9F9SC42PROD with PROPOSALS2
4,091
10,048
4,364
Average
length of stay
E11.621 ................
E11.69 ..................
E11.628 ................
E11.622 ................
E10.621 ................
Code description
Type
Type
Type
Type
Type
2
2
2
2
1
diabetes
diabetes
diabetes
diabetes
diabetes
mellitus
mellitus
mellitus
mellitus
mellitus
To understand the resource use for
the subset of cases reporting procedure
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procedures for more complex diabetic
ulcers.
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with
with
with
with
with
foot ulcer.
other specified complication.
other skin complications.
other skin ulcer.
foot ulcer.
codes describing excision of lower
extremity muscles and tendons that are
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currently grouping to MS–DRGs 981
through 983, we examined claims data
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for the average length of stay and
average costs for these cases. Our
findings are shown in the table below.
MS–DRGS 981–983: CASES REPORTING PROCEDURES DESCRIBING EXCISION OF LOWER EXTREMITY MUSCLES AND
TENDONS WITH A PRINCIPAL DIAGNOSIS IN MDC 10
Number of
cases
MS–DRG
MS–DRG 981—Cases reporting excision of lower extremity muscles and tendons and a principal diagnosis in MDC 10 .......................................................................................................
MS–DRG 982—Cases reporting excision of lower extremity muscles and tendons and a principal diagnosis in MDC 10 .......................................................................................................
MS–DRG 983—Cases reporting excision of lower extremity muscles and tendons and a principal diagnosis in MDC 10 .......................................................................................................
Our clinical advisors examined cases
reporting procedures describing
excision of lower extremity muscles and
tendons with a principal diagnosis in
the MS–DRGs within MDC 10 and
determined that these cases would most
suitably group to MS–DRGs 622, 623,
and 624 (Skin Grafts and Wound
Debridement for Endocrine, Nutritional
and Metabolic Disorders with MCC,
with CC, and without CC/MCC,
respectively). Therefore, we examined
9.1
$19,031
561
6.2
12,000
16
4.8
9,003
the average length of stay and average
costs for cases assigned to MS–DRGs
622, 623, and 624. Our findings are
shown in the table below.
MS–DRG 622 ..............................................................................................................................
MS–DRG 623 ..............................................................................................................................
MS–DRG 624 ..............................................................................................................................
Our clinical advisors reviewed these
data and noted that most of the cases
reporting procedures describing
excision of lower extremity muscles and
tendons group to MS–DRGs 981 and
982. For these cases, the average length
of stay and average costs are lower than
those of cases that currently group to
MS–DRGs 622 and 623. However, our
clinical advisors believe that these
procedures are clearly related to the
principal diagnoses in MDC 10, as they
would be performed to treat skin-related
complications of diabetes and, therefore,
it is clinically appropriate for the
procedures to group to the same MS–
DRGs as the principal diagnoses.
Therefore, we are proposing to add the
procedure codes listed previously
describing excision of lower extremity
muscles and tendons to MDC 10. Under
our proposal, cases reporting these
procedure codes with a principal
diagnosis in MDC 10 would group to
MS–DRGs 622, 623, and 624.
(5) Kidney Transplantation Procedures
During our review of the cases that
group to MS–DRGs 981 through 983, we
noted that when procedures describing
transplantation of kidneys (ICD–10–PCS
procedure codes 0TY00Z0
(Transplantation of right kidney,
allogeneic, open approach) and
0TY10Z0 (Transplantation of left
kidney, allogeneic, open approach)) are
reported in conjunction with ICD–10–
CM diagnosis codes in MDC 5 (Diseases
and Disorders of the Circulatory
System), the cases group to MS–DRGs
981 through 983. The ICD–10–CM
diagnosis codes in MDC 5 that are
reported with the kidney
Average costs
125
Number of
cases
MS–DRG
Average
length of stay
1,540
4,849
232
Average
length of stay
11.7
6.6
3.7
Average costs
$25,114
13,490
7,442
transplantation codes are I13.0
(Hypertensive heart and chronic kidney
disease with heart failure and with stage
1 through stage 4 chronic kidney
disease) and I13.2 (Hypertensive heart
and chronic kidney disease with heart
failure and with stage 5 chronic kidney
disease), which group to MDC 5.
Procedure codes describing
transplantation of kidneys are assigned
to MS–DRG 652 (Kidney Transplant) in
MDC 11. We examined claims data to
identify the average length of stay and
average costs for cases reporting
procedure codes describing
transplantation of kidneys with a
principal diagnosis in MDC 5, which are
currently grouping to MS–DRGs 981
through 983. Our findings are shown in
the table below. We did not find any
such cases in MS–DRG 983.
MS–DRGS 981 THROUGH 983: CASES REPORTING PROCEDURES DESCRIBING TRANSPLANTATION OF KIDNEY WITH A
PRINCIPAL DIAGNOSIS IN MDC 5
Number of
cases
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG
MS–DRG 981—Cases reporting transplantation of kidney and a principal diagnosis in MDC 5
MS–DRG 982—Cases reporting transplantation of kidney and a principal diagnosis in MDC 5
Our clinical advisors examined the
MS–DRGs within MDC 5 and indicated
that, given the nature of the procedures
compared to the specific surgical
procedures contained in the other
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surgical MS–DRGs in MDC 5, they could
not be appropriately assigned to any of
the specific surgical MS–DRGs.
Therefore, they determined that these
cases would most suitably group to MS–
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285
2
Average
length of stay
6.8
3.5
Average costs
$25,340
21,678
DRG 264 (Other Circulatory System O.R.
Procedures), which contains a broader
range of procedures related to MDC 5
diagnoses. We examined claims data to
determine the average length of stay and
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average costs for cases assigned to MS–
DRG 264. We found a total of 10,073
cases, with an average length of stay of
9.3 days and average costs of $22,643.
Our clinical advisors reviewed these
data and noted that the average costs for
cases reporting transplantation of
kidney with a diagnosis from MDC 5 are
similar to the average costs of cases in
MS–DRG 264 ($22,643 in MS–DRG 264
compared to $25,340 in MS–DRG 981),
while the average length of stay is
shorter than that of cases in MS–DRG
264 (9.3 days in MS–DRG 264 compared
to 6.8 days in MS–DRG 981). Our
clinical advisors noted that ICD–10–CM
diagnosis codes describing hypertensive
heart and chronic kidney disease
without heart failure (I13.10
(Hypertensive heart and chronic kidney
disease without heart failure, with stage
1 through stage 4 chronic kidney
disease, or unspecified chronic kidney
disease) and I13.11 (Hypertensive heart
and chronic kidney disease without
heart failure, with stage 5 chronic
kidney disease, or end stage renal
disease group) group to MS–DRG 652
(Kidney Transplant) in MDC 11
(Diseases and Disorders of the Kidney
and Urinary Tract). Our clinical
advisors also noted that the counterpart
codes describing hypertensive heart and
chronic kidney disease with heart
failure are as related to the kidney
transplantation codes as the codes
without heart failure, but because the
codes with heart failure group to MDC
5, cases reporting a kidney transplant
procedure with a diagnosis code of
hypertensive heart and chronic kidney
disease with heart failure currently
group to MS–DRGs 981 through 983.
Therefore, we are proposing to add ICD–
10–PCS procedure codes 0TY00Z0 and
0TY10Z0 to MS–DRG 264 in MDC 5.
Under this proposal, cases reporting a
principal diagnosis in MDC 5 with a
procedure describing kidney
transplantation would group to MS–
DRG 264 in MDC 5. We note that
because MDC 5 covers the circulatory
system, and kidney transplants
generally group to MDC 11, we are
seeking public comments on whether
the procedure codes should instead
continue to group to MS–DRGs 981
through 983.
(6) Insertion of Feeding Device
During our review of the cases that
group to MS–DRGs 981 through 983, we
noted that when ICD–10–PCS procedure
code 0DH60UZ (Insertion of feeding
device into stomach, open approach) is
reported with ICD–10–CM diagnosis
codes assigned to MDC 1 (Diseases and
Disorders of the Nervous System) or
MDC 10 (Endocrine, Nutritional and
Metabolic Diseases and Disorders), the
cases group to MS–DRGs 981 through
983. ICD–10–PCS procedure code
0DH60UZ is currently assigned to MDC
6 (Diseases and Disorders of the
Digestive System) in MS–DRGs 326,
327, and 328 (Stomach, Esophageal and
Duodenal Procedures) and MDC 21
(Injuries, Poisonings and Toxic Effects
of Drugs) in MS–DRGs 907, 908, and
909 (Other O.R. Procedures for Injuries).
We also noticed that: (1) When ICD–10–
PCS procedure code 0DH60UZ is
reported with a principal diagnosis in
MDC 1, the ICD–10–CM diagnosis codes
reported with this procedure code
describe cerebral infarctions of various
etiology and anatomic locations and
resulting complications; and (2) when
ICD–10–PCS procedure code 0DH60UZ
is reported with a principal diagnosis in
MDC 10, the ICD–10–CM diagnosis
codes reported with this procedure code
pertain to dehydration, failure to thrive,
and various forms of malnutrition.
We examined claims data to identify
the average length of stay and average
costs for cases in MS–DRGs 981 through
983 reporting ICD–10–PCS procedure
code 0DH60UZ in conjunction with a
principal diagnosis from MDC 1 or MDC
10. Our findings are shown in the table
below.
MS–DRGS 981 THROUGH 983: CASES REPORTING PROCEDURE CODE 0DH60UZ WITH A PRINCIPAL DIAGNOSIS IN MDC
1 OR MDC 10
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG 981—Cases reporting procedure code 0DH60UZ and a principal diagnosis in MDC
1 ...............................................................................................................................................
MS–DRG 982—Cases reporting procedure code 0DH60UZ and a principal diagnosis in MDC
1 ...............................................................................................................................................
MS–DRG 983—Cases reporting procedure code 0DH60UZ and a principal diagnosis in MDC
1 ...............................................................................................................................................
MS–DRG 981—Cases reporting procedure code 0DH60UZ and a principal diagnosis in MDC
10 .............................................................................................................................................
MS–DRG 982—Cases reporting procedure code 0DH60UZ and a principal diagnosis in MDC
10 .............................................................................................................................................
MS–DRG 983—Cases reporting procedure code 0DH60UZ and a principal diagnosis in MDC
10 .............................................................................................................................................
Our clinical advisors determined that
the feeding tube procedure was related
to specific diagnoses within MDC 1 and
MDC 10 and, therefore, could be
assigned to both MDCs. Therefore, they
reviewed the MS–DRGs within MDC 1
and MDC 10. They determined that the
most suitable MS–DRG assignment
within MDC 1 would be MS–DRGs 040,
041, and 042 (Peripheral, Cranial Nerve
and Other Nervous System Procedures
with MCC, with CC or Peripheral
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Neurostimulator, and without CC/MCC,
respectively), which contain procedures
assigned to MDC 1 that describe
insertion of devices into anatomical
areas that are not part of the nervous
system. Our clinical advisors
determined that the most suitable MS–
DRG assignment within MDC 10 would
be MS–DRGs 628, 629, and 630 (Other
Endocrine, Nutritional and Metabolic
O.R. Procedures with MCC, with CC,
and without CC/MCC, respectively),
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Average
length of stay
Average costs
115
19.3
$40,598
43
13.2
25,042
4
14.3
26,954
47
13.4
24,690
20
7.2
12,792
5
5.0
8,608
which contain the most clinically
similar procedures assigned to MDC 10,
such as those describing insertion of
infusion pump into subcutaneous tissue
and fascia. Therefore, we examined
claims data to identify the average
length of stay and average costs for cases
assigned to MDC 1 in MS–DRGs 040,
041, and 042 and MDC 10 in MS–DRGs
628, 629, and 630. Our findings are
shown in the tables below.
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Number of
cases
MS–DRGs in MDC 1
MS–DRG 040 ..............................................................................................................................
MS–DRG 041 ..............................................................................................................................
MS–DRG 042 ..............................................................................................................................
4,211
6,153
2,249
Number of
cases
MS–DRGs in MDC 10
MS–DRG 628 ..............................................................................................................................
MS–DRG 629 ..............................................................................................................................
MS–DRG 630 ..............................................................................................................................
Our clinical advisors reviewed these
data and noted that the average length
of stay and average costs for the subset
of cases reporting ICD–10–PCS
procedure code 0DH60UZ with a
principal diagnosis assigned to MDC 1
are higher than those cases in MS–DRGs
040, 041, and 042. For example, the
cases reporting ICD–10–PCS procedure
code 0DH60UZ and a principal
diagnosis in MDC 1 that currently group
to MS–DRG 981 have an average length
of stay of 19.3 days and average costs of
$40,598, while the cases in MS–DRG
040 have an average length of stay of
10.2 days and average costs of $27,096.
Our clinical advisors noted that the
average length of stay and average costs
for the subset of cases reporting ICD–
10–PCS procedure code 0DH60UZ with
a principal diagnosis assigned to MDC
10 are more closely aligned with those
cases in MS–DRGs 628, 629, and 630. In
both cases, our clinical advisors believe
Average
length of stay
that the insertion of feeding device is
clearly related to the principal
diagnoses in MDC 1 and MDC 10 and,
therefore, it is clinically appropriate for
the procedures to group to the same
MS–DRGs as the principal diagnoses.
Therefore, we are proposing to add ICD–
10–PCS procedure code 0DH60UZ to
MDC 1 and MDC 10. Under this
proposal, cases reporting procedure
code 0DH60UZ with a principal
diagnosis in MDC 1 would group to
MS–DRGs 040, 041, and 042, while
cases reporting ICD–10–PCS procedure
code 0DH60UZ with a principal
diagnosis in MDC 10 would group to
MS–DRGs 628, 629, and 630.
(7) Basilic Vein Reposition in Chronic
Kidney Disease
During our review of the cases that
group to MS–DRGs 981 through 983, we
noted that when procedures codes
describing reposition of basilic vein
10.2
5.1
3.0
Average
length of stay
3,004
5,435
237
9.9
7.2
3.2
Average costs
$27,096
16,917
13,365
Average costs
$25,472
16,391
10,659
(ICD–10–PCS procedure codes 05SB0ZZ
(Reposition right basilic vein, open
approach), 05SB3ZZ (Reposition right
basilic vein, percutaneous approach),
05SC0ZZ (Reposition left basilic vein,
open approach), and 05SC3ZZ
(Reposition left basilic vein,
percutaneous approach)) are reported
with a principal diagnosis in MDC 11
(Diseases and Disorders of the Kidney
and Urinary Tract) (typically describing
chronic kidney disease), the cases group
to MS–DRGs 981 through 983. This code
combination suggests a revision of an
arterio-venous fistula in a patient on
chronic hemodialysis. We examined
claims data to identify the average
length of stay and average costs for cases
reporting procedures describing
reposition of basilic vein with a
principal diagnosis in MDC 11, which
are currently grouping to MS–DRGs 981
through 983. Our findings are shown in
the table below.
MS–DRGS 981–983: CASES REPORTING PROCEDURES DESCRIBING REPOSITION OF BASILIC VEIN WITH PRINCIPAL
DIAGNOSIS IN MDC 11
Number of
cases
MS–DRG
MS–DRG 981—Cases reporting procedures describing reposition of basilic vein and a principal diagnosis in MDC 11 .......................................................................................................
MS–DRG 982—Cases reporting procedures describing reposition of basilic vein and a principal diagnosis in MDC 11 .......................................................................................................
MS–DRG 983—Cases reporting procedures describing reposition of basilic vein and a principal diagnosis in MDC 11 .......................................................................................................
amozie on DSK9F9SC42PROD with PROPOSALS2
Our clinical advisors examined claims
data for cases in the MS–DRGs within
MDC 11 and determined that cases
reporting procedures describing
reposition of basilic vein with a
principal diagnosis in MDC 11 would
most suitably group to MS–DRGs 673,
674, and 675 (Other Kidney and Urinary
Tract Procedures with MCC, with CC,
and without CC/MCC, respectively), to
which MDC 11 procedures describing
reposition of veins (other than renal
MS–DRG 673 ..............................................................................................................................
MS–DRG 674 ..............................................................................................................................
MS–DRG 675 ..............................................................................................................................
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Average costs
48
4.6
$12,232
10
6.9
18,481
1
3.0
3,552
veins) are assigned. Therefore, we
examined claims data to identify the
average length of stay and average costs
for cases assigned to MS–DRGs 673,
674, and 675. Our findings are shown in
the table below.
Number of
cases
MS–DRG
VerDate Sep<11>2014
Average
length of stay
10,542
6,167
437
E:\FR\FM\03MYP2.SGM
03MYP2
Average
length of stay
10.8
7.4
3.9
Average costs
$25,842
17,685
11,858
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Our clinical advisors reviewed these
data and noted that the average length
of stay and average costs for cases
reporting procedures describing
reposition of basilic vein with a
principal diagnosis in MDC 11 with an
MCC are significantly lower than for
those cases in MS–DRG 673. The
average length of stay and average costs
are similar for those cases with a CC,
while the single case without a CC or
MCC had significantly lower costs than
the average costs of cases in MS–DRG
675. However, our clinical advisors
believe that when the procedures
describing reposition of basilic vein are
reported with a principal diagnosis
describing chronic kidney disease, the
procedure is likely related to
arteriovenous fistulas for dialysis
associated with the chronic kidney
disease. Therefore, our clinical advisors
believe that it is clinically appropriate
for the procedures to group to the same
MS–DRGs as the principal diagnoses.
Therefore, we are proposing to add ICD–
10–PCS procedures codes 05SB0ZZ,
05SB3ZZ, 05SC0ZZ, and 05SC3ZZ to
MDC 11. Under our proposal, cases
reporting procedure codes describing
reposition of basilic vein with a
principal diagnosis in MDC 11 would
group to MS–DRGs 673, 674, and 675.
(8) Colon Resection With Fistula
During our review of the cases that
group to MS–DRGs 981 through 983, we
noted that when ICD–10–PCS procedure
code 0DTN0ZZ (Resection of sigmoid
colon, open approach) is reported with
a principal diagnosis in MDC 11
(Diseases and Disorders of the Kidney
and Urinary Tract), the cases group to
MS–DRGs 981 through 983. The
principal diagnosis most frequently
reported with ICD–10–PCS procedure
code 0DTN0ZZ in MDC 11 is ICD–10–
CM code N321 (Vesicointestinal fistula).
ICD–10–PCS procedure code 0DTN0ZZ
currently groups to several MDCs,
which are listed in the table below.
MS–DRG ASSIGNMENTS FOR ICD–10–PCS PROCEDURE CODE 0DTN0ZZ
MDC
6 .....................
17 ...................
17 ...................
21 ...................
24 ...................
MS–DRG
329–331
820–822
826–828
907–909
957–959
........
........
........
........
........
MS–DRG description
Major Small and Large Bowel Procedures.
Lymphoma and Leukemia with Major Procedure.
Myeloproliferative Disorders or Poorly Differentiated Neoplasms with Major Procedure.
Other O.R. Procedures for Injuries.
Other Procedures for Multiple Significant Trauma.
We examined claims data to identify
the average length of stay and average
costs for cases reporting procedure code
0DTN0ZZ with a principal diagnosis in
MDC 11, which are currently grouping
to MS–DRGs 981 through 983. Our
findings are shown in the table below.
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG 981—Cases reporting procedure code 0DTN0ZZ and a principal diagnosis in MDC
11 .............................................................................................................................................
MS–DRG 982—Cases reporting procedure code 0DTN0ZZ and a principal diagnosis in MDC
11 .............................................................................................................................................
MS–DRG 983—Cases reporting procedure code 0DTN0ZZ and a principal diagnosis in MDC
11 .............................................................................................................................................
Our clinical advisors examined the
MS–DRGs within MDC 11 and
determined that the cases reporting
procedure code 0DTN0ZZ with a
principal diagnosis in MDC 11 would
most suitably group to MS–DRGs 673,
674, and 675, which contain procedures
performed on structures other than
kidney and urinary tract anatomy. We
note that the claims data describing the
average length of stay and average costs
for cases in these MS–DRGs are
included in a table earlier in this
section. Because vesicointestinal fistulas
involve both the bladder and the bowel,
some procedures in both MDC 6
(Diseases and Disorders of the Digestive
System) and MDC 11 (Diseases and
Disorders of the Kidney and Urinary
Tract) would be expected to be related
to a principal diagnosis of
vesicointestinal fistula (ICD–10–CM
code N321). Our clinical advisors
observed that procedure code 0DTN0ZZ
is the second most common procedure
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reported in conjunction with a principal
diagnosis of code N321, after ICD–10–
PCS procedure code 0TQB0ZZ (Repair
bladder, open approach), which is
assigned to both MDC 6 and MDC 11.
Our clinical advisors reviewed the data
and noted that the average length of stay
and average costs for this subset of cases
are generally higher for this subset of
cases than for cases in MS–DRGs 673,
674, and 675. However, our clinical
advisors believe that when ICD–10–PCS
procedure code 0DTN0ZZ is reported
with a principal diagnosis in MDC 11
(typically vesicointestinal fistula), the
procedure is related to the principal
diagnosis. Therefore, we are proposing
to add ICD–10–PCS procedure code
0DTN0ZZ to MDC 11. Under our
proposal, cases reporting procedure
code 0DTN0ZZ with a principal
diagnosis of vesicointestinal fistula
(diagnosis code N321) in MDC 11 would
group to MS–DRGs 673, 674, and 675.
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Average
length of stay
Average costs
27
15.81
$44,743
33
8.48
20,105
5
3.60
12,351
b. Reassignment of Procedures Among
MS–DRGs 981 Through 983 and 987
Through 989
We also review the list of ICD–10–
PCS procedures that, when in
combination with their principal
diagnosis code, result in assignment to
MS–DRGs 981 through 983, or 987
through 989, to ascertain whether any of
those procedures should be reassigned
from one of those two groups of MS–
DRGs to the other group of MS–DRGs
based on average costs and the length of
stay. We look at the data for trends such
as shifts in treatment practice or
reporting practice that would make the
resulting MS–DRG assignment illogical.
If we find these shifts, we would
propose to move cases to keep the MS–
DRGs clinically similar or to provide
payment for the cases in a similar
manner. Generally, we move only those
procedures for which we have an
adequate number of discharges to
analyze the data.
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Based on the results of our review of
claims data in the September 2018
update of the FY 2018 MedPAR file, we
are not proposing to change the current
structure of MS–DRGs 981 through 983
and MS–DRGs 987 through 989.
c. Proposed Additions for Diagnosis and
Procedure Codes to MDCs
Below we summarize the requests we
received to examine cases found to
group to MS–DRGs 981 through 983 or
MS–DRGs 987 through 989 to determine
if it would be appropriate to add
procedure codes to one of the surgical
MS DRGs for the MDC into which the
principal diagnosis falls or to move the
principal diagnosis to the surgical MS–
DRGs to which the procedure codes are
assigned.
(1) Stage 3 Pressure Ulcers of the Hip
We received a request to reassign
cases for a stage 3 pressure ulcer of the
left hip when reported with procedures
involving excision of pelvic bone or
transfer of hip muscle from MS–DRGs
981, 982, and 983 (Extensive O.R.
Procedure Unrelated to Principal
Diagnosis with MCC, with CC, and
without CC/MCC, respectively) to MS–
DRG 579 (Other Skin, Subcutaneous
Tissue and Breast Procedures with
MCC) in MDC 9. ICD–10–CM diagnosis
code L89.223 (Pressure ulcer left hip,
stage 3) is used to report this condition
and is currently assigned to MDC 9
(Diseases and Disorders of the Skin,
Subcutaneous Tissue and Breast). We
refer readers to section II.12.a. of the
preamble of this proposed rule, where
we address ICD–10–PCS procedure code
0QB30ZZ (Excision of left pelvic bone,
open approach), which was reviewed as
part of our ongoing analysis of the
unrelated MS–DRGs and which we are
proposing to add to MS–DRGs 579, 580,
and 581 in MDC 5. (While the requestor
only referred to base MS–DRG 579, we
believe it is appropriate to assign the
cases to MS–DRGs 579, 580, and 581 by
severity level.) ICD–10–PCS procedure
codes 0KXP0ZZ (Transfer left hip
muscle, open approach) and 0KXN0ZZ
(Transfer right hip muscle, open
approach) may be reported to describe
transfer of hip muscle procedures and
are currently assigned to MDC 1
(Diseases and Disorders of the Nervous
System) and MDC 8 (Diseases and
Disorders of the Musculoskeletal System
and Connective Tissue). We included
ICD–10–PCS procedure code 0KXN0ZZ
in our analysis because it describes the
identical procedure on the right side.
Our analysis of this grouping issue
confirmed that, when a stage 3 pressure
ulcer of the left hip (ICD–10–CM
diagnosis code L89.223) is reported as a
principal diagnosis with ICD–10–PCS
procedure code 0KXP0ZZ or 0KXN0ZZ,
these cases group to MS–DRGs 981, 982,
and 983. The reason for this grouping is
because whenever there is a surgical
procedure reported on a claim that is
unrelated to the MDC to which the case
was assigned based on the principal
diagnosis, it results in an MS–DRG
assignment to a surgical class referred to
as ‘‘unrelated operating room
procedures.’’ In the example provided,
because ICD–10–CM diagnosis code
L89.223 describing a stage 3 pressure
ulcer of left hip is classified to MDC 9
and because ICD–10–PCS procedure
codes 0KXP0ZZ and 0KXN0ZZ are
classified to MDC 1 (Diseases and
Disorders of the Nervous System) in
MS–DRGs 040, 041, and 042
(Peripheral, Cranial Nerve and Other
Nervous System Procedures with MCC,
with CC or Peripheral Neurostimulator,
and without CC/MCC, respectively) and
MDC 8 (Diseases and Disorders of the
Musculoskeletal System and Connective
Tissue) in MS–DRGs 500, 501, and 502
(Soft Tissue Procedures with MCC, with
CC, and without CC/MCC, respectively),
the GROUPER logic assigns this case to
the ‘‘unrelated operating room
procedures’’ set of MS–DRGs.
For our review of this grouping issue
and the request to have procedure code
0KXP0ZZ added to MDC 9, we
examined claims data for cases
reporting procedure code 0KXP0ZZ or
0KXN0ZZ in conjunction with a
diagnosis code that typically groups to
MDC 9. Our findings are shown in the
table below.
MS–DRGS 981 THROUGH 983: CASES WITH HIP MUSCLE TRANSFER AND PRINCIPAL DIAGNOSIS IN MDC 9
Number of
cases
MS–DRG
MS–DRG
MDC 9
MS–DRG
MDC 9
MS–DRG
MDC 9
981—Cases with procedure code 0KXP0ZZ or 0KXN0ZZ and principal diagnosis in
......................................................................................................................................
982—Cases with procedure code 0KXP0ZZ or 0KXN0ZZ and principal diagnosis in
......................................................................................................................................
983—Cases with procedure code 0KXP0ZZ or 0KXN0ZZ and principal diagnosis in
......................................................................................................................................
As indicated earlier, the requestor
suggested that we move ICD–10–PCS
procedure code 0KXP0ZZ to MS–DRG
579. However, our clinical advisors
believe that, within MDC 9, these
procedure codes are more clinically
aligned with the procedure codes
assigned to MS–DRGs 573, 574, and 575
(Skin Graft for Skin Ulcer or Cellulitis
with MCC, with CC and without CC/
MCC, respectively), which are more
specific to the care of stage 3, 4 and
unstageable pressure ulcers than MS–
DRGs 579, 580, and 581. Therefore, we
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subset of cases with the same severity
reporting a hip muscle transfer and a
principal diagnosis in MDC 9, while the
PO 00000
12.6
$25,023
130
10.5
17,955
16
6.5
13,196
examined claims data to identify the
average length of stay and average costs
for cases assigned to MS–DRGs 573,
574, and 575. Our findings are shown in
the table below.
MS–DRG 573 ..............................................................................................................................
MS–DRG 574 ..............................................................................................................................
MS–DRG 575 ..............................................................................................................................
We note that the average costs for
cases in MS–DRGs 573 and 574 are
higher than the average costs of the
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Average costs
72
Number of
cases
MS–DRG
Average
length of stay
548
1,254
238
Average
length of stay
15.4
9.8
5.4
Average costs
$34,549
21,251
12,006
average costs of those cases in MS–DRG
575 are similar to the average costs of
those cases that are currently grouping
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to MS–DRG 983. However, our clinical
advisors believe that the cases of hip
muscle transfer represent a distinct,
recognizable clinical group similar to
those cases in MS–DRGs 573, 574, and
575, and that the procedures are clearly
related to the principal diagnosis codes.
Therefore, they believe that it is
clinically appropriate for the procedures
to group to the same MS–DRGs as the
principal diagnoses. Therefore, we are
proposing to add ICD–10–PCS
procedure codes 0KXP0ZZ and
0KXN0ZZ to MDC 9. Under our
proposal, cases reporting ICD–10–PCS
procedure code 0KXP0ZZ or 0KXN0ZZ
with a principal diagnosis in MDC 9
would group to MS–DRGs 573, 574, and
575.
(2) Gastrointestinal Stromal Tumor
We received a request to reassign
cases for gastrointestinal stromal tumor
of the stomach when reported with a
procedure describing laparoscopic
bypass of the stomach to jejunum from
MS–DRGs 981, 982, and 983 to MS–
DRGs 326, 327, and 328 (Stomach,
Esophageal and Duodenal Procedures
with MCC, with CC, and without CC/
MCC, respectively) by adding ICD–10–
PCS procedure code 0D164ZA (Bypass
stomach to jejunum, percutaneous
endoscopic approach) to MDC 6. ICD–
10–CM diagnosis code C49.A2
(Gastrointestinal stromal tumor of
stomach) is used to report this condition
and is currently assigned to MDC 8.
ICD–10–PCS procedure code 0D164ZA
is used to report the stomach bypass
procedure and is currently assigned to
MDC 5 (Diseases and Disorders of the
Circulatory System), MDC 6 (Diseases
and Disorders of the Digestive System),
MDC 7 (Diseases and Disorders of the
Hepatobiliary System and Pancreas),
MDC 10 (Endocrine, Nutritional and
Metabolic Diseases and Disorders), and
MDC 17 (Myeloproliferative Diseases
and Disorders, Poorly Differentiated
Neoplasms). We refer readers to section
II.12.a. of the preamble of this proposed
rule where we discuss our proposal to
move the listed diagnosis codes
describing gastrointestinal stromal
tumors, including ICD–10–CM diagnosis
code C49.A2, into MDC 6. Therefore,
this proposal, if finalized, would
address the cases grouping to MS–DRGs
981 through 983 by instead moving the
diagnosis codes to MDC 6, which would
result in the diagnosis code and the
procedure code referenced by the
requestor grouping to the same MDC.
(3) Finger Cellulitis
We received a request to reassign
cases for cellulitis of the right finger
when reported with a procedure
describing open excision of the right
finger phalanx from MS–DRGs 981, 982,
and 983 to MS–DRGs 579, 580, and 581
(Other Skin, Subcutaneous Tissue and
Breast Procedures with MCC, with CC,
and without CC/MCC, respectively).
Currently, ICD–10–CM diagnosis code
L03.011 (Cellulitis of right finger) is
used to report this condition and is
currently assigned to MDC 09 in MS–
DRGs 573, 574, and 575 (Skin Graft for
Skin Ulcer or Cellulitis with MCC, CC,
and without CC/MCC, respectively),
576, 577, and 578 (Skin Graft except for
Skin Ulcer or Cellulitis with MCC, CC,
and without CC/MCC, respectively), and
602 and 603 (Cellulitis with MCC and
without MCC, respectively). ICD–10–
PCS procedure code 0PBT0ZZ (Excision
of right finger phalanx, open approach)
is used to identify the excision
procedure, and is currently assigned to
MDC 03 (Diseases and Disorders of the
Ear, Nose, Mouth and Throat) in MS–
DRGs 133 and 134 (Other Ear, Nose,
Mouth and Throat O.R. Procedures with
CC/MCC, and without CC/MCC,
respectively); MDC 08 (Diseases and
Disorders of the Musculoskeletal System
and Connective Tissue) in MS–DRGs
515, 516, and 517 (Other
amozie on DSK9F9SC42PROD with PROPOSALS2
ICD–10–PCS
procedure code
0PBR0ZZ ..............................
0PBR3ZZ ..............................
0PBR4ZZ ..............................
0PBS0ZZ ..............................
0PBS3ZZ ..............................
0PBS4ZZ ..............................
0PBT0ZZ ..............................
0PBT3ZZ ..............................
0PBT4ZZ ..............................
0PBV0ZZ ..............................
0PBV3ZZ ..............................
0PBV4ZZ ..............................
0PTR0ZZ ..............................
0PTS0ZZ ..............................
0PTT0ZZ ..............................
0PTV0ZZ ..............................
0RTW0ZZ .............................
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Musculoskeletal System and Connective
Tissue O.R. Procedures with MCC, with
CC, and without CC/MCC, respectively);
MDC 10 (Endocrine, Nutritional and
Metabolic Diseases and Disorders) in
MS–DRGs 628, 629, and 630 (Other
Endocrine, Nutritional and Metabolic
O.R. Procedures with MCC, with CC,
and without CC/MCC, respectively);
MDC 21 (Injuries, Poisonings and Toxic
Effects of Drugs) in MS–DRGs 907, 908,
and 909 (Other O.R. Procedures for
Injuries with MCC, with CC, and
without CC/MCC, respectively); and
MDC 24 (Multiple Significant Trauma)
in MS–DRGs 957, 958, and 959 (Other
O.R. Procedures for Multiple Significant
Trauma with MCC, with CC, and
without CC/MCC, respectively).
Our analysis of this grouping issue
confirmed that when a procedure such
as open excision of right finger phalanx
(ICD–10–PCS procedure code 0PBT0ZZ)
is reported with a principal diagnosis
from MDC 9, such as cellulitis of the
right finger (ICD–10–CM diagnosis code
L03.011), these cases group to MS–DRGs
981, 982, and 983. During our review of
this issue, we also examined claims data
for similar procedures describing
excision of phalanges (which are listed
in the table below) and noted the same
pattern. We further noted that the ICD–
10–PCS procedure codes describing
excision of phalanx procedures with the
diagnostic qualifier ‘‘X’’, which are used
to report these procedures when
performed for diagnostic purposes, are
already assigned to MS–DRGs 579, 580,
and 581 (to which the requestor
suggested these cases group). Our
clinical advisors also believe that
procedures describing resection of
phalanges should be assigned to the
same MS–DRG as the excisions, because
the resection procedures would also
group to MS–DRGs 981, 982, and 983
when reported with a principal
diagnosis from MDC 9.
Code description
Excision of right thumb phalanx, open approach.
Excision of right thumb phalanx, percutaneous approach.
Excision of right thumb phalanx, percutaneous endoscopic approach.
Excision of left thumb phalanx, open approach.
Excision of left thumb phalanx, percutaneous approach.
Excision of left thumb phalanx, percutaneous endoscopic approach.
Excision of right finger phalanx, open approach.
Excision of right finger phalanx, percutaneous approach.
Excision of right finger phalanx, percutaneous endoscopic approach.
Excision of left finger phalanx, open approach.
Excision of left finger phalanx, percutaneous approach.
Excision of left finger phalanx, percutaneous endoscopic approach.
Resection of right thumb phalanx, open approach.
Resection of left thumb phalanx, open approach.
Resection of right finger phalanx, open approach.
Resection of left finger phalanx, open approach.
Resection of right finger phalangeal joint, open approach.
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ICD–10–PCS
procedure code
0RTX0ZZ ..............................
Code description
Resection of left finger phalangeal joint, open approach.
As noted in the previous discussion,
whenever there is a surgical procedure
reported on the claim that is unrelated
to the MDC to which the case was
assigned based on the principal
diagnosis, it results in an MS–DRG
assignment to a surgical class referred to
as ‘‘unrelated operating room
procedures’’.
We examined the claims data for the
three codes describing cellulitis of the
finger (ICD–10–CM diagnosis codes
L03.011 (Cellulitis of the right finger),
L03.012 (Cellulitis of left finger), and
L03.019 (Cellulitis of unspecified
finger)) to identify the average length of
stay and average costs for cases
reporting a principal diagnosis of
cellulitis of the finger in conjunction
with the excision of phalanx procedures
listed in the table above. We note that
there were no cases reporting a
principal diagnosis of cellulitis of the
finger in conjunction with the resection
of phalanx procedures listed in the table
above.
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG 981—Cases with principal diagnosis of cellulitis of the finger and excision of phalanx procedure .........................................................................................................................
MS–DRG 982—Cases with principal diagnosis of cellulitis of the finger and excision of phalanx procedure .........................................................................................................................
MS–DRG 983—Cases with principal diagnosis of cellulitis of the finger and excision of phalanx procedure .........................................................................................................................
We also examined the claims data to
identify the average length of stay and
average costs for all cases in MS–DRGs
579, 580, and 581. Our findings are
shown in the table in section II.12.A.3.of
the preamble of this proposed rule.
While our clinical advisors noted that
the average length of stay and average
costs for cases in MS–DRGs 579, 580,
and 581 are generally higher than the
average length of stay and average costs
for the subset of cases reporting a
principal diagnosis of cellulitis of the
finger and a procedure describing
excision of phalanx, they believe that
the procedures are clearly related to the
principal diagnosis codes and, therefore,
it is clinically appropriate for the
procedures to group to the same MS–
DRGs as the principal diagnoses,
particularly given that procedures
describing excision of phalanx with the
diagnostic qualifier ‘‘X’’ are already
assigned to these MS–DRGs. In addition,
our clinical advisors believe it is
clinically appropriate for the procedures
describing resection of phalanx to be
assigned to MS–DRGs 579, 580, and 581
as well. Therefore, we are proposing to
add the procedure codes describing
excision and resection of phalanx listed
above to MS–DRGs 579, 580, and 581.
Under this proposal, cases reporting one
of the excision or resection procedures
listed in the table above in conjunction
with a principal diagnosis from MDC 9
would group to MS–DRGs 579, 580, and
581.
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(4) Multiple Trauma With Internal
Fixation of Joints
We received a request to reassign
cases involving multiple significant
trauma with internal fixation of joints
from MS–DRGs 981, 982, and 983 to
MS–DRGs 957, 958, and 959 (Other O.R.
Procedures for Multiple Significant
Trauma with MCC, with CC, and
without CC/MCC, respectively). The
requestor provided an example of
several ICD–10–CM diagnosis codes that
together described multiple significant
trauma in conjunction with ICD–10–
PCS procedure codes beginning with the
prefix ‘‘0SH’’ and ‘‘0RH’’ that describe
internal fixation of joints. The requestor
provided several suggestions to address
this assignment, including: Adding all
ICD–10–PCS procedure codes in MDC 8
(Diseases and Disorders of the
Musculoskeletal System and Connective
Tissue) with the exception of codes that
group to MS–DRG 956 (Limb
Reattachment, Hip and Femur
Procedures for Multiple Significant
Trauma) to MS–DRGs 957, 958, and 959;
adding codes within the ‘‘0SH’’ and
‘‘0RH’’ code ranges to MDC 24; and
adding ICD–10–PCS procedure codes
from all MDCs except those that
currently group to MS–DRG 955
(Craniotomy for Multiple Significant
Trauma) or MS–DRG 956 (Limb
Reattachment, Hip and Femur
Procedures for Multiple Significant
Trauma) to MS–DRGs 957, 958, and 959.
While we understand the requestor’s
concern about these multiple significant
trauma cases, we believe any potential
reassignment of these cases requires
significant analysis. Similar to our
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length of stay
Average costs
2
3.5
$7,934
11
4.2
7,244
4
4.8
8,058
analysis of MDC 14 (initially discussed
at 81 FR 56854), there are multiple logic
lists in MDC 24 that would need to be
reviewed. For example, to satisfy the
logic for multiple significant trauma, the
logic requires a diagnosis code from the
significant trauma principal diagnosis
list and two or more significant trauma
diagnoses from different body sites. The
significant trauma logic lists for the
other body sites (which include head,
chest, abdominal, kidney, urinary
system, pelvis or spine, upper limb, and
lower limb) allow the extensive list of
diagnosis codes included in the logic to
be reported as a principal or secondary
diagnosis. The analysis of the reporting
of all the codes as a principal and/or
secondary diagnosis within MDC 24,
combined with the analysis of all of the
ICD–10–PCS procedure codes within
MDC 8, is anticipated to be a multi-year
effort. Therefore, we plan to consider
this issue for future rulemaking as part
of our ongoing analysis of the unrelated
procedure MS–DRGs.
(5) Totally Implantable Vascular Access
Devices
We received a request to reassign
cases for insertion of totally implantable
vascular access devices (TIVADs) listed
in the table below when reported with
principal diagnoses in MDCs other than
MDC 9 (Diseases and Disorders of the
Skin, Subcutaneous Tissue and Breast)
and MDC 11 (Diseases and Disorders of
the Kidney and Urinary Tract) from
MS–DRGs 981 through 983 to a surgical
MS–DRG within the appropriate MDC
based on the principal diagnosis. The
requestor noted that the insertion of
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TIVAD procedures are newly designated
as O.R. procedures, effective October 1,
2018, and are assigned to MDCs 9 and
11. The requestor stated that TIVADs
can be placed for a variety of purposes
and are used to treat a wide range of
malignancies at various sites and,
therefore, would likely have a
relationship to the principal diagnosis
within any MDC. The requestor
suggested that procedures describing the
insertion of TIVADs group to surgical
MS–DRGs within every MDC (other
than MDCs 2, 20, and 22, which do not
contain surgical MS–DRGs). The
requestor further stated that the surgical
ICD–PCS code
0JH60WZ .............
0JH80WZ .............
0JHD0WZ .............
0JHF0WZ .............
0JHG0WZ ............
0JHH0WZ .............
0JHL0WZ .............
0JHM0WZ ............
0JHN0WZ .............
0JHP0WZ .............
hierarchy should assign more significant
O.R. procedures within each MDC to a
higher position than procedures
describing the insertion of TIVADs
because these procedures consume less
O.R. resources than more invasive
procedures.
Code description
Insertion
Insertion
Insertion
Insertion
Insertion
Insertion
Insertion
Insertion
Insertion
Insertion
of
of
of
of
of
of
of
of
of
of
totally
totally
totally
totally
totally
totally
totally
totally
totally
totally
implantable
implantable
implantable
implantable
implantable
implantable
implantable
implantable
implantable
implantable
While we agree that TIVAD
procedures may be performed in
connection with a variety of principal
diagnoses, we note that because these
procedures are newly designated as O.R.
procedures effective October 1, 2018, we
do not yet have sufficient data to
analyze this request. We plan to
consider this issue in future rulemaking
as part of our ongoing analysis of the
unrelated procedure MS–DRGs.
(6) Gastric Band Procedure
Complications or Infections
We received a request to reassign
cases for infection or complications due
to gastric band procedures when
reported with a procedure describing
revision of or removal of extraluminal
device in/from the stomach from MS–
DRGs 987, 988, and 989 (Non-Extensive
O.R. Procedure Unrelated to Principal
Diagnosis with MCC, with CC and
without MCC/CC, respectively) to MS–
DRGs 326, 327, and 328 (Stomach,
Esophageal, and Duodenal Procedures
vascular
vascular
vascular
vascular
vascular
vascular
vascular
vascular
vascular
vascular
access
access
access
access
access
access
access
access
access
access
device
device
device
device
device
device
device
device
device
device
into
into
into
into
into
into
into
into
into
into
chest subcutaneous tissue and fascia, open approach.
abdomen subcutaneous tissue and fascia, open approach.
right upper arm subcutaneous tissue and fascia, open approach.
left upper arm subcutaneous tissue and fascia, open approach.
right lower arm subcutaneous tissue and fascia, open approach.
left lower arm subcutaneous tissue and fascia, open approach.
right upper leg subcutaneous tissue and fascia, open approach.
left upper leg subcutaneous tissue and fascia, open approach.
right lower leg subcutaneous tissue and fascia, open approach.
left lower leg subcutaneous tissue and fascia, open approach.
with MCC, with CC, and without CC/
MCC, respectively). ICD–10–CM
diagnosis codes K95.01 (Infection due to
gastric band procedure) and K95.09
(Other complications of gastric band
procedure) are used to report these
conditions and are currently assigned to
MDC 6 (Diseases and Disorders of the
Digestive System). ICD–10–PCS
procedure codes 0DW64CZ (Revision of
extraluminal device in stomach,
percutaneous endoscopic approach) and
0DP64CZ (Removal of extraluminal
device from stomach, percutaneous
endoscopic approach) are used to report
the revision of, or removal of, an
extraluminal device in/from the
stomach and are currently assigned to
MDC 10 (Endocrine, Nutritional and
Metabolic Diseases and Disorders) in
MS–DRGs 619, 620, and 621 (O.R.
Procedures for Obesity with MCC with
CC, and without CC/MCC, respectively).
Our analysis of this grouping issue
confirmed that when procedures
describing the revision of or removal of
an extraluminal device in/from the
stomach are reported with principal
diagnoses in MDC 6 (such as ICD–10–
CM diagnosis codes K95.01 and
K95.09), in the absence of a procedure
assigned to MDC 6, these cases group to
MS–DRGs 987, 988, and 989. As noted
in the previous discussion, whenever
there is a surgical procedure reported on
the claim that is unrelated to the MDC
to which the case was assigned based on
the principal diagnosis, it results in an
MS–DRG assignment to a surgical class
referred to as ‘‘unrelated operating room
procedures’’.
We examined the claims data to
identify cases involving ICD–10–PCS
procedure codes 0DW64CZ and
0DP64CZ reported with a principal
diagnosis of K95.01 or K95.09 that are
currently grouping to MS–DRGs 987,
988, and 989. Our findings are shown in
the table below.
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG 987—All cases ............................................................................................................
MS–DRG 987—Cases reporting procedure code 0DW64CZ or 0DP64CZ and principal diagnosis code K95.01 or K95.09 ..................................................................................................
MS–DRG 988—All cases ............................................................................................................
MS–DRG 988—Cases reporting procedure code 0DW64CZ or 0DP64CZ and principal diagnosis code K95.01 or K95.09 ..................................................................................................
MS–DRG 989—All cases ............................................................................................................
MS–DRG 989—Cases reporting procedure code 0DW64CZ or 0DP64CZ and principal diagnosis code K95.01 or K95.09 ..................................................................................................
We also examined the data for cases
in MS–DRGs 326, 327, and 328, and our
findings are provided in a table
presented in section II.12.a. of the
preamble of this proposed rule. While
our clinical advisors noted that the
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average length of stay and average costs
of cases in MS–DRGs 326, 327, and 328
are significantly higher than the average
length of stay and average costs for the
subset of cases reporting procedure code
0DW64CZ or 0DP64CZ and a principal
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Average costs
8,674
11
$23,885
20
8,391
6.6
5.7
17,873
12,294
105
1,551
2.2
3.1
7,253
8,171
120
1.6
6,010
diagnosis code of K95.01 or K95.09,
they believe that the procedures are
clearly related to the principal diagnosis
and, therefore, it is clinically
appropriate for the procedures to group
to the same MS–DRGs as the principal
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diagnoses. In addition, our clinical
advisors believe that because these
procedures are intended to treat a
complication of a procedure related to
obesity, rather than the obesity itself,
they are more appropriately assigned to
stomach, esophageal, and duodenal
procedures (MS–DRGs 326, 327, and
328) in MDC 6 than to procedures for
obesity (MS–DRGs 619, 620, and 621) in
MDC 10.
Therefore, we are proposing to add
ICD–10–PCS procedure codes 0DW64CZ
and 0DP64CZ to MDC 6 in MS–DRGs
326, 327, and 328. Under this proposal,
cases reporting procedure code
0DW64CZ or 0DP64CZ in conjunction
with a principal diagnosis code of
K95.01 or K95.09 would group to MS–
DRGs 326, 327, and 328.
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(7) Peritoneal Dialysis Catheters
We received a request to reassign
cases for complications of peritoneal
dialysis catheters when reported with
procedure codes describing removal,
revision, and/or insertion of new
peritoneal dialysis catheters from MS–
DRGs 981 through 983 to MS–DRGs 356,
357, and 358 (Other Digestive System
O.R. Procedures with MCC, with CC,
and without CC/MCC, respectively) in
MDC 6 by adding the diagnosis codes
describing complications of peritoneal
dialysis catheters to MDC 6. We refer
readers to section II.12.a. of the
preamble of this proposed rule in which
we describe our analysis of this issue as
part of our broader review of the
unrelated MS–DRGs. Our clinical
advisors believe it is more appropriate
to add the procedure codes describing
removal, revision, and/or insertion of
new peritoneal dialysis catheters to MS–
DRGs 907, 908, and 909 than to move
the diagnosis codes describing
complications of peritoneal dialysis
catheters to MDC 6 because the
diagnosis codes describe complications,
rather than initial placement, of
peritoneal dialysis catheters, and
therefore, are most clinically aligned
with the diagnosis codes assigned to
MDC 21 (where they are currently
assigned). In section II.12.a. of the
preamble of this proposed rule, we are
proposing to add procedures describing
removal, revision, and/or insertion of
peritoneal dialysis catheters to MS–
DRGs 907, 908, and 909 in MDC 21.
(8) Occlusion of Left Renal Vein
We received a request to reassign
cases for varicose veins in the pelvic
region when reported with an
embolization procedure from MS–DRGs
981, 982 and 983 (Non-Extensive O.R.
Procedure Unrelated to Principal
Diagnosis with MCC, with CC, and
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without CC/MCC, respectively) to MS–
DRGs 715 and 716 (Other Male
Reproductive System O.R. Procedures
for Malignancy with CC/MCC and
without CC/MCC, respectively) and
MS–DRGs 717 and 718 (Other Male
Reproductive System O.R. Procedures
Except Malignancy with CC/MCC and
without CC/MCC, respectively) in MDC
12 (Diseases and Disorders of the Male
Reproductive System) and to MS–DRGs
749 and 750 (Other Female
Reproductive System O.R. Procedures
with CC/MCC and without CC/MCC,
respectively) in MDC 13 (Diseases and
Disorders of the Female Reproductive
System). ICD–10–CM diagnosis code
I86.2 (Pelvic varices) is reported to
identify the condition of varicose veins
in the pelvic region and is currently
assigned to MDC 12 and to MDC 13.
ICD–10–PCS procedure code 06LB3DZ
(Occlusion of left renal vein with
intraluminal device, percutaneous
approach) may be reported to describe
an embolization procedure performed
for the treatment of pelvic varices and
is currently assigned to MDC 5 (Diseases
and Disorders of the Circulatory System)
in MS–DRGs 270, 271, and 272 (Other
Major Cardiovascular Procedures with
MCC, with CC, and without CC/MCC,
respectively), MDC 6 (Diseases and
Disorders of the Digestive System) in
MS–DRGs 356, 357, and 358 (Other
Digestive System O.R. Procedures with
MCC, with CC, and without CC/MCC,
respectively), MDC 21 (Injuries,
Poisonings and Toxic Effects of Drugs)
in MS–DRGs 907, 908, and 909 (Other
O.R. Procedures for Injuries with MCC,
CC, without CC/MCC, respectively), and
MDC 24 (Multiple Significant Trauma)
in MS–DRGs 957, 958, 959 (Other O.R.
Procedures for Multiple Significant
Trauma with MCC, with CC, and
without CC/MCC, respectively). The
requestor also noted that when this
procedure is performed on the right
renal vein (which is reported with ICD–
10–PCS code 06L03DZ (Occlusion of
inferior vena cava with intraluminal
device, percutaneous approach) for
varicose veins in the pelvic region, the
case groups to MS–DRGs 715 and 716
and MS–DRGs 717 and 718 in MDC 12
(for male patients) or MS–DRGs 749 and
750 in MDC 13 (for female patients).
Our analysis of this grouping issue
confirmed that when ICD–10–CM
diagnosis code I86.2 (Pelvic varices) is
reported with ICD–10–PCS procedure
code 06LB3DZ, the case groups to MS–
DRGs 981, 982, and 983. As noted above
in previous discussions, whenever there
is a surgical procedure reported on the
claim that is unrelated to the MDC to
which the case was assigned based on
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19229
the principal diagnosis, it results in an
MS–DRG assignment to a surgical class
referred to as ‘‘unrelated operating room
procedures.’’
We examined the claims data to
identify cases involving procedure code
06LB3DZ in MS–DRGs 981, 982, and
983 reported with a principal diagnosis
code of I86.2. We found no cases in the
claims data.
In the absence of data to examine, our
clinical advisors reviewed this request
and agree with the requestor that when
the embolization procedure is
performed on the left renal vein
(reported with ICD–10–PCS procedure
code 06LB3DZ), it should group to the
same MS–DRGs as when it is performed
on the right renal vein. Therefore, we
are proposing to add ICD–10–PCS
procedure code 06LB3DZ to MDC 12 in
MS–DRGs 715, 716, 717, and 718 and to
MDC 13 in MS–DRGs 749 and 750.
Under this proposal, cases reporting
ICD–10–CM diagnosis code I86.2 with
ICD–10–PCS procedure code 06LB3DZ
would group to MDC 12 (for male
patients) or MDC 13 (for female
patients).
13. Operating Room (O.R.) and Non-O.R.
Issues
a. Background
Under the IPPS MS–DRGs (and former
CMS MS–DRGs), we have a list of
procedure codes that are considered
operating room (O.R.) procedures.
Historically, we developed this list
using physician panels that classified
each procedure code based on the
procedure and its effect on consumption
of hospital resources. For example,
generally the presence of a surgical
procedure which required the use of the
operating room would be expected to
have a significant effect on the type of
hospital resources (for example,
operating room, recovery room, and
anesthesia) used by a patient, and
therefore, these patients were
considered surgical. Because the claims
data generally available do not precisely
indicate whether a patient was taken to
the operating room, surgical patients
were identified based on the procedures
that were performed. Generally, if the
procedure was not expected to require
the use of the operating room, the
patient would be considered medical
(non-O.R.).
Currently, each ICD–10–PCS
procedure code has designations that
determine whether and in what way the
presence of that procedure on a claim
impacts the MS–DRG assignment. First,
each ICD–10–PCS procedure code is
either designated as an O.R. procedure
for purposes of MS–DRG assignment
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(‘‘O.R. procedures’’) or is not designated
as an O.R. procedure for purposes of
MS–DRG assignment (‘‘non-O.R.
procedures’’). Second, for each
procedure that is designated as an O.R.
procedure, that O.R. procedure is
further classified as either extensive or
non-extensive. Third, for each
procedure that is designated as a nonO.R. procedure, that non-O.R. procedure
is further classified as either affecting
the MS–DRG assignment or not affecting
the MS–DRG assignment. We refer to
these designations that do affect MS–
DRG assignment as ‘‘non-O.R. affecting
the MS–DRG.’’ For new procedure codes
that have been finalized through the
ICD–10 Coordination and Maintenance
Committee meeting process and are
proposed to be classified as O.R.
procedures or non-O.R. procedures
affecting the MS–DRG, our clinical
advisors recommend the MS–DRG
assignment which is then made
available in association with the
proposed rule (Table 6B.—New
Procedure Codes) and subject to public
comment. These proposed assignments
are generally based on the assignment of
predecessor codes or the assignment of
similar codes. For example, we
generally examine the MS–DRG
assignment for similar procedures, such
as the other approaches for that
procedure, to determine the most
appropriate MS–DRG assignment for
procedures proposed to be newly
designated as O.R. procedures. As
discussed in section II.F.15. of the
preamble of this proposed rule, we are
making Table 6B.—New Procedure
Codes—FY 2020 available on the CMS
website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
index.html. We also refer readers to the
ICD–10 MS–DRG Version 36 Definitions
Manual at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/MS-DRGClassifications-and-Software.html for
detailed information regarding the
designation of procedures as O.R. or
non-O.R. (affecting the MS–DRG) in
Appendix E—Operating Room
Procedures and Procedure Code/MS–
DRG Index.
Given the long period of time that has
elapsed since the original O.R.
(extensive and non-extensive) and nonO.R. designations were established, the
incremental changes that have occurred
to these O.R. and non-O.R. procedure
code lists, and changes in the way
inpatient care is delivered, we plan to
conduct a comprehensive, systematic
review of the ICD–10–PCS procedure
codes. This will be a multi-year project
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during which we will also review the
process for determining when a
procedure is considered an operating
room procedure. For example, we may
restructure the current O.R. and nonO.R. designations for procedures by
leveraging the detail that is now
available in the ICD–10 claims data. We
refer readers to the discussion regarding
the designation of procedure codes in
the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38066) where we stated that the
determination of when a procedure code
should be designated as an O.R.
procedure has become a much more
complex task. This is, in part, due to the
number of various approaches available
in the ICD–10–PCS classification, as
well as changes in medical practice.
While we have typically evaluated
procedures on the basis of whether or
not they would be performed in an
operating room, we believe that there
may be other factors to consider with
regard to resource utilization,
particularly with the implementation of
ICD–10. Therefore, we are again
soliciting public comments on what
factors or criteria to consider in
determining whether a procedure is
designated as an O.R. procedure in the
ICD–10–PCS classification system for
future consideration. Commenters
should submit their recommendations
to the following email address:
MSDRGClassificationChange@
cms.hhs.gov by November 1, 2019.
As a result of this planned review and
potential restructuring, procedures that
are currently designated as O.R.
procedures may no longer warrant that
designation, and conversely, procedures
that are currently designated as nonO.R. procedures may warrant an O.R.
type of designation. We intend to
consider the resources used and how a
procedure should affect the MS–DRG
assignment. We may also consider the
effect of specific surgical approaches to
evaluate whether to subdivide specific
MS–DRGs based on a specific surgical
approach. We plan to utilize our
available MedPAR claims data as a basis
for this review and the input of our
clinical advisors. As part of this
comprehensive review of the procedure
codes, we also intend to evaluate the
MS–DRG assignment of the procedures
and the current surgical hierarchy
because both of these factor into the
process of refining the ICD–10 MS–
DRGs to better recognize complexity of
service and resource utilization.
We will provide more detail on this
analysis and the methodology for
conducting this review in future
rulemaking. As we continue to develop
our process and methodology, as noted
above, we are soliciting public
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comments on other factors to consider
in our refinement efforts to recognize
and differentiate consumption of
resources for the ICD–10 MS–DRGs.
In this proposed rule, we are
addressing requests that we received
regarding changing the designation of
specific ICD–10–PCS procedure codes
from non-O.R. to O.R. procedures, or
changing the designation from O.R.
procedure to non-O.R. procedure. Below
we discuss the process that was utilized
for evaluating the requests that were
received for FY 2020 consideration. For
each procedure, our clinical advisors
considered:
• Whether the procedure would
typically require the resources of an
operating room;
• Whether it is an extensive or a
nonextensive procedure; and
• To which MS–DRGs the procedure
should be assigned.
We note that many MS–DRGs require
the presence of any O.R. procedure. As
a result, cases with a principal diagnosis
associated with a particular MS–DRG
would, by default, be grouped to that
MS–DRG. Therefore, we do not list
these MS–DRGs in our discussion
below. Instead, we only discuss MS–
DRGs that require explicitly adding the
relevant procedures codes to the
GROUPER logic in order for those
procedure codes to affect the MS–DRG
assignment as intended. In cases where
we are proposing to change the
designation of procedure codes from
non-O.R. procedures to O.R. procedures,
we also are proposing one or more MS–
DRGs with which these procedures are
clinically aligned and to which the
procedure code would be assigned.
In addition, cases that contain O.R.
procedures will map to MS–DRG 981,
982, or 983 (Extensive O.R. Procedure
Unrelated to Principal Diagnosis with
MCC, with CC, and without CC/MCC,
respectively) or MS–DRG 987, 988, or
989 (Non-Extensive O.R. Procedure
Unrelated to Principal Diagnosis with
MCC, with CC, and without CC/MCC,
respectively) when they do not contain
a principal diagnosis that corresponds
to one of the MDCs to which that
procedure is assigned. These procedures
need not be assigned to MS–DRGs 981
through 989 in order for this to occur.
Therefore, if requestors included some
or all of MS–DRGs 981 through 989 in
their request or included MS–DRGs that
require the presence of any O.R.
procedure, we did not specifically
address that aspect in summarizing their
request or our response to the request in
the section below.
For procedures that would not
typically require the resources of an
operating room, our clinical advisors
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determined if the procedure should
affect the MS–DRG assignment.
We received several requests to
change the designation of specific ICD–
10–PCS procedure codes from non-O.R.
procedures to O.R. procedures, or to
change the designation from O.R.
procedures to non-O.R. procedures.
Below we detail and respond to some of
those requests. With regard to the
remaining requests, our clinical advisors
believe it is appropriate to consider
these requests as part of our
comprehensive review of the procedure
codes discussed above.
b. O.R. Procedures to Non-O.R.
Procedures
(1) Bronchoalveolar Lavage
Bronchoalveolar lavage (BAL) is a
diagnostic procedure in which a
bronchoscope is passed through the
patient’s mouth or nose into the lungs.
A small amount of fluid is squirted into
an area of the lung and then collected
for examination. Two requestors
identified 13 ICD–10–PCS procedure
codes describing BAL procedures that
generally can be performed at bedside
and would not require the resources of
an operating room. In the ICD–10 MS–
DRG Version 36 Definitions Manual,
ICD–10–PCS code
0B9H8ZX ..............
0B9K8ZX ..............
0B9L8ZX ..............
0B9M8ZX .............
0B9C8ZZ ..............
0B9D8ZZ ..............
0B9F8ZZ ..............
0B9G8ZZ ..............
0B9H8ZZ ..............
0B9J8ZZ ...............
0B9K8ZZ ..............
0B9L8ZZ ..............
0B9M8ZZ .............
amozie on DSK9F9SC42PROD with PROPOSALS2
these 13 ICD–10–PCS procedure codes
are currently recognized as O.R.
procedures for purposes of MS–DRG
assignment.
We agree with the requestors that
these procedures do not typically
require the resources of an operating
room. Therefore, we are proposing to
remove the following 13 procedure
codes from the FY 2020 ICD–10 MS–
DRGs Version 37 Definitions Manual in
Appendix E—Operating Room
Procedures and Procedure Code/MS–
DRG Index as O.R. procedures. Under
this proposal, these procedures would
no longer impact MS–DRG assignment.
Code description
Drainage
Drainage
Drainage
Drainage
Drainage
Drainage
Drainage
Drainage
Drainage
Drainage
Drainage
Drainage
Drainage
of
of
of
of
of
of
of
of
of
of
of
of
of
lung lingula, via natural or artificial opening endoscopic, diagnostic.
right lung, via natural or artificial opening endoscopic, diagnostic.
left lung, via natural or artificial opening endoscopic, diagnostic.
bilateral lungs, via natural or artificial opening endoscopic, diagnostic.
right upper lung lobe, via natural or artificial opening endoscopic.
right middle lung lobe, via natural or artificial opening endoscopic.
right lower lung lobe, via natural or artificial opening endoscopic.
left upper lung lobe, via natural or artificial opening endoscopic.
Lung Lingula, via natural or artificial opening endoscopic.
left lower lung lobe, via natural or artificial opening endoscopic.
right lung, via natural or artificial opening endoscopic.
left lung, via natural or artificial opening endoscopic.
bilateral lungs, via natural or artificial opening endoscopic.
(2) Percutaneous Drainage of Pelvic
Cavity
One requestor identified two ICD–10–
PCS procedure codes that describe
procedures involving percutaneous
drainage of the pelvic cavity. The two
ICD–10–PCS procedure codes are:
0W9J3ZX (Drainage of pelvic cavity,
percutaneous approach, diagnostic) and
0W9J3ZZ (Drainage of pelvic cavity,
percutaneous approach).
ICD–10–PCS procedure code
0W9J3ZX is currently recognized as an
O.R. procedure for purposes of MS–DRG
assignment, while the nondiagnostic
ICD–10–PCS procedure code 0W9J3ZZ
is not recognized as an O.R. procedure
for purposes of MS–DRG assignment.
The requestor stated that percutaneous
drainage procedures of the pelvic cavity
for both diagnostic and nondiagnostic
purposes are not complex procedures
and both types of procedures are usually
performed in a radiology suite. The
requestor stated that both procedures
should be classified as non-O.R.
procedures.
We agree with the requestor that these
procedures do not typically require the
resources of an operating room.
Therefore, we are proposing to remove
procedure code 0W9J3ZX from the FY
2020 ICD–10 MS–DRG Version 37
Definitions Manual in Appendix E—
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17:51 May 02, 2019
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Operating Room Procedures and
Procedure Code/MS–DRG Index as an
O.R. procedure. Under this proposal,
this procedure would no longer impact
MS–DRG assignment.
(3) Percutaneous Removal of Drainage
Device
One requestor identified two ICD–10–
PCS procedure codes that describe
procedures involving the percutaneous
placement and removal of drainage
devices from the pancreas. These two
ICD–10–PCS procedure codes are:
0FPG30Z (Removal of drainage device
from pancreas, percutaneous approach)
and 0F9G30Z (Drainage of pancreas
with drainage device, percutaneous
approach). ICD–10–PCS procedure code
0FPG30Z is currently recognized as an
O.R. procedure for purposes of MS–DRG
assignment, while ICD–10–PCS
procedure code 0F9G30Z is not
recognized as an O.R. procedure for
purposes of MS–DRG assignment. The
requestor stated that percutaneous
placement of drains is typically
performed in a radiology suite under
image guidance and removal of a drain
would not be more resource intensive
than its placement.
We agree with the requestor that these
procedures do not typically require the
resources of an operating room.
Therefore, we are proposing to remove
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Fmt 4701
Sfmt 4702
ICD–10–PCS procedure code 0FPG30Z
from the FY 2020 ICD–10 MS–DRG
Version 37 Definitions Manual in
Appendix E—Operating Room
Procedures and Procedure Code/MS–
DRG Index as an O.R. procedure. Under
this proposal, this procedure would no
longer impact MS–DRG assignment.
c. Non-O.R. Procedures to O.R.
Procedures
(1) Percutaneous Occlusion of Gastric
Artery
One requestor identified two ICD–10–
PCS procedure codes that describe
percutaneous occlusion and restriction
of the gastric artery with intraluminal
device, ICD–10–PCS procedure codes
04L23DZ (Occlusion of gastric artery
with intraluminal device, percutaneous
approach) and 04V23DZ (Restriction of
gastric artery with intraluminal device,
percutaneous approach), that the
requestor stated are currently not
recognized as O.R. procedures for
purposes of MS–DRG assignment. The
requestor noted that transcatheter
endovascular embolization of the gastric
artery with intraluminal devices uses
comparable resources to transcatheter
endovascular embolization of the
gastroduodenal artery. The requestor
stated that ICD–10–PCS procedure
codes 04L33DZ (Occlusion of hepatic
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artery with intraluminal device,
percutaneous approach) and 04V33DZ
(Restriction of hepatic artery with
intraluminal device, percutaneous
approach) are recognized as O.R.
procedures for purposes of MS–DRG
assignment, and ICD–10–PCS procedure
codes 04L23DZ and 04V23DZ should
therefore also be recognized as O.R.
procedures for purposes of MS–DRG
assignment. We note that, contrary to
the requestor’s statement, ICD–10–PCS
procedure code 04V23DZ is already
recognized as an O.R. procedure for
purposes of MS–DRG assignment.
We agree with the requestor that ICD–
10–PCS procedure code 04L23DZ
typically requires the resources of an
operating room. Therefore, we are
proposing to add this code to the FY
2020 ICD–10 MS–DRG Version 37
Definitions Manual in Appendix E—
Operating Room Procedures and
Procedure Code/MS–DRG Index as an
O.R. procedure assigned to MS–DRGs
270, 271, and 272 (Other Major
Cardiovascular Procedures with MCC,
CC, without CC/MCC, respectively) in
MDC 05 (Diseases and Disorders of the
Circulatory System); MS–DRGs 356,
357, and 358 (Other Digestive System
O.R. Procedures, with MCC, CC, without
CC/MCC, respectively) in MDC 06
(Diseases and Disorders of the Digestive
System); MS–DRGs 907, 908, and 909
(Other O.R. Procedures for Injuries with
MCC, CC, without CC/MCC,
respectively) in MDC 21 (Injuries,
ICD–10–PCS code
amozie on DSK9F9SC42PROD with PROPOSALS2
0BH38GZ
0BH48GZ
0BH58GZ
0BH68GZ
0BH78GZ
0BH88GZ
0BH98GZ
0BHB8GZ
.............
.............
.............
.............
.............
.............
.............
.............
(2) Endoscopic Insertion of
Endobronchial Valves
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41257), we discussed a
comment we received in response to the
FY 2019 IPPS/LTCH PPS proposed rule
regarding eight ICD–10–PCS procedure
codes that describe endobronchial valve
procedures that the commenter believed
should be designated as O.R.
procedures. The codes are identified in
the following table.
Code description
Insertion
Insertion
Insertion
Insertion
Insertion
Insertion
Insertion
Insertion
of
of
of
of
of
of
of
of
endobronchial
endobronchial
endobronchial
endobronchial
endobronchial
endobronchial
endobronchial
endobronchial
The commenter stated that these
procedures are most commonly
performed in the O.R., given the need
for better monitoring and support
through the process of identifying and
occluding a prolonged air leak using
endobronchial valve technology. The
commenter also noted that other
endobronchial valve procedures have an
O.R. designation. We noted that, in the
ICD–10 MS–DRGs Version 35, these
eight ICD–10–PCS procedure codes are
not recognized as O.R. procedures for
purposes of MS–DRG assignment. The
commenter requested that these eight
procedure codes be assigned to MS–
DRG 163 (Major Chest Procedures with
MCC) due to similar cost and resource
use. As discussed in the FY 2019 IPPS/
LTCH PPS final rule, our clinical
advisors disagreed with the commenter
that the eight identified procedures
typically require the use of an operating
room, and believed that these
procedures would typically be
performed in an endoscopy suite.
Therefore, we did not finalize a change
to the eight procedure codes describing
endoscopic insertion of an
endobronchial valve listed in the table
above for FY 2019 under the ICD–10
MS–DRGs Version 36.
After publication of the FY 2019
IPPS/LTCH PPS final rule, we received
feedback from several stakeholders
expressing continued concern with the
designation of the eight ICD–10–PCS
VerDate Sep<11>2014
Poisonings and Toxic Effects of Drugs);
and MS–DRGs 957, 958, and 959 (Other
O.R. Procedures for Multiple Significant
Trauma with MCC, CC, without CC/
MCC, respectively) in MDC 24 (Multiple
Significant Trauma).
17:51 May 02, 2019
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valve
valve
valve
valve
valve
valve
valve
valve
into
into
into
into
into
into
into
into
right main bronchus, via natural or artificial opening endoscopic.
right upper lobe bronchus, via natural or artificial opening endoscopic.
right middle lobe bronchus, via natural or artificial opening endoscopic.
right lower lobe bronchus, via natural or artificial opening endoscopic.
left main bronchus, via natural or artificial opening endoscopic.
left upper lobe bronchus, via natural or artificial opening endoscopic.
lingula bronchus, via natural or artificial opening endoscopic.
left lower lobe bronchus, via natural or artificial opening endoscopic.
procedure codes describing the
endoscopic insertion of an
endobronchial valve listed in the table
above, including requests to reconsider
the designation of these codes for FY
2020. Some requestors stated that while
they appreciated CMS’ attention to the
issue, they believed that important
clinical and financial factors had been
overlooked. The requestors noted that
while the site of care is an important
consideration for MS–DRG assignment,
there are other clinical factors such as
case complexity, patient health risk and
the need for anesthesia that also affect
hospital resource consumption and
should influence MS–DRG assignment.
With regard to complexity, the
requestors stated that many of these
patients are high-risk, often recovering
from major lung surgery and have
significantly compromised respiratory
function. According to one requestor,
these patients may have major
comorbidities, such as cancer or
emphysema contributing to longer
lengths of stay in the hospital. This
requestor acknowledged that procedures
performed for the endoscopic insertion
of an endobronchial valve are often, but
not always, performed in the O.R.,
however, the requestor also noted this
should not preclude the designation of
these procedures as O.R. procedures
since there have been other examples of
reclassification requests where the
combination of factors, such as
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Fmt 4701
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treatment difficulty, resource
utilization, patient health status, and
anesthesia administration were
considered in the decision to change the
designation for a procedure from nonO.R. to O.R. Another requestor stated
that CMS’ current designation of a
procedure involving the endoscopic
insertion of an endobronchial valve as a
non-O.R. procedure is not reflective of
actual practice and this designation has
payment consequences that may affect
access to the treatment for a vulnerable
patient population, with limited
treatment options. The requestor
recommended that procedures involving
the endoscopic insertion of an
endobronchial valve should be
designated as O.R. procedures and
assigned to MS–DRGs 163, 164, and 165
(Major Chest Procedures with MCC,
with CC and without CC/MCC,
respectively). In addition, a few of the
requestors also conducted their own
analyses and indicated that if
procedures involving the endoscopic
insertion of an endobronchial valve
were to be assigned to MS–DRGs 163,
164, and 165, the average costs of the
cases reporting a procedure code
describing the endoscopic insertion of
an endobronchial valve would still be
higher compared to all the cases in the
assigned MS–DRG.
We examined claims data from the
September 2018 update of the FY 2018
MedPAR file for MS–DRGs 163, 164 and
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165 to identify cases reporting any one
of the eight procedure codes listed in
the above table describing the
endoscopic insertion of an
endobronchial valve. Cases reporting
one of these procedure codes would be
assigned to MS–DRG 163, 164, or 165 if
at least one other procedure that is
designated as an O.R. procedure and
assigned to these MS–DRGs was also
reported on the claim. In addition, cases
reporting a procedure code describing
the endoscopic insertion of an
endobronchial valve with a different
surgical approach are assigned to MS–
DRGs 163, 164, and 165. Our findings
are shown in the following table.
MS–DRGS FOR MAJOR CHEST PROCEDURES WITH ENDOSCOPIC INSERTION OF ENDOBRONCHIAL VALVE PROCEDURES
Number of
cases
MS–DRG
MS–DRG 163—All cases ............................................................................................................
MS–DRG 163—Cases reporting a procedure for the endoscopic insertion of an endobronchial valve .........................................................................................................................
MS–DRG 164—All cases ............................................................................................................
MS–DRG 164—Cases reporting a procedure for the endoscopic insertion of an endobronchial valve .........................................................................................................................
MS–DRG 165—All cases ............................................................................................................
MS–DRG 165—Cases reporting a procedure for the endoscopic insertion of an endobronchial valve .........................................................................................................................
We found a total of 10,812 cases in
MS–DRG 163 with an average length of
stay of 11.6 days and average costs of
$33,433. Of those 10,812 cases, we
found 49 cases reporting a procedure for
the endoscopic insertion of an
endobronchial valve with an average
length of stay of 21.1 days and average
costs of $53,641. For MS–DRG 164, we
found a total of 14,800 cases with an
average length of stay of 5.6 days and
average costs of $18,202. Of those
14,800 cases, we found 23 cases
reporting a procedure for the
endoscopic insertion of an
endobronchial valve with an average
length of stay of 14 days and average
costs of $37,287. For MS–DRG 165, we
found a total of 7,907 cases with an
average length of stay of 3.3 days and
average costs of $13,408. Of those 7,907
cases, we found 3 cases reporting a
procedure for the endoscopic insertion
of an endobronchial valve with an
average length of stay of 18.3 days and
average costs of $39,249.
We also examined claims data to
identify any cases reporting any one of
the eight procedure codes listed in the
table above describing the endoscopic
insertion of an endobronchial valve
Average
length of stay
Average costs
10,812
11.6
$33,433
49
14,800
21.1
5.6
53,641
18,202
23
7,907
14
3.3
37,287
13,408
3
18.3
39,249
within MS–DRGs 166, 167, and 168
(Other Respiratory System O.R.
Procedures with MCC, with CC, and
without CC/MCC, respectively). Cases
reporting one of these procedure codes
would be assigned to MS–DRG 166, 167,
or 168 if at least one other procedure
that is designated as an O.R. procedure
and assigned to these MS–DRGs was
also reported on the claim. In addition,
MS–DRGs 166, 167, and 168 are the
other surgical MS–DRGs where cases
reporting a respiratory diagnosis within
MDC 4 would be assigned. Our findings
are shown in the following table.
MS–DRGS FOR OTHER RESPIRATORY SYSTEM O.R. PROCEDURES WITH ENDOSCOPIC INSERTION OF ENDOBRONCHIAL
VALVE
Number of
cases
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG 166—All cases ............................................................................................................
MS–DRG 166—Cases reporting a procedure for the endoscopic insertion of an endobronchial valve .........................................................................................................................
MS–DRG 167—All cases ............................................................................................................
MS–DRG 167—Cases reporting a procedure for the endoscopic insertion of an endobronchial valve .........................................................................................................................
MS–DRG 168—All cases ............................................................................................................
We found a total of 16,050 cases in
MS–DRG 166 with an average length of
stay of 10.6 days and average costs of
$26,645. Of those 16,050 cases, we
found 11 cases reporting a procedure for
the endoscopic insertion of an
endobronchial valve with an average
length of stay of 25.7 days and average
costs of $71,700. For MS–DRG 167, we
found a total of 8,165 cases with an
average length of stay of 5.3 days and
average costs of $13,687. Of those 8,165
cases, we found 4 cases reporting a
procedure for the endoscopic insertion
of an endobronchial valve with an
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17:51 May 02, 2019
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average length of stay of 10 days and
average costs of $28,847. For MS–DRG
168, we found a total of 2,430 cases with
an average length of stay of 2.8 days and
average costs of $9,645. Of those 2,430
cases, we did not find any cases
reporting a procedure for the
endoscopic insertion of an
endobronchial valve.
The results of our data analysis
indicate that cases reporting a procedure
for the endoscopic insertion of an
endobronchial valve in MS–DRGs 163,
164, 165, 166, and 167 have a longer
length of stay and higher average costs
PO 00000
Frm 00077
Fmt 4701
Sfmt 4702
Average
length of stay
Average costs
16,050
10.6
$26,645
11
8,165
25.7
5.3
71,700
13,687
4
2,430
10
2.8
28,847
9,645
when compared to all the cases in their
assigned MS–DRG. Because the data are
based on surgical MS–DRGs 163, 164,
165, 166 and 167, and the procedure
codes for endoscopic insertion of an
endobronchial valve are currently
designated as non-O.R. procedures,
there was at least one other O.R.
procedure reported on the claim
resulting in case assignment to one of
those MS–DRGs. Our clinical advisors
indicated that because there was
another O.R. procedure reported, the
insertion of the endobronchial valve
procedure may or may not have been
E:\FR\FM\03MYP2.SGM
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the main determinant of resource use for
those cases. Therefore, we conducted
further analysis to evaluate cases for
which no other O.R. procedure was
performed with the endoscopic
insertion of an endobronchial valve and
case assignment resulted in a medical
MS–DRG. Our findings are shown in the
following table.
MEDICAL MS–DRGS WITH INSERTION OF ENDOBRONCHIAL VALVE PROCEDURES
Number of
cases
amozie on DSK9F9SC42PROD with PROPOSALS2
MS–DRG
Average
length of stay
Average costs
MS–DRG 069 (Transient Ischemia without Thrombolytic) ..........................................................
MS–DRG 177 (Respiratory Infections and Inflammations with MCC) ........................................
MS–DRG 178 (Respiratory Infections and Inflammations with CC) ...........................................
MS–DRG 180 (Respiratory Neoplasms with MCC) ....................................................................
MS–DRG 181 (Respiratory Neoplasms with MCC) ....................................................................
MS–DRG 186 (Pleural Effusion with MCC) ................................................................................
MS–DRG 187 (Pleural Effusion with CC) ...................................................................................
MS–DRG 189 (Pulmonary Edema and Respiratory Failure) ......................................................
MS–DRG 190 (Chronic Obstructive Pulmonary Disease with MCC) .........................................
MS–DRG 191 (Chronic Obstructive Pulmonary Disease with CC) ............................................
MS–DRG 192 (Chronic Obstructive Pulmonary Disease without CC/MCC) ..............................
MS–DRG 193 (Simple Pneumonia and Pleurisy with MCC) ......................................................
MS–DRG 197 (Interstitial Lung Disease with CC) ......................................................................
MS–DRG 199 (Pneumothorax with MCC) ..................................................................................
MS–DRG 200 (Pneumothorax with CC) .....................................................................................
MS–DRG 201 (Pneumothorax without CC/MCC) .......................................................................
MS–DRG 205 (Other Respiratory System Diagnoses with MCC) ..............................................
MS–DRG 207 (Respiratory System Diagnosis with Ventilation Support >96 Hours or Peripheral Extracorporeal Membrane Oxygenation (ECMO)) ...........................................................
MS–DRG 208 (Respiratory System Diagnosis with Ventilation Support ™96 Hours or Peripheral Extracorporeal Membrane Oxygenation (ECMO)) ...........................................................
MS–DRG 815 (Reticuloendothelial and Immunity Disorders with CC) .......................................
MS–DRG 871 (Septicemia or Severe Sepsis without Mechanical Ventilation >96 Hours with
MCC) ........................................................................................................................................
MS–DRG 919 (Complications of Treatment with MCC) .............................................................
MS–DRG 920 (Complications of Treatment with CC) ................................................................
1
11
4
2
1
1
1
2
2
1
1
1
1
28
11
2
2
9
19.5
10.8
11.5
3
8
18
13.5
9
15
5
18
12
16.4
8.3
10
4.5
$26,002
33,877
20,109
19,273
12,641
23,609
49,214
65,431
39,925
55,958
10,394
27,182
11,458
38,384
20,764
20,243
10,851
4
20
67,299
8
1
13.6
5
32,533
17,379
3
2
1
15
5
5
39,706
36,143
14,923
Total ......................................................................................................................................
91
13.7
33,377
The data indicate that there is a wide
variation in the average length of stay
and average costs for cases reporting a
procedure for the endoscopic insertion
of an endobronchial valve, with volume
generally low across MS–DRGs. As
shown in the table, for several of the
medical MS–DRGs, there was only one
case reporting a procedure for the
endoscopic insertion of an
endobronchial valve. The highest
volume of cases reporting a procedure
for the endoscopic insertion of an
endobronchial valve was found in MS–
DRG 199 (Pneumothorax with MCC)
with a total of 28 cases with an average
length of stay of 16.4 days and average
costs of $38,384. The highest average
costs and longest average length of stay
for cases reporting a procedure for the
endoscopic insertion of an
endobronchial valve was $67,299 in
MS–DRG 207 (Respiratory System
Diagnosis with Ventilator Support >96
Hours or Peripheral Extracorporeal
Membrane Oxygenation (ECMO)) where
4 cases were found with an average
length of stay of 20 days. Overall, there
was a total of 91 cases reporting the
insertion of an endobronchial valve
procedure with an average length of stay
VerDate Sep<11>2014
17:51 May 02, 2019
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of 13.7 days and average costs of
$33,377 across the medical MS–DRGs.
Our clinical advisors agree that the
subset of patients who undergo
endoscopic insertion of an
endobronchial procedure are complex
and may have multiple comorbidities
such as severe underlying lung disease
that impact the hospital length of stay.
They also believe that, as we begin the
process of refining how procedure codes
may be classified under ICD–10–PCS,
including designation of a procedure as
O.R. or non-O.R., we should take into
consideration whether the procedure is
driving resource use for the admission.
(We refer the reader to section II.F.13.a.
of the preamble of this proposed rule for
the discussion of our plans to conduct
a comprehensive review of the ICD–10–
PCS procedure codes). Based on the
claims data analysis, which show a
wide variation in average costs for cases
reporting endoscopic insertion of an
endobronchial valve without an O.R.
procedure, our clinical advisors are not
convinced that endoscopic insertion of
an endobronchial valve is a key
contributing factor to the consumption
of resources as reflected in the data.
They also believe, in review of the
procedures that are currently assigned
PO 00000
Frm 00078
Fmt 4701
Sfmt 4702
to MS–DRGs 163, 164, 165, 166, 167,
and 168, that further refinement of these
MS–DRGs may be warranted. For these
reasons, at this time, our clinical
advisors do not support designating
endoscopic insertion of an
endobronchial valve as an O.R.
procedure, nor do they support
assignment of these procedures to MS–
DRGs 163, 164, and 165 until additional
analyses can be performed for this
subset of patients as part of the
comprehensive procedure code review.
For the reasons described above, we
are not proposing to change the current
non-O.R. designation of the eight ICD–
10–PCS procedure codes that describe
endoscopic insertion of an
endobronchial valve. However, because
we agree that endoscopic insertion of an
endobronchial valve procedures are
performed on clinically complex
patients, we believe it may be
appropriate to consider designating
these procedures as non-O.R. affecting
specific MS–DRGs for FY 2020.
Therefore, we are requesting public
comment on designating these
procedure codes as non-O.R. procedures
affecting the MS–DRG assignment,
including the specific MS–DRGs that
cases reporting the endoscopic insertion
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of an endobronchial valve should affect
for FY 2020. As noted, it is not clear
based on the claims data to what degree
the endoscopic insertion of an
endobronchial valve is a contributing
factor for the consumption of resources
for these clinically complex patients
and given the potential refinement that
may be needed for MS–DRGs 163, 164,
165, 166, 167, and 168, we are soliciting
comment on whether cases reporting the
endoscopic insertion of an
endobronchial valve should affect any
of these MS–DRGs or other MS–DRGs.
14. Proposed Changes to the MS–DRG
Diagnosis Codes for FY 2020
a. Background of the CC List and the CC
Exclusions List
Under the IPPS MS–DRG
classification system, we have
developed a standard list of diagnoses
that are considered CCs. Historically, we
developed this list using physician
panels that classified each diagnosis
code based on whether the diagnosis,
when present as a secondary condition,
would be considered a substantial
complication or comorbidity. A
substantial complication or comorbidity
was defined as a condition that, because
of its presence with a specific principal
diagnosis, would cause an increase in
the length-of-stay by at least 1 day in at
least 75 percent of the patients.
However, depending on the principal
diagnosis of the patient, some diagnoses
on the basic list of complications and
comorbidities may be excluded if they
are closely related to the principal
diagnosis. In FY 2008, we evaluated
amozie on DSK9F9SC42PROD with PROPOSALS2
Code
Diagnosis
17:51 May 02, 2019
b. Overview of Comprehensive CC/MCC
Analysis
In the FY 2008 IPPS/LTCH PPS final
rule (72 FR 47159), we described our
process for establishing three different
levels of CC severity into which we
would subdivide the diagnosis codes.
The categorization of diagnoses as an
MCC, a CC, or a non-CC was
accomplished using an iterative
approach in which each diagnosis was
evaluated to determine the extent to
which its presence as a secondary
diagnosis resulted in increased hospital
resource use. We refer readers to the FY
2008 IPPS/LTCH PPS final rule (72 FR
47159) for a complete discussion of our
approach. Since this comprehensive
analysis was completed for FY 2008, we
have evaluated diagnosis codes
individually when receiving requests to
change the severity level of specific
diagnosis codes. However, given the
transition to ICD–10–CM and the
significant changes that have occurred
to diagnosis codes since this review, we
believe it is necessary to conduct a
comprehensive analysis once again. We
have completed this analysis and we are
discussing our findings in this proposed
Cnt1
Count (Cnt) is the number of patients
in each subset and C1, C2, and C3 are
a measure of the impact on resource use
of patients in each of the subsets. The
C1, C2, and C3 values are a measure of
the ratio of average costs for patients
with these conditions to the expected
average cost across all cases. The C1
value reflects a patient with no other
secondary diagnosis or with all other
secondary diagnoses that are non-CCs.
The C2 value reflects a patient with at
least one other secondary diagnosis that
is a CC but none that is a major CC. The
C3 value reflects a patient with at least
one other secondary diagnosis that is a
major CC. A value close to 1.0 in the C1
field would suggest that the code
produces the same expected value as a
non-CC diagnosis. That is, average costs
for the case are similar to the expected
average costs for that subset and the
VerDate Sep<11>2014
each diagnosis code to determine its
impact on resource use and to
determine the most appropriate CC
subclassification (non-CC, CC, or MCC)
assignment. We refer readers to sections
II.D.2. and 3. of the preamble of the FY
2008 IPPS final rule with comment
period for a discussion of the refinement
of CCs in relation to the MS–DRGs we
adopted for FY 2008 (72 FR 47152
through 47171).
Jkt 247001
C1
Cnt2
Frm 00079
Fmt 4701
Sfmt 4702
Value
Meaning
0 ..........
Significantly below expected value
for the non-CC subgroup.
Approximately equal to expected
value for the non-CC subgroup.
Approximately equal to expected
value for the CC subgroup.
Approximately equal to expected
value for the MCC subgroup.
Significantly above the expected
value for the MCC subgroup.
1 ..........
2 ..........
3 ..........
4 ..........
Each diagnosis for which Medicare
data were available was evaluated to
determine its impact on resource use
and to determine the most appropriate
CC subclass (non-CC, CC, or MCC)
assignment. In order to make this
determination, the average cost for each
subset of cases was compared to the
expected cost for cases in that subset.
The following format was used to
evaluate each diagnosis:
C2
diagnosis is not expected to increase
resource usage. A higher value in the C1
(or C2 and C3) field suggests more
resource usage is associated with the
diagnosis and an increased likelihood
that it is more like a CC or major CC
than a non-CC. Thus, a value close to
2.0 suggests the condition is more like
a CC than a non-CC but not as
significant in resource usage as an MCC.
A value close to 3.0 suggests the
condition is expected to consume
resources more similar to an MCC than
a CC or non-CC. For example, a C1 value
of 1.8 for a secondary diagnosis means
that for the subset of patients who have
the secondary diagnosis and have either
no other secondary diagnosis present, or
all the other secondary diagnoses
present are non-CCs, the impact on
resource use of the secondary diagnoses
is greater than the expected value for a
PO 00000
rule. We used the same methodology
utilized in FY 2008 to conduct this
analysis, as described below.
For each secondary diagnosis, we
measured the impact in resource use for
the following three subsets of patients:
(1) Patients with no other secondary
diagnosis or with all other secondary
diagnoses that are non-CCs.
(2) Patients with at least one other
secondary diagnosis that is a CC but
none that is an MCC.
(3) Patients with at least one other
secondary diagnosis that is an MCC.
Numerical resource impact values
were assigned for each diagnosis as
follows:
Cnt3
C3
non-CC by an amount equal to 80
percent of the difference between the
expected value of a CC and a non-CC
(that is, the impact on resource use of
the secondary diagnosis is closer to a CC
than a non-CC).
These mathematical constructs are
used as guides in conjunction with the
judgment of our clinical advisors to
classify each secondary diagnosis
reviewed as an MCC, a CC, or a non-CC.
Our clinical advisors reviewed the
resource use impact reports and
suggested modifications to the initial CC
subclass assignments when clinically
appropriate.
c. Proposed Changes to Severity Levels
(1) Summary of Proposed Changes
The diagnosis codes for which we are
proposing a change in severity level
designation as a result of the analysis
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described in this proposed rule are
shown in Table 6P.1c. (which is
available via the internet on the CMS
website at: https://www.cms.hhs.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
index.html). Using the method
described above to perform our
comprehensive CC/MCC analysis, our
clinical advisors recommended a change
in the severity level designation for
1,492 ICD–10–CM diagnosis codes. As
shown in Table 6P.1c. associated with
this proposed rule, the proposed
changes to severity level resulting from
our comprehensive analysis would
move some diagnosis codes to a higher
severity level designation and other
diagnosis codes to a lower severity level
designation, as indicated in the two
columns which display CMS’ FY 2019
classification in column C and the
proposed changes for FY 2020 in
column D.
The table below shows the Version 36
ICD–10 MS–DRG categorization of
diagnosis codes by severity level.
The following table compares the
Version 36 ICD–10 MS–DRG CC list and
the proposed Version 37 ICD–10 MS–
DRG CC list. There are 17,772 diagnosis
codes on the Version 36 MCC/CC lists.
The proposed MCC/CC severity level
changes would reduce the number of
diagnosis codes on the MCC/CC lists to
CURRENT CATEGORIZATION OF CC
16,790 (3,099 + 13,691). Based on the
CODES
Version 36 MCC/CC lists, 81.5 percent
[Version 36]
of cases have at least one MCC/CC
present, using claims data from the
Number of
September 2018 update of the FY 2018
codes
MedPAR file. Based on the proposed
MCC ......................................
3,244 Version 37 MCC/CC lists, the percent of
CC .........................................
14,528 cases having at least one MCC/CC
Non-CC .................................
54,160 present would be reduced to 76.6
percent.
Total ...............................
71,932
COMPARISON OF CURRENT CC LIST AND PROPOSED CC LIST
Current CC
List
Codes designated as an MCC ................................................................................................................................
Percent of cases with one or more MCCs ..............................................................................................................
Average charge of cases with one or more MCCs .................................................................................................
Codes designated as a CC .....................................................................................................................................
Percent of cases with one or more CCs .................................................................................................................
Average charge of cases with one or more CCs ....................................................................................................
Codes designated as non-CC .................................................................................................................................
Percent of cases with no CC ...................................................................................................................................
Average charge of cases with no CCs ....................................................................................................................
Using the method described above to
perform our comprehensive analysis, we
are proposing to modify the Version 36
CC subclass assignments for 2.1 percent
3,244
41.0%
$16,439
14,528
40.5%
$10,332
54,160
18.5%
$9,885
Proposed CC
List
3,099
36.3%
$16,490
13,691
40.3%
$10,518
55,142
23.4%
$10,166
of the ICD–10–CM diagnosis codes, as
summarized in the table below.
PROPOSED MCC/CC SUBCLASS MODIFICATIONS
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Severity level—CC subclass
Version 36
severity level
number of
codes
Proposed
version 37
severity level
number of
codes
Percent
change
Proposed
version 37
change to
MCC subclass, number
of codes
Proposed
version 37
change to CC
subclass,
number of
codes
Proposed
Version 37
change to
non-CC subclass, number
of codes
MCC .........................................................
CC ............................................................
Non-CC ....................................................
3,244
14,528
54,160
3,099
13,691
55,142
¥4.5
¥5.8
1.8
N/A
8
0
136
N/A
183
17
1,148
N/A
Total ..................................................
71,932
71,932
N/A
8
319
1,166
As a result of these proposed changes,
of the 71,932 diagnosis codes included
in the analysis, the net result would be
a decrease of 145 (3,244–3,099) codes
designated as an MCC, a decrease of 837
(14,528¥13,691) codes designated as a
CC, and an increase of 982 (55,142–
54,160) codes designated as a non-CC.
(2) Illustrations of Proposed Severity
Level Changes
As noted above, based on our
comprehensive CC/MCC analysis as
described previously in this section, we
are proposing changes in the severity
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17:51 May 02, 2019
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level designations for 1,492 ICD–10–CM
diagnosis codes, and the specific
proposed changes to severity level
designations for those diagnosis codes
are shown in Table 6P.1.c. associated
with this proposed rule (which is
available via the internet on the CMS
website at: https://www.cms.hhs.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
index.html). Below we provide
illustrative examples of certain
categories of codes for which we are
proposing changes to the severity level
designations as a result of our
PO 00000
Frm 00080
Fmt 4701
Sfmt 4702
comprehensive analysis. As described
above, these proposals are based on
review of the data as well as
consideration of the clinical nature of
each of the secondary diagnoses and the
severity level of clinically similar
diagnoses. The first set of codes, from
the Neoplasms chapter, encompasses
more than half of all proposed severity
level changes. The additional examples
are from a variety of body systems and
conditions, and they are illustrative of
both proposed increases and proposed
decreases in severity level designation.
We note that we are making available a
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supplementary file containing the data
describing the impact on resource use
when reported as a secondary diagnosis
for all 1,492 ICD–10–CM diagnosis
codes for which we are proposing a
change in designation via the internet
on the CMS website at: https://
www.cms.hhs.gov/Medicare/MedicareFee-for-Service-Payment/
AcuteInpatientPPS/.
(a) Neoplasms Chapter Codes
Of the total number of ICD–10–CM
diagnosis codes for which we are
proposing a change of severity level
designation, 767 are from the
Neoplasms chapter of the ICD–10–CM
classification (C00–D49) and are
currently designated as a CC. We note
that the Neoplasms chapter contains a
total of 1,661 ICD–10–CM diagnosis
codes. In Version 36 of the MS–DRGs,
none of the 1,661 neoplasm codes are
designated as an MCC, 767 are
designated as a CC, and 894 are
designated as a non-CC. For all 767
codes currently designated as a CC, our
19237
clinical advisors recommended
changing the severity level designation
from CC to non-CC. The following table
presents examples of some of the
neoplasm codes for which we are
proposing a severity level change to
non-CC, and their impact on resource
use when reported as a secondary
diagnosis. As noted previously, the data
analysis for the remainder of these
neoplasm codes is included in the
supplementary file that we are making
available on the CMS website.
PROPOSED SEVERITY LEVEL CHANGES FOR NEOPLASM CODES AS SECONDARY DIAGNOSIS
ICD–10–CM diagnosis code
Cnt1
amozie on DSK9F9SC42PROD with PROPOSALS2
C20 (Malignant neoplasm of rectum).
C22.0 (Liver cell carcinoma) ...........
C25.0 (Malignant neoplasm of head
of pancreas).
C64.1 (Malignant neoplasm of right
kidney, except renal pelvis).
C64.2 (Malignant neoplasm of left
kidney, except renal pelvis).
C78.01 (Secondary malignant neoplasm of right lung).
C78.02 (Secondary malignant neoplasm of left lung).
C79.31 (Secondary malignant neoplasm of brain).
C79.51 (Secondary malignant neoplasm of bone).
C90.00 (Multiple myeloma not having achieved remission).
17:51 May 02, 2019
Cnt2
C2
Cnt3
Current CC
subclass
C3
Proposed CC
subclass
2,960
1.0485
7,561
2.2169
6,492
3.0790
CC ..................
Non-CC.
1,672
1,205
1.2289
1.1357
9,444
3,834
2.0638
2.1788
12,503
6,191
3.0914
3.0229
CC ..................
CC ..................
Non-CC.
Non-CC.
1,512
1.2276
4,463
2.1600
4,593
3.1158
CC ..................
Non-CC.
1,368
1.3407
4,517
2.1947
4,593
3.0947
CC ..................
Non-CC.
4,149
1.0417
14,946
2.0888
20,324
3.0043
CC ..................
Non-CC.
3,599
1.0078
13,456
2.0853
18,384
3.0024
CC ..................
Non-CC.
7,164
1.1895
22,989
2.1330
41,387
2.9116
CC ..................
Non-CC.
26,095
1.3048
88,022
2.2020
99,670
3.0449
CC ..................
Non-CC.
9,947
1.1588
34,155
2.2144
33,830
3.1281
CC ..................
Non-CC.
As described in section II.F.15.b. of
the preamble of this proposed rule, we
examined the impact in resource use for
three subsets of patients in order to
evaluate the severity level designations
for each secondary diagnosis. In the
table above, the C1 values are generally
close to 1, C2 values are generally close
to 2, and C3 values are generally close
to 3. As explained in section II.F.15.b.
of the preamble of this proposed rule,
these values suggest that when a
neoplasm is reported as a secondary
diagnosis, the resources involved in
caring for a patient with this condition
are more aligned with a non-CC severity
level than a CC severity level. Our
clinical advisors reviewed these data
and believe the resources involved in
caring for a patient with this condition
are more aligned with a non-CC severity
level. Our clinical advisors noted that
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C1
Jkt 247001
when a neoplasm is reported as a
secondary diagnosis, because it is not
the condition that occasioned the
patient’s admission to the hospital, it
does not significantly impact resource
use. Our clinical advisors noted that if
these patients are admitted for treatment
of the neoplasm, the neoplasm is the
principal diagnosis, and other
complicating or comorbid conditions
reported as secondary diagnoses would
determine the appropriate severity level
designation for each particular case. For
example, if a patient is admitted for
resection of malignant neoplasm of the
right kidney, ICD–10–CM diagnosis
code C64.1 (Malignant neoplasm of right
kidney, except renal pelvis) is reported
as the principal diagnosis, and any
complicating conditions reported as
secondary diagnoses during the hospital
PO 00000
Frm 00081
Fmt 4701
Sfmt 4702
stay would determine the appropriate
severity level designation for the case.
(b) Diseases of the Circulatory System
Chapter Codes
In the Diseases of the Circulatory
System chapter of the ICD–10–CM
diagnosis classification (I00–I99), based
on the results of our comprehensive
review, we are proposing to change the
severity level designation for 13 ICD–
10–CM diagnosis codes from categories
I21 (Acute myocardial infarction) and
I22 (Subsequent ST elevation (STEMI)
and non-ST elevation (NSTEMI)
myocardial infarction) from an MCC to
a CC.
The following table contains the ICD–
10–CM diagnosis codes for which we
are proposing a severity level change,
and their impact on resource use when
reported as a secondary diagnosis.
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PROPOSED SEVERITY LEVEL CHANGES FOR MYOCARDIAL INFARCTION CODES AS SECONDARY DIAGNOSIS
ICD–10–CM
diagnosis code
Cnt1
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I21.01 (ST elevation (STEMI) myocardial infarction involving left
main coronary artery).
I21.02 (ST elevation (STEMI) myocardial infarction involving left anterior descending coronary artery).
I21.09 (ST elevation (STEMI) myocardial infarction involving other
coronary artery of anterior wall).
I21.11 (ST elevation (STEMI) myocardial infarction involving right
coronary artery).
I21.19 (ST elevation (STEMI) myocardial infarction involving other
coronary artery of inferior wall).
I21.21 (ST elevation (STEMI) myocardial infarction involving left circumflex coronary artery).
I21.29 (ST elevation (STEMI) myocardial infarction involving other
sites).
I21.3 (ST elevation (STEMI) myocardial infarction of unspecified
site).
I22.0 (Subsequent ST elevation
(STEMI) myocardial infarction of
anterior wall).
I22.1 (Subsequent ST elevation
(STEMI) myocardial infarction of
inferior wall).
I22.2 (Subsequent non-ST elevation
(NSTEMI) myocardial infarction).
I22.8 (Subsequent ST elevation
(STEMI) myocardial infarction of
other sites).
I22.9 (Subsequent ST elevation
(STEMI) myocardial infarction of
unspecified site).
C1
17:51 May 02, 2019
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C2
Cnt3
Current CC
subclass
C3
Proposed CC
subclass
2
1.2010
17
2.9902
38
3.0195
MCC ...............
CC.
149
0.9326
322
1.6565
754
3.3157
MCC ...............
CC.
583
1.2201
1,288
2.2225
3,744
3.1094
MCC ...............
CC.
175
1.8486
326
2.0867
581
3.1141
MCC ...............
CC.
913
1.5054
1,940
2.2641
4,081
3.1996
MCC ...............
CC.
30
0.9445
56
2.4160
117
2.9965
MCC ...............
CC.
162
1.0143
417
2.2401
1,048
3.3341
MCC ...............
CC.
1,271
1.6587
3,876
2.2420
10,168
3.2432
MCC ...............
CC.
10
0.9199
74
1.2558
165
2.6794
MCC ...............
CC.
4
0.0000
81
1.6022
143
3.3056
MCC ...............
CC.
94
2.1034
352
2.1291
1,916
3.0157
MCC ...............
CC.
5
2.2963
18
2.0589
53
3.1306
MCC ...............
CC.
27
1.7140
87
1.8737
293
2.9627
MCC ...............
CC.
As shown in the table above, all of
these myocardial infarction codes are
currently assigned as MCCs. As
explained earlier, values close to 2.0 in
column C1 suggest that the condition is
more like a CC than a non-CC but not
as significant in resource usage as an
MCC. The C1 values for the secondary
diagnoses with the largest number of
cases in this subset in the table above,
ICD–10–CM codes I21.3 and I21.19, are
closer to 2.0 than to 1.0, indicating that
these secondary diagnoses are more
aligned with a CC than either a non-CC
or an MCC. Therefore, the data suggest
that for patients for whom any of the
myocardial infarction codes listed in the
table above is reported as a secondary
diagnosis, the resources involved in
their care are not aligned with those of
an MCC. Our clinical advisors reviewed
these data and believe that the resources
involved in caring for a patient with this
condition are aligned with a CC.
Patients with a secondary diagnosis of
myocardial infarction may require
additional diagnostic imaging,
VerDate Sep<11>2014
Cnt2
monitoring, medications, and additional
interventions, thereby consuming
resources that are consistent with CC
status. Our clinical advisors noted that
while, for certain codes, the number of
cases shown in the data may not be
sufficient to reliably indicate impact on
resource use as a secondary diagnosis,
these codes are clinically similar to
other codes for which the data are
sufficient to indicate impact on resource
use. Because our clinical advisors
believe that it is appropriate to ensure
consistency across codes describing
similar diagnoses, we are proposing to
reassign the severity level for all of the
codes in the table above from an MCC
to a CC.
(c) Diseases of the Skin and
Subcutaneous Tissue Chapter Codes
In the Diseases of the Skin and
Subcutaneous Tissue chapter of the
ICD–10–CM diagnosis classification
(L00–L99), based on the results of our
comprehensive review, we are
proposing a change to the severity level
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Frm 00082
Fmt 4701
Sfmt 4702
for 150 ICD–10–CM diagnosis codes
describing pressure ulcers. Pressure
ulcers, which are also known as
pressure injuries, involve damage to the
skin and soft tissue. They may result
from prolonged pressure over a bony
prominence or result from a medical
device. The ICD–10–CM classification
includes 150 diagnosis codes that
describe pressure ulcers across various
anatomical regions and across the
various possible stages (stages 1 through
4, unspecified stage, and unstageable).
These codes are listed in Table 6P.1.d.
associated with this proposed rule
(which is available via the internet on
the CMS website at: https://
www.cms.hhs.gov/Medicare/MedicareFee-for-Service-Payment/
AcuteInpatientPPS/). In the
course of our comprehensive review of
the CC/MCC lists, our clinical advisors
reviewed the current categorization of
pressure ulcers, which designate all
stage 3 and 4 pressure ulcers as MCCs,
while stage 1, stage 2, unspecified stage,
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and unstageable pressure ulcers are
currently designated as non-CCs.
Our clinical advisors reviewed data
on the relative contribution to the
overall cost of hospital care for all stages
of pressure ulcers coded as secondary
diagnoses, and found (1) that there was
little difference in the cost contribution
regardless of stage, and (2) the cost
contributions (cost weights) of all stages
supported a designation of CC rather
than MCC (for stage 3 and 4 ulcers), and
CC rather than non-CC (for stages 1, 2,
unspecified, and unstageable). Our
clinical advisors noted that the apparent
similar contribution of all pressure ulcer
stages can be explained by the fact that
pressure ulcers occur in patients with
serious underlying illness, such as
stroke, cancer, dementia, and end-stage
cardiac or pulmonary disease that can
result in multiple factors (frailty,
immobility, paralysis, malnutrition, and
general debility) that predispose them to
pressure ulcers. It is the serious
underlying illness and debilitated state
that causes the pressure ulcer that is the
primary driver of resource use.
Although a pressure ulcer at any stage
requires care and preventive measures
that make additional contributions to
the overall cost of care, our clinical
advisors believe that the fact that the
ulcer developed in the first place is
more important than the stage of the
ulcer itself in determining the impact on
the costs of hospitalization. The
presence of a pressure ulcer may
indicate an increase in resource use, but
that increase is similar regardless of the
stage of the ulcer.
The following table contains
illustrations of pressure ulcer codes and
their impact on resource use when
reported as a secondary diagnosis. We
selected secondary diagnosis codes
describing pressure ulcer of the sacrum
as examples because they account for
almost half of all instances of pressure
ulcers reported as secondary diagnoses,
but note that the data for the codes
describing pressure ulcer of other body
parts generally show a similar pattern.
As noted previously, the data analysis
for the remainder of the pressure ulcer
codes for which we are proposing a
change in severity level designation is
included in the supplementary file that
we are making available on the CMS
website.
PROPOSED SEVERITY LEVEL CHANGES FOR PRESSURE ULCER CODES AS SECONDARY DIAGNOSIS
ICD–10–CM
diagnosis code
amozie on DSK9F9SC42PROD with PROPOSALS2
L89.150 (Pressure ulcer of
region, unstageable).
L89.151 (Pressure ulcer of
region, stage 1).
L89.152 (Pressure ulcer of
region, stage 2).
L89.153 (Pressure ulcer of
region, stage 3).
L89.154 (Pressure ulcer of
region, stage 4).
L89.159 (Pressure ulcer of
region, unspecified stage).
Cnt1
Cnt2
C2
Cnt3
Current CC
subclass
C3
Proposed CC
subclass
sacral
605
2.003
6,247
2.560
24,047
3.254
Non-CC ..........
CC.
sacral
2,374
1.691
16,688
2.404
36,428
3.182
Non-CC ..........
CC.
sacral
4,238
1.737
35,608
2.497
95,832
3.274
Non-CC ..........
CC.
sacral
1,722
1.832
15,266
2.522
48,414
3.289
MCC ...............
CC.
sacral
1,237
1.755
14,306
2.438
56,619
3.196
MCC ...............
CC.
sacral
1,453
1.387
12,466
2.311
35,020
3.176
Non-CC ..........
CC.
As explained previously, a value in
column C1 that is close to 2.0 suggests
the condition is more like a CC than a
non-CC but not as significant in
resource usage as an MCC. Given that
the values in column C1 in the table
above are closer to 2.0 than to 1.0, the
data suggest that when pressure ulcers
of the sacral region are reported as a
secondary diagnosis, the resources
involved in caring for these patients are
more consistent with a CC than either a
non-CC or an MCC. Our clinical
advisors reviewed these data and
believe that it is appropriate to ensure
consistency across codes involving
similar diagnoses. Therefore, we are
proposing to designate as CCs both the
50 ICD–10–CM diagnosis codes that are
currently designated as MCCs and the
100 ICD–10–CM diagnosis codes
currently designated as non-CCs.
We note that, under the HospitalAcquired Condition (HAC) payment
provision established by section 5001(c)
of the Deficit Reduction Act (DRA) of
2005, hospitals no longer receive
additional payment for cases in which
one of the selected conditions occurred
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but was not present on admission
(POA). That is, the case is paid as
though the condition were not present.
The HAC–POA payment provision is
applicable for secondary diagnosis code
reporting only, as the selected
conditions are designated as a CC or an
MCC when reported as a secondary
diagnosis. For the DRA HAC–POA
payment provision, a payment
adjustment is only applicable if there
are no other CC/MCC conditions
reported on the claim. Currently, there
are 14 HAC categories subject to the
HAC–POA payment provision, one of
which is pressure ulcers. The pressure
ulcer HAC category (HAC 04)
specifically includes diagnosis codes
describing a stage 3 or stage 4 pressure
ulcer because they are designated as an
MCC, as noted earlier in this section. If
the proposed severity level designations
for the pressure ulcer diagnosis codes
are finalized, the 100 ICD–10–CM
diagnosis codes describing pressure
ulcers currently designated as non-CCs
would be subject to the HAC–POA
payment provision as CCs when
reported as a secondary diagnosis and
PO 00000
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not POA, effective beginning in FY
2020. The diagnosis codes describing a
stage 3 or stage 4 pressure ulcer would
continue to be subject to the HAC–POA
payment provision as CCs.
In addition, consistent with the
proposed changes to the severity level
designation of the pressure ulcer codes,
we are proposing to revise the title of
the HAC 04 category from ‘‘Pressure
Ulcer—Stages III & IV’’ to ‘‘Pressure
Ulcers’’. We refer readers to the website
at: https://www.cms.gov/Medicare/
Medicare-Fee-for-Service-Payment/
HospitalAcqCond/ for
additional information regarding the
HAC–POA payment provision under the
DRA.
(d) Diseases of the Genitourinary System
Chapter Codes
In the Diseases of the Genitourinary
System chapter of the ICD–10–CM
diagnosis classification (N00–N99),
based on the results of our
comprehensive analysis, we are
proposing to change the severity level
designation for eight ICD–10–CM
diagnosis codes. For these eight
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diagnosis codes, based on their clinical
judgment and for the reasons described
below, our clinical advisors
recommended that we increase the
severity level designation from a CC to
an MCC for one code, and from a nonCC to a CC for seven codes. The
following table contains the Diseases of
the Genitourinary System chapter codes
that describe conditions for which we
are proposing a severity level
designation change, and their impact on
resource use when reported as a
secondary diagnosis.
PROPOSED SEVERITY LEVEL CHANGES FOR GENITOURINARY CODES AS SECONDARY DIAGNOSIS
ICD–10–CM diagnosis code
N10 (Acute pyelonephritis) ..............
N18.4 (Chronic kidney disease,
stage 4 (severe)).
N18.5 (Chronic kidney disease,
stage 5).
N18.6 (End stage renal disease) ....
N30.00 (Acute cystitis without
hematuria).
N30.01 (Acute cystitis with hematuria).
N41.0 (Acute prostatitis) ..................
N76.4 (Abscess of vulva) ................
C2
Cnt3
C3
Proposed CC
subclass
C1
5,385
36,940
0.9639
1.0919
20,476
219,482
1.9444
2.0679
26,929
319,849
3.0413
3.0840
Non-CC ..........
Non-CC ..........
CC.
CC.
1,158
1.0303
30,851
2.0841
34,733
3.1508
Non-CC ..........
CC.
26,276
18,597
1.5755
1.0576
578,587
53,820
2.3010
1.9409
492,710
73,996
3.2761
2.8976
CC ..................
Non-CC ..........
MCC.
CC.
4,872
0.9503
16,949
1.8514
24,422
2.8070
Non-CC ..........
CC.
845
368
0.9519
0.8284
3,031
1,276
1.8163
2.0906
2,135
1,049
3.0450
3.1341
Non-CC ..........
Non-CC ..........
CC.
CC.
The C1, C2, and C3 values in the table
above are generally close to 1.0, 2.0, and
3.0, respectively, which would indicate
that these conditions are more aligned
with a non-CC than with either a CC or
an MCC. However, our clinical advisors
believe that patients with a secondary
diagnosis of one of the genitourinary
conditions in the table above may
consume additional resources,
including but not limited to monitoring
for hypertension, diagnostic tests, and
balancing electrolytes. Patients with
Cnt2
Current CC
subclass
Cnt1
end-stage renal disease (ICD–10–CM
code N18.6) would typically require
dialysis in addition to these resources,
which our clinical advisors believe is
more aligned with an MCC. Therefore,
we are proposing to change the severity
level designations for the eight codes as
shown in the table above.
classification, based on our
comprehensive analysis, we are
proposing to change the severity level
designation from CC to non-CC for 19
ICD–10–CM diagnosis codes that specify
fractures of the pubic bone. The
following table contains the diagnosis
codes for which we are proposing a
severity level designation change, and
their impact on resource use when
reported as a secondary diagnosis.
e. Injury, Poisoning and Certain Other
Consequences of External Causes
Chapter Codes
In subcategory S32.5 (Fracture of
pubis) of the ICD–10–CM diagnosis
PROPOSED SEVERITY LEVEL CHANGES, PUBIS FRACTURE CODES AS SECONDARY DIAGNOSIS
amozie on DSK9F9SC42PROD with PROPOSALS2
ICD–10–CM diagnosis code
Cnt1
S32.501A (Unspecified fracture of
right pubis, initial encounter for
closed fracture).
S32.501K (Unspecified fracture of
right pubis, subsequent encounter
for fracture with nonunion).
S32.502A (Unspecified fracture of
left pubis, initial encounter for
closed fracture).
S32.502K (Unspecified fracture of
left pubis, subsequent encounter
for fracture with nonunion).
S32.509A (Unspecified fracture of
unspecified pubis, initial encounter for closed fracture).
S32.509K (Unspecified fracture of
unspecified pubis, subsequent
encounter for fracture with nonunion).
S32.511A (Fracture of superior rim
of right pubis, initial encounter for
closed fracture).
S32.511K (Fracture of superior rim
of right pubis, subsequent encounter for fracture with nonunion).
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C1
Cnt2
C2
Cnt3
Current CC
subclass
C3
Proposed CC
subclass
393
1.0234
1,171
2.1215
847
3.0423
CC ..................
Non-CC.
1
1.5125
12
2.1144
2
1.8454
CC ..................
Non-CC.
398
1.3072
1,152
2.0593
914
3.0028
CC ..................
Non-CC.
3
0.0000
7
2.8723
1
0.7401
CC ..................
Non-CC.
49
1.1075
156
2.1066
154
3.1704
CC ..................
Non-CC.
0
0.0000
1
3.4022
1
2.1306
CC ..................
Non-CC.
743
1.1812
2,132
2.1519
1,504
2.8763
CC ..................
Non-CC.
2
2.0354
5
0.0000
4
2.3425
CC ..................
Non-CC.
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PROPOSED SEVERITY LEVEL CHANGES, PUBIS FRACTURE CODES AS SECONDARY DIAGNOSIS—Continued
ICD–10–CM diagnosis code
Cnt1
S32.512A (Fracture of superior rim
of left pubis, initial encounter for
closed fracture).
S32.512K (Fracture of superior rim
of left pubis, subsequent encounter for fracture with nonunion).
S32.519A (Fracture of superior rim
of unspecified pubis, initial encounter for closed fracture).
S32.519K (Fracture of superior rim
of unspecified pubis, subsequent
encounter for fracture with nonunion).
S32.591A (Other specified fracture
of right pubis, initial encounter for
closed fracture).
S32.591K (Other specified fracture
of right pubis, subsequent encounter for fracture with nonunion).
S32.592A (Other specified fracture
of left pubis, initial encounter for
closed fracture).
S32.592K (Other specified fracture
of left pubis, subsequent encounter for fracture with nonunion).
S32.599A (Other specified fracture
of unspecified pubis, initial encounter for closed fracture).
S32.599K (Other specified fracture
of unspecified pubis, subsequent
encounter for fracture with nonunion).
C1
Cnt2
C2
Cnt3
Current CC
subclass
C3
Proposed CC
subclass
760
1.5738
2,098
2.0828
1,590
2.9020
CC ..................
Non-CC.
3
2.1915
3
2.4812
8
4.0000
CC ..................
Non-CC.
15
2.6829
53
1.5795
35
2.9052
CC ..................
Non-CC.
0
0.000
0
0.000
0
0.000
CC ..................
Non-CC.
2,427
1.2524
6,513
2.0970
4,397
2.9930
CC ..................
Non-CC.
7
2.7706
15
1.9772
5
0.8969
CC ..................
Non-CC.
2,424
1.3691
6,604
2.0921
4,922
2.9428
CC ..................
Non-CC.
4
0.6970
24
2.5574
10
3.0015
CC ..................
Non-CC.
151
1.6748
457
2.0518
394
3.1844
CC ..................
Non-CC.
1
0.0000
0
0.0000
3
1.4709
CC ..................
Non-CC.
The C1, C2, and C3 values in the table
above are generally close to 1.0, 2.0, and
3.0, respectively, particularly for those
codes for which the highest number of
cases were reported. This indicates that
these conditions are more aligned with
a non-CC than with either a CC or an
MCC. Our clinical advisors reviewed
these data, particularly with respect to
ICD–10–CM diagnosis codes S32.591A
and S32.592A which account for the
majority of cases in this group, and
believe the resources involved in caring
for a patient with these conditions are
more aligned with a non-CC. Our
clinical advisors noted that, similar to
the proposed severity level designation
changes in the Neoplasms chapter of the
ICD–10–CM diagnosis classification
discussed above, if patients are admitted
for treatment of an acute or nonunion
fracture of the pubic bone, the fracture
is the principal diagnosis, and other
complicating or comorbid conditions
reported as secondary diagnoses would
determine the appropriate severity level
for each particular case. For example, if
a patient is admitted for surgical
treatment of the nonunion of a right
pubic fracture at the superior rim, ICD–
10–CM diagnosis code S32.511K
(Fracture of superior rim of right pubis,
subsequent encounter for fracture with
nonunion) is reported as the principal
diagnosis. Because our clinical advisors
believe that it is appropriate to ensure
consistency across codes involving
similar diagnoses, we are proposing to
reassign the severity level for all of the
codes in the table above from a CC to
a non-CC.
In category S72 (Fracture of femur) of
the ICD–10–CM classification, based on
our comprehensive analysis, we are
proposing to change the severity level
designation from MCC to CC for 35 ICD–
10–CM diagnosis codes specifying
fractures of the hip. The following table
contains the Injury, Poisoning and
Certain Other Consequences of External
Causes chapter codes for which we are
proposing a severity level change, and
their impact on resource use when
reported as a secondary diagnosis.
PROPOSED SEVERITY LEVEL CHANGES, HIP FRACTURE CODES AS SECONDARY DIAGNOSIS
amozie on DSK9F9SC42PROD with PROPOSALS2
ICD–10–CM diagnosis code
Cnt1
S72.011A
(Unspecified
intracapsular fracture of right
femur, initial encounter for closed
fracture).
S72.012A
(Unspecified
intracapsular fracture of left
femur, initial encounter for closed
fracture).
VerDate Sep<11>2014
17:51 May 02, 2019
Jkt 247001
C1
Cnt2
C2
Cnt3
Current CC
subclass
C3
Proposed CC
subclass
145
2.1400
464
2.3419
700
2.9623
MCC ...............
CC.
155
2.0099
455
2.2738
754
3.0423
MCC ...............
CC.
PO 00000
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PROPOSED SEVERITY LEVEL CHANGES, HIP FRACTURE CODES AS SECONDARY DIAGNOSIS—Continued
amozie on DSK9F9SC42PROD with PROPOSALS2
ICD–10–CM diagnosis code
Cnt1
S72.019A
(Unspecified
intracapsular fracture of unspecified femur, initial encounter for
closed fracture).
S72.111A (Displaced fracture of
greater trochanter of right femur,
initial encounter for closed fracture).
S72.112A (Displaced fracture of
greater trochanter of left femur,
initial encounter for closed fracture).
S72.113A (Displaced fracture of
greater trochanter of unspecified
femur, initial encounter for closed
fracture).
S72.114A (Nondisplaced fracture of
greater trochanter of right femur,
initial encounter for closed fracture).
S72.115A (Nondisplaced fracture of
greater trochanter of left femur,
initial encounter for closed fracture).
S72.116A (Nondisplaced fracture of
greater trochanter of unspecified
femur, initial encounter for closed
fracture).
S72.121A (Displaced fracture of
lesser trochanter of right femur,
initial encounter for closed fracture).
S72.122A (Displaced fracture of
lesser trochanter of left femur, initial encounter for closed fracture).
S72.123A (Displaced fracture of
lesser trochanter of unspecified
femur, initial encounter for closed
fracture).
S72.124A (Nondisplaced fracture of
lesser trochanter of right femur,
initial encounter for closed fracture).
S72.125A (Nondisplaced fracture of
lesser trochanter of left femur, initial encounter for closed fracture).
S72.126A (Nondisplaced fracture of
lesser trochanter of unspecified
femur, initial encounter for closed
fracture).
S72.131A (Displaced apophyseal
fracture of right femur, initial encounter for closed fracture).
S72.132A (Displaced apophyseal
fracture of left femur, initial encounter for closed fracture).
S72.134A
(Nondisplaced
apophyseal fracture of right
femur, initial encounter for closed
fracture).
S72.135A
(Nondisplaced
apophyseal fracture of left femur,
initial encounter for closed fracture).
S72.136A
(Nondisplaced
apophyseal fracture of unspecified femur, initial encounter for
closed fracture).
VerDate Sep<11>2014
17:51 May 02, 2019
Jkt 247001
C1
Cnt2
C2
Cnt3
Current CC
subclass
C3
Proposed CC
subclass
1
0.9364
4
1.0008
10
2.7267
MCC ...............
CC.
266
1.5110
605
2.2983
442
3.1874
MCC ...............
CC.
249
1.7779
573
2.4626
418
3.0108
MCC ...............
CC.
11
1.7739
21
2.9650
23
3.5762
MCC ...............
CC.
112
0.8826
339
2.1640
178
3.1028
MCC ...............
CC.
118
1.3960
288
2.0607
202
2.8640
MCC ...............
CC.
3
0.9472
8
1.3030
3
3.4270
MCC ...............
CC.
22
2.0288
74
3.1110
49
3.1174
MCC ...............
CC.
23
1.1648
75
2.9379
40
2.4430
MCC ...............
CC.
0
0.0000
2
0.0000
6
2.2881
MCC ...............
CC.
4
0.9792
19
2.4244
8
2.7792
MCC ...............
CC.
5
0.6759
13
1.2700
7
3.1292
MCC ...............
CC.
0
0.0000
0
0.0000
1
1.1159
MCC ...............
CC.
1
3.4327
0
0.0000
2
4.0000
MCC ...............
CC.
0
0.0000
1
2.6423
0
0.0000
MCC ...............
CC.
0
0.000
1
3.501
0
0.000
MCC ...............
CC.
0
0.000
0
0.000
0
0.000
MCC ...............
CC.
0
0.000
0
0.000
0
0.000
MCC ...............
CC.
PO 00000
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PROPOSED SEVERITY LEVEL CHANGES, HIP FRACTURE CODES AS SECONDARY DIAGNOSIS—Continued
ICD–10–CM diagnosis code
Cnt1
amozie on DSK9F9SC42PROD with PROPOSALS2
S72.141A
(Displaced
intertrochanteric fracture of right
femur, initial encounter for closed
fracture).
S72.142A
(Displaced
intertrochanteric fracture of left
femur, initial encounter for closed
fracture).
S72.143A
(Displaced
intertrochanteric fracture of unspecified femur, initial encounter
for closed fracture).
S72.144A
(Nondisplaced
intertrochanteric fracture of right
femur, initial encounter for closed
fracture).
S72.145A
(Nondisplaced
intertrochanteric fracture of left
femur, initial encounter for closed
fracture).
S72.146A
(Nondisplaced
intertrochanteric fracture of unspecified femur, initial encounter
for closed fracture).
S72.21XA
(Displaced
subtrochanteric fracture of right
femur, initial encounter for closed
fracture).
S72.22XA
(Displaced
subtrochanteric fracture of left
femur, initial encounter for closed
fracture).
S72.23XA
(Displaced
subtrochanteric fracture of unspecified femur, initial encounter
for closed fracture).
S72.24XA
(Nondisplaced
subtrochanteric fracture of right
femur, initial encounter for closed
fracture).
S72.25XA
(Nondisplaced
subtrochanteric fracture of left
femur, initial encounter for closed
fracture).
S72.26XA
(Nondisplaced
subtrochanteric fracture of unspecified femur, initial encounter
for closed fracture).
S72.301A (Unspecified fracture of
shaft of right femur, initial encounter for closed fracture).
S72.302A (Unspecified fracture of
shaft of left femur, initial encounter for closed fracture).
C1
17:51 May 02, 2019
Jkt 247001
C2
Cnt3
Current CC
subclass
C3
Proposed CC
subclass
289
2.2607
894
2.6329
1,293
3.1692
MCC ...............
CC.
347
2.2587
972
2.5641
1,405
3.1003
MCC ...............
CC.
10
2.3446
21
1.0169
35
3.3080
MCC ...............
CC.
44
1.7331
149
2.4637
168
3.1302
MCC ...............
CC.
39
1.9170
112
2.8435
170
3.2612
MCC ...............
CC.
0
0.0000
9
1.2250
2
0.0000
MCC ...............
CC.
57
1.7697
159
2.2460
205
3.1614
MCC ...............
CC.
70
2.3685
160
2.6079
184
3.2178
MCC ...............
CC.
0
0.0000
9
3.4708
6
3.3401
MCC ...............
CC.
12
0.5442
22
2.7275
11
3.6028
MCC ...............
CC.
13
1.7115
25
2.1005
17
3.1686
MCC ...............
CC.
0
0.0000
1
2.0474
0
0.0000
MCC ...............
CC.
61
2.3462
156
3.0491
159
3.5567
MCC ...............
CC.
71
2.6314
186
2.4838
157
3.4436
MCC ...............
CC.
As shown in the table above, all of
these secondary diagnoses are currently
designated as MCCs. The C2 values of
the codes most frequently reported,
ICD–10–CM codes S72.142A and
S72.141A, are closer to 3.0 than 2.0,
which indicates that they are more
clinically aligned with a CC than an
MCC. Therefore, the data suggest that
when fracture of the hip codes are
reported as a secondary diagnosis, the
resources involved in caring for patients
VerDate Sep<11>2014
Cnt2
with these conditions are more aligned
with a CC than an MCC. Our clinical
advisors reviewed these data and
believe the resources involved in caring
for patients with these conditions are
more aligned with a CC. While we note
that there is little to no data for some of
these ICD–10–CM codes as secondary
diagnoses, there is sufficient data for
clinically similar secondary diagnoses.
Therefore, because our clinical advisors
believe that it is appropriate to ensure
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Fmt 4701
Sfmt 4702
consistency across codes involving
similar diagnoses, we are proposing to
reassign the severity level for all of the
codes in the table above from an MCC
to a CC.
(f) Factors Influencing Health Status and
Contact With Health Services
The last chapter of the ICD–10–CM
classification specifies other factors that
influence a patient’s health status or
necessitate contact with health care
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providers (Z00–Z99). Of these ICD–10–
CM codes, based on our comprehensive
review, we are proposing to change the
severity level designation from non-CC
to CC for four codes specifying antimicrobial drug resistance and one code
specifying homelessness. Based on this
same review, we also are proposing to
change the severity level designation
from CC to non-CC for 3 ICD–10–CM
codes specifying adult body mass index
(BMI) ranges and 13 ICD–10–CM codes
indicating that the patient has
previously undergone an organ
transplant or cardiac device
implantation with no current
complications (the code indicates status
only).
The following table contains the five
codes for which we are proposing a
severity level change from non-CC to CC
and their impact on resource use when
reported as a secondary diagnosis.
PROPOSED SEVERITY LEVEL CHANGES FOR Z CHAPTER CODES AS SECONDARY DIAGNOSIS
ICD–10–CM diagnosis code
Cnt1
Z16.12 (Extended spectrum beta
lactamase (ESBL) resistance).
Z16.21 (Resistance to vancomycin)
Z16.24 (Resistance to multiple antibiotics).
Z16.39 (Resistance to other specified antimicrobial drug).
Z59.0 (Homelessness) ....................
Current CC
subclass
Proposed CC
subclass
C1
Cnt2
C2
Cnt3
C3
3,082
2.1134
19,692
2.5995
25,544
3.1752
Non-CC ..........
CC.
692
2,970
2.1507
1.5821
6,733
16,097
2.8659
2.4086
11,672
20,738
3.3365
3.1174
Non-CC ..........
Non-CC ..........
CC.
CC.
448
1.2003
2,326
2.2555
2,494
3.1127
Non-CC ..........
CC.
14,927
1.5964
41,328
2.3012
22,101
3.1256
Non-CC ..........
CC.
As indicated above, a value close to
2.0 in column C1 suggests that the
secondary diagnosis is more aligned
with a CC than a non-CC. Because the
C1 values in the table above are
generally close to 2, the data suggest
that when these five Z chapter diagnosis
codes are reported as a secondary
diagnosis, the resources involved in
caring for a patient with other factors
such as homelessness support
increasing the severity level from a nonCC to a CC. Our clinical advisors
reviewed these data and believe the
resources involved in caring for patients
with these other reported factors are
more aligned with a CC.
While we note that ICD–10–CM
diagnosis code Z16.39 does not follow
this pattern, our clinical advisors
believe that this code is clinically
similar to the other diagnoses in the
table above describing anti-microbial
drug resistance. Therefore, because our
clinical advisors believe that it is
appropriate to ensure consistency across
codes involving similar diagnoses, we
are proposing to reassign the severity
level for all four of the codes specifying
anti-microbial drug resistance in the
table above from a non-CC to a CC.
The following table contains the 14
BMI and transplant/cardiac device
status codes for which we are proposing
a severity level designation change from
CC to non-CC, and their impact on
resource use when reported as a
secondary diagnosis.
PROPOSED SEVERITY LEVEL CHANGES FOR Z CHAPTER BMI AND TRANSPLANT/CARDIAC DEVICE STATUS CODES AS
SECONDARY DIAGNOSIS
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ICD–10–CM diagnosis code
Z68.1 (Body mass index (BMI) 19.9
or less, adult).
Z68.41 (Body mass index (BMI)
40.0–44.9, adult).
Z68.42 (Body mass index (BMI)
45.0–49.9, adult).
Z94.0 (Kidney transplant status) .....
Z94.1 (Heart transplant status) .......
Z94.2 (Lung transplant status) ........
Z94.3 (Heart and lungs transplant
status).
Z94.4 (Liver transplant status) ........
Z94.81 (Bone marrow transplant
status).
Z94.82 (Intestine transplant status)
Z94.83 (Pancreas transplant status)
Z94.84 (Stem cells transplant status).
Z95.811 (Presence of heart assist
device).
Z95.812
(Presence
of
fully
implantable artificial heart).
VerDate Sep<11>2014
17:51 May 02, 2019
18,983
1.1170
244,156
2.2082
350,731
3.0733
CC ..................
Non-CC.
139,420
1.1139
209,300
2.0752
213,929
3.0814
CC ..................
Non-CC.
60,408
1.1643
102,897
2.0783
109,928
3.0867
CC ..................
Non-CC.
18,649
2,311
1,461
20
1.0277
1.0649
1.0886
0.8287
70,484
8,138
5,032
88
2.0573
2.2471
2.1898
3.0647
45,382
5,037
3,466
59
3.1032
3.2653
3.1285
3.1675
CC
CC
CC
CC
..................
..................
..................
..................
Non-CC.
Non-CC.
Non-CC.
Non-CC.
6,050
1,655
0.9811
0.9778
17,556
5,447
2.0323
2.0919
12,970
5,150
3.1688
3.1918
CC ..................
CC ..................
Non-CC.
Non-CC.
119
1,789
3,083
1.5661
1.2032
1.1451
351
7,788
10,412
2.1844
2.0739
2.3041
230
4,536
8,835
3.2081
3.1381
3.2932
CC ..................
CC ..................
CC ..................
Non-CC.
Non-CC.
Non-CC.
1,053
1.6453
7,373
2.3089
5,974
3.1198
CC ..................
Non-CC.
45
2.0467
132
2.5603
142
2.4139
CC ..................
Non-CC.
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C2
Sfmt 4702
Cnt3
C3
Proposed CC
subclass
C1
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Cnt2
Current CC
subclass
Cnt1
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The C1, C2, and C3 values in the table
above are generally close to 1.0, 2.0, and
3.0, respectively. This indicates that
these conditions are more aligned with
a non-CC than with either a CC or an
MCC. Therefore, the data suggest that
when these BMI and transplant/cardiac
device status codes are reported as a
secondary diagnosis, the resources
involved in caring for patients with
these conditions indicating health status
are not aligned with those of a CC. Our
clinical advisors reviewed these data
and believe the resources involved in
caring for patients with these conditions
indicating health status are more
aligned with a non-CC. Our clinical
advisors noted that, in the absence of a
diagnosis that represents a complication
of the patient’s current status, the
presence of a BMI within a stated range
or the fact that a patient has previously
undergone a transplant or cardiac
device implant is not by itself a clinical
indication of increased severity of
illness. Therefore, we are proposing to
reassign the severity level for all of the
codes in the table above from a CC to
a non-CC.
(3) Results of Impact Analysis
Using claims data from the September
2018 update of the FY 2018 MedPAR
file, we employed the following method
to determine the impact of changing
severity level designation for the 1,492
ICD–10–CM diagnosis codes. Edits and
cost estimations used for relative weight
calculations were applied, resulting in
8,908,404 IPPS claims analyzed for this
impact evaluation of our proposed
changes to severity levels. We refer
readers to section II.G. of the preamble
of this proposed rule for further
information regarding the methodology
for calculation of the proposed relative
weights.
First, we analyzed the 8,908,404 IPPS
claims using the Version 36 ICD–10
MS–DRG GROUPER to determine the
current distribution of severity level
designation. We identified 3,648,331
cases (41.0 percent) reporting one or
more secondary diagnosis codes
assigned to the MCC severity level,
3,612,600 cases (40.5 percent) reporting
one or more secondary diagnosis codes
assigned to the CC severity level, and
1,647,473 cases (18.5 percent) not
reporting a secondary diagnosis code
assigned to the MCC or CC severity
level.
Next, we reprocessed the 8,908,404
claims using the proposed change in
severity level designation for the 1,492
ICD–10–CM diagnosis codes to
determine the impact on the
distribution of severity level
designation. We identified 3,236,493
cases (36.3 percent) reporting one or
more secondary diagnosis codes that
would be assigned to the MCC severity
level, 3,589,677 cases (40.3 percent)
reporting one or more secondary
diagnosis codes that would be assigned
to the CC severity level, and 2,082,234
cases (23.4 percent) not reporting a
secondary diagnosis code that would be
assigned to the MCC or CC severity
level.
Below we provide a summary of the
steps followed for the analysis
performed.
Step 1.—Analyzed 8,908,404 claims
to determine the current distribution of
severity level designation.
SEVERITY LEVEL DISTRIBUTION BEFORE PROPOSED CHANGES—8,908,404 CLAIMS ANALYZED
Number of cases reporting one or more secondary diagnosis codes assigned to the MCC severity level ............
Number of cases reporting one or more secondary diagnosis codes assigned to the CC severity level ...............
Number of cases reporting no secondary diagnosis codes assigned to the MCC or CC severity level .................
3,648,331 (41.0%)
3,612,600 (40.5%)
1,647,473 (18.5%)
Step 2.—Made proposed severity level
changes to 1,492 ICD–10–CM codes.
STEP 2—MADE PROPOSED SEVERITY LEVEL CHANGES TO 1,492 ICD–10–CM CODES.
Number of
codes
Current version 36 severity level
Proposed version 37 severity level
Non-CC ...............................................................................................................................................
CC .......................................................................................................................................................
CC .......................................................................................................................................................
MCC ....................................................................................................................................................
MCC ....................................................................................................................................................
CC .......................................................................
Non-CC ................................................................
MCC ....................................................................
Non-CC ................................................................
CC .......................................................................
183
1,148
8
17
136
Total .............................................................................................................................................
..............................................................................
1,492
Step 3.—Reprocessed 8,908,404
claims to determine severity level
distribution after changes.
SEVERITY LEVEL DISTRIBUTION AFTER PROPOSED CHANGES—8,908,404 CLAIMS ANALYZED
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Number of cases reporting one or more secondary diagnosis codes assigned to the MCC severity level ............
Number of cases reporting one or more secondary diagnosis codes assigned to the CC severity level ...............
Number of cases reporting no secondary diagnosis codes assigned to the MCC or CC severity level .................
The overall statistics by CC subgroup
for the proposed Version 37 MS–DRGs
are contained in the table below. Cases
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17:51 May 02, 2019
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in the MCC subgroup have average costs
that are 62 percent higher than the
average costs for cases in the CC
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Fmt 4701
Sfmt 4702
3,236,493 (36.3%)
3,589,677 (40.3%)
2,082,234 (23.4%)
subgroup. The CC subgroup with the
largest number of cases is the CC
subgroup with 40.3 percent of the cases.
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OVERALL STATISTICS FOR PROPOSED MS–DRGS
Number of
cases
CC subgroup
Major ............................................................................................................................................
CC ................................................................................................................................................
Non-CC ........................................................................................................................................
The distribution of cases across the
different types of CC subgroups in the
proposed Version 37 MS–DRGs is
contained in the table below. The table
shows that 91 percent of the cases
would be assigned to base MS–DRGs
with three CC subgroups, and only 9
percent of the cases would be assigned
Percent
3,236,493
3,589,677
2,082,234
Average costs
36.3
40.3
23.4
$16,890
10,518
10,166
to base MS–DRGs with no CC
subgroups.
DISTRIBUTION OF PATIENT BY TYPE OF CC SUBGROUP IN PROPOSED VERSION 37 MS–DRGS
CC subgroup
Percent
None ........................................................................................................................................................................
(MCC and CC), Non-CC ..........................................................................................................................................
MCC, (CC and Non-CC) ..........................................................................................................................................
MCC, CC, and Non-CC ...........................................................................................................................................
68
84
132
477
9
11
17
63
Total ..................................................................................................................................................................
761
........................
We performed regression analysis to
compare the variance in the MS–DRGs
with and without the proposed severity
level designation changes and thereby
the impact of payment to cost ratios.
The results of the regression analysis
showed a slight decrease in variance
with the proposed severity level
designation changes, showing an Rsquared of 35.9 percent after making the
severity level changes, compared with
an R-squared of 35.6 percent in the
current Version 36 ICD–10 MS–DRG
GROUPER. This indicates that the
proposed severity level changes increase
the explanatory power of the GROUPER
ICD–10–CM diagnosis code
17:51 May 02, 2019
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C1
92
183
For ICD–10–CM diagnosis code
I50.811, the data suggest that the
resources involved in caring for a
patient with this condition are 33
percent greater than expected when the
patient has either no other secondary
diagnosis present, or all the other
secondary diagnoses present are nonCCs. The resources are 54 percent
greater than expected when reported in
conjunction with another secondary
diagnosis that is a CC, and 19 percent
greater than expected when reported in
conjunction with another secondary
diagnosis code that is an MCC. Our
VerDate Sep<11>2014
in capturing differences in expected cost
between the MS–DRGs and thus would
improve the overall accuracy of the IPPS
payment system.
After considering the results of our
data analysis, the clinical judgment of
our clinical advisors, and the overall
aggregate impact of these changes, we
are proposing a change to the severity
level designations for 1,492 ICD–10–CM
diagnosis codes as shown in Table
6P.1c. associated with this proposed
rule (which is available via the internet
on the CMS website at: https://
www.cms.hhs.gov/Medicare/MedicareFee-for-Service-Payment/
AcuteInpatientPPS/.)
Cnt1
I50.811 Acute right heart failure ......
I50.813 Acute on chronic right heart
failure.
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Number
1.3290
1.4412
Cnt2
470
1,189
C2
Cnt3
2.5375
2.6036
1,632
3,099
clinical advisors reviewed this request
and agree that the resources involved in
caring for a patient with this condition
are not aligned with those of an MCC.
For ICD–10–CM diagnosis code
I50.813, the data suggest that the
resources involved in caring for a
patient with this condition are 44
percent greater than expected when the
patient has either no other secondary
diagnosis present or all the other
secondary diagnoses present are nonCCs. The resources are 60 percent
greater than expected when reported in
conjunction with another secondary
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Fmt 4701
Sfmt 4702
d. Requested Changes to Severity Levels
(1) Acute Right Heart Failure
We received a request to change the
severity level for ICD–10–CM diagnosis
codes I50.811 (Acute right heart failure)
and I50.813 (Acute on chronic right
heart failure) from a non-CC to an MCC.
The requestor stated that similar
diagnosis codes in the classification are
designated as an MCC. We used the
approach outlined earlier in this section
to evaluate this request. The following
table shows the claims data that were
used to evaluate this request:
Current CC
subclass
C3
3.1907
3.2870
non-CC ..........
non-CC ..........
Requested CC
subclass
MCC.
MCC.
diagnosis that is a CC, and 28 percent
greater than expected when reported in
conjunction with another secondary
diagnosis code that is an MCC. Our
clinical advisors reviewed this request
and agree that the resources involved in
caring for a patient with this condition
are not aligned with those of an MCC.
However, we note that although the
data suggest that the resources involved
in caring for a patient with this
condition are not aligned with those of
an MCC, the data suggest and our
clinical advisors believe that the
resources appear to be aligned with
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those of a CC. Therefore, we are
soliciting public comment on whether a
CC severity level designation for ICD–
10–CM diagnosis codes I50.811 and
I50.813 for FY 2020 is appropriate.
ICD–10–CM diagnosis code
(2) Chronic Right Heart Failure
We received a request to change the
severity level for ICD–10–CM diagnosis
code I50.812 (Chronic right heart
failure) from a non-CC to a CC. The
requestor stated that this code warrants
Cnt1
I50.812 Chronic right heart failure ..
C1
179
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17:51 May 02, 2019
Jkt 247001
2.1146
1,758
C1
Cnt2
C2
Cnt3
Current CC
subclass
C3
3.0549
non-CC ..........
Requested CC
subclass
CC.
codes K70.11 (Alcoholic hepatitis with
ascites), K70.31 (Alcoholic cirrhosis
with ascites), and K71.51 (Toxic liver
disease with chronic active hepatitis
with ascites) from a non-CC to a CC. The
requestor stated that these codes
warrant CC classification because
providers are not currently compensated
for the ascites treatment. We used the
approach outlined earlier to evaluate
this request. The following table
contains the data that we used to
evaluate this request.
Current CC
subclass
C3
Requested CC
subclass
134
1.2952
1,940
2.3444
3,331
3.3635
non-CC ..........
CC.
1,634
1.1129
18,675
2.2301
26,822
3.2479
non-CC ..........
CC.
16
0.8913
218
2.1743
274
3.1418
non-CC ..........
CC.
For ICD–10–CM diagnosis code
K70.11, the data suggest that the
resources involved in caring for a
patient with this condition are 29
percent greater than expected when the
patient has either no other secondary
diagnosis present or all the other
secondary diagnoses present are nonCCs. The resources are 34 percent
greater than expected when reported in
conjunction with another secondary
diagnosis that is a CC, and 36 percent
greater than expected when reported in
conjunction with another secondary
diagnosis code that is an MCC. Our
clinical advisors reviewed this request
and agree that the resources involved in
caring for a patient with this condition
are not aligned with those of a CC.
Therefore, we are not proposing a
change to the severity level for ICD–10–
CM diagnosis code K70.11.
For ICD–10–CM diagnosis code
K70.31, the data suggest that the
resources involved in caring for a
VerDate Sep<11>2014
Cnt3
(3) Ascites in Alcoholic Liver Disease
and Toxic Liver Disease
We received a request to change the
severity level for ICD–10–CM diagnosis
Cnt1
K70.11 Alcoholic hepatitis with ascites.
K70.31 Alcoholic cirrhosis with ascites.
K71.51 Toxic liver disease with
chronic active hepatitis with ascites.
1,533
C2
conjunction with another secondary
diagnosis code that is an MCC. Our
clinical advisors reviewed this request
and agree that the resources involved in
caring for a patient with this condition
are not aligned with those of a CC.
Therefore, we are not proposing a
change to the severity level for ICD–10–
CM diagnosis code I50.812.
For ICD–10–CM diagnosis code
I50.812, the data suggest that the
resources involved in caring for a
patient with this condition are 51
percent greater than expected when the
patient has either no other secondary
diagnosis present or all the other
secondary diagnoses present are nonCCs. The resources are 11 percent
greater than expected when reported in
conjunction with another secondary
diagnosis that is a CC, and 5 percent
greater than expected when reported in
ICD–10–CM diagnosis code
1.5114
Cnt2
CC classification because it indicates the
presence and treatment of chronic heart
failure. We used the approach outlined
earlier to evaluate this request. The
following table contains the data that we
used to evaluate this request:
patient with this condition are 11
percent greater than expected when the
patient has either no other secondary
diagnosis present or all the other
secondary diagnoses present are nonCCs. The resources are 23 percent
greater than expected when reported in
conjunction with another secondary
diagnosis that is a CC, and 25 percent
greater than expected when reported in
conjunction with another secondary
diagnosis code that is an MCC. Our
clinical advisors reviewed this request
and agree that the resources involved in
caring for a patient with this condition
are not aligned with those of a CC.
Therefore, we are not proposing a
change to the severity level for ICD–10–
CM diagnosis code K70.31.
For ICD–10–CM diagnosis code
K71.51, the data suggest that the
resources involved in caring for a
patient with this condition are 11
percent lower than expected when the
patient has either no other secondary
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Fmt 4701
Sfmt 4702
diagnosis present, or all the other
secondary diagnoses present are nonCCs. The resources are 17 percent
greater than expected when reported in
conjunction with another secondary
diagnosis that is a CC, and 14 percent
greater than expected when reported in
conjunction with another secondary
diagnosis code that is an MCC. Our
clinical advisors reviewed this request
and agree that the resources involved in
caring for a patient with this condition
are not aligned with those of a CC.
Therefore, we are not proposing a
change to the severity level for ICD–10–
CM diagnosis code K71.51.
(4) Factitious Disorder Imposed on Self
We received a request to change the
severity level for ICD–10–CM diagnosis
codes F68.11 (Factitious disorder
imposed on self, with predominantly
psychological signs and symptoms) and
F68.13 (Factitious disorder imposed on
self, with combined psychological and
physical signs and symptoms) from a
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non-CC to a CC. The requestor stated
that similar codes in the classification
are designated as a CC. We used the
approach outlined earlier to evaluate
this request. The following table
ICD–10–CM diagnosis code
Cnt1
F68.11 Factitious disorder imposed on self, with
predominantly psychological signs and symptoms.
F68.13 Factitious disorder imposed on self, with
combined psychological and physical signs and
symptoms.
For ICD–10–CM diagnosis code
F68.11, the number of patients found in
the September 2018 update of the FY
2018 MedPAR data in each of the
subsets is 16, 59, and 15, and for ICD–
10–CM diagnosis code F68.13, the
number of patients in each of the
subsets is 4, 32, and 11. Our clinical
advisors reviewed this request and
believe that due to the small number of
cases in the data, it is not possible to use
statistical methods to evaluate the
impact on resource use of patients. Our
clinical advisors also do not believe
there is a clinical basis to change the
severity level in the absence of data. Our
clinical advisors noted that if a patient
was diagnosed with either one of these
ICD–10–CM diagnoses (ICM–10–CM
diagnosis code F68.11 or F68.13), there
would more than likely be another
diagnosis code reported that identifies
the psychological and/or physical
symptoms the patient is experiencing
that may be a better indicator of
resources utilized because these patients
often fabricate their illness and inflict
injuries on themselves to receive
attention. For example, a patient may
cut his or her finger, resulting in a
wound which requires repair. It is the
cut and need for repair that contribute
to the resources consumed in caring for
a patient with this diagnosis. Therefore,
we are not proposing a change to the
severity level for ICD–10–CM diagnosis
codes F68.11 and F68.13 at this time.
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(5) Nonunion and Malunion of Physeal
Metatarsal Fractures
We received a request to change the
severity level designations for the
following six ICD–10–CM diagnosis
codes from a non-CC to a CC: S99.101B
(Unspecified physeal fracture of right
metatarsal, initial encounter for open
fracture); S99.101K (Unspecified
physeal fracture of right metatarsal,
subsequent encounter for fracture);
S99.101P (Unspecified physeal fracture
of right metatarsal, subsequent
encounter for fracture with malunion);
S99.132B (Salter-Harris Type III physeal
fracture of left metatarsal, initial
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17:51 May 02, 2019
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C1
Cnt2
C2
contains the data that we used to
evaluate this request.
Cnt3
Requested CC
subclass
16
1.2040
59
0.9979
15
3.2395
non-CC ..............
CC.
4
1.6226
32
1.9840
11
4.0000
non-CC ..............
CC.
encounter for open fracture), S99.132K
(Salter-Harris Type III physeal fracture
of left metatarsal, subsequent encounter
for fracture with nonunion); and
S99.132P (Salter-Harris Type III physeal
fracture of left metatarsal, subsequent
encounter for fracture with malunion
with nonunion). The requestor stated
that similar codes for open fractures,
nonunions, and malunions of other sites
currently are designated as CCs.
However the requestor did not provide
the specific ICD–10–CM diagnosis codes
that are currently designated as CCs that
the requestor believes are an appropriate
comparator. There are a considerable
number of fractures, nonunions, and
malunions of other sites, some of which
are designated as CCs and others that
are not. In particular, in evaluating this
request, we would want to review the
appropriateness of designating
unspecified codes (that is, ICD–10–CM
diagnosis codes S99.101B, S99.101K,
and S99.101P) as a CC, to avoid
potentially discouraging more detailed
coding. In addition, none of the other
ICD–10–CM diagnosis codes describing
Salter-Harris fractures (for example,
ICD–10–CM diagnosis codes in subsubcategory S99.11– (Salter-Harris Type
I physeal fracture of metatarsal),
S99.12– (Salter-Harris Type II physeal
fracture of metatarsal), S99.13– (SalterHarris Type III physeal fracture of
metatarsal), and S99.14– (Salter-Harris
Type IV physeal fracture of metatarsal))
currently have a CC designation.
Given the lack of supporting
information for this request and because
we believe this request may require
further research and analysis to evaluate
the relevant category of fracture codes
and fully assess the claims data, we are
unable to fully evaluate this request for
FY 2020. Therefore, at this time, we are
not proposing changes to the severity
level designations for ICD–10–CM
diagnosis codes S99.101B, S99.101K,
S99.101P, S99.132B, S99.132K, and
S99.132P as the requestor
recommended.
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subclass
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(6) Other Encephalopathy
In the FY 2019 IPPS/LTCH PPS
proposed rule (83 FR 20241), we
discussed a request that we had
received to change the severity level
designation for ICD–10–CM diagnosis
code G93.40 (Encephalopathy,
unspecified) from an MCC to a non-CC.
We did not propose a change based on
the review of the claims data and input
from our clinical advisors. However,
after a review of public comments in
response to that proposal, we finalized
a change in the severity level
designation for ICD–10–CM diagnosis
code G93.40 from an MCC to a CC (83
FR 41239).
We received a request to reconsider
the change in the severity level
designation for ICD–10–CM diagnosis
code G93.49 (Other encephalopathy)
from an MCC to a CC, as reflected in
Table 6I.2—Deletions to the MCC List
and Table 6J.—Complete CC List that
were associated with the FY 2019 IPPS/
LTCH PPS final rule, because the
requestor noted this diagnosis code was
not discussed in the FY 2019 IPPS/
LTCH PPS proposed or final rules along
with the discussion of related ICD–10–
CM diagnosis code G93.40. The
requestor stated that diagnosis code
G93.49 warrants an MCC classification
to accurately reflect severity of illness
and resources contributing to an
extended length of stay for patients who
have this condition.
Our clinical advisors reviewed the
data for ICD–10–CM diagnosis code
G93.49 (Other encephalopathy) as set
forth in the table below, and noted that
the C1 value is close to 2.0, which
indicates that the resource use is aligned
with that of a CC, while the C2 value is
about halfway between 2.0 and 3.0,
which is also consistent with the
resource use of a CC. They also
compared the C1, C2, and C3 values of
diagnosis code G93.49 to those of
diagnosis code G93.40, as also set forth
in the table below, and noted that the
values were similar for both codes. Our
clinical advisors noted that similar to
diagnosis code G93.40, diagnosis code
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G93.49 (Other encephalopathy) is
poorly defined, not all encephalopathies
are MCCs, and the MCC status may
create an incentive for coding personnel
to not pursue specificity of
encephalopathy. Therefore, they believe
that these conditions are clinically
similar and should be assigned the same
CC severity level status. Therefore, we
are not proposing any change to the
ICD–10–CM diagnosis code
Cnt1
G93.40 (Encephalopathy, unspecified) ....................................................
G93.49 (Other encephalopathy) ..............................................................
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(7) Obstetrics Chapter Codes
We received a request to change the
severity level for 94 ICD–10–CM
diagnosis codes in the Obstetrics
chapter of the ICD–10–CM diagnosis
classification that describe a variety of
complications of pregnancy, childbirth
and the puerperium. The requestor
stated that the reclassification of the 94
obstetric diagnosis codes would more
appropriately reflect severity of illness
and accurate MS–DRG grouping after
CMS’ FY 2019 creation of new obstetric
MS–DRGs subdivided by severity level
(with MCC, with CC, and without CC/
MCC).
The 94 obstetrics codes associated
with this request and their current and
requested severity level designation are
shown in Table 6P.1e. associated with
this proposed rule (which is available
via the internet on the CMS website at:
https://www.cms.hhs.gov/Medicare/
Medicare-Fee-for-Service-Payment/
AcuteInpatientPPS/). We are
proposing to move some of these
diagnosis codes to a higher severity
level and some diagnosis codes to a
lower severity level. Our proposals are
shown in the table below.
Our clinical advisors indicated that
the approach outlined elsewhere in this
section to evaluate requested changes to
severity levels, in which each diagnosis
is evaluated using Medicare cost data to
determine the extent to which its
presence as a secondary diagnosis
resulted in increased hospital resource
use, could not be used to evaluate this
request because the number of obstetric
patients in the Medicare data was
insufficient to perform evaluation using
statistical methods. Instead, our clinical
32,023
4,258
C1
1.812
1.758
advisors used their clinical judgment to
evaluate the requested changes to the
severity levels for the 94 obstetrics
diagnosis codes. Our clinical advisors
concur with the requestor that changes
to the severity level for some of the
obstetrics diagnosis codes would more
appropriately reflect severity of illness
and accurate MS–DRG grouping.
Specifically, our clinical advisors agreed
with the requested change to severity
from a non-CC to a CC for 10 of the
diagnosis codes identified by the
requestor because they believe these
conditions clinically warrant a CC
designation. They noted that 6 of the 10
diagnosis codes describe gestational
diabetes mellitus in pregnancy,
gestational diabetes mellitus in
childbirth, or gestational diabetes
mellitus in the puerperium requiring
control, either by insulin or oral
hypoglycemic drugs and the condition
would require additional monitoring
and resources in the inpatient setting.
They also noted that 2 of the 10
diagnosis codes describe maternal care
for other isoimmunization in the first
trimester for single or multiple
gestations where the fetus is unspecified
or fetus number 1 is specified. They
indicated that although there are
additional diagnosis codes describing
maternal care for other isoimmunization
in the first trimester that uniquely
identify fetus number 2 through fetus
number 5, as well as an ‘‘other’’ fetus
beyond number 5, they do not believe
these other diagnosis codes have any
additional impact on resource use
because treatment would be directed at
the entire uterine cavity. They further
noted that 1 of the 10 diagnosis codes
severity level for ICD 10 CM diagnosis
code G93.49 (Other encephalopathy) for
FY 2020.
Cnt2
C2
161,991
23,203
2.494
2.536
Cnt3
294,088
40,836
Current CC
subclass
O24.02 (Pre-existing type 1 diabetes mellitus, in childbirth) ..................................................................................
O24.12 (Pre-existing type 2 diabetes mellitus, in childbirth) ..................................................................................
O24.32 (Unspecified pre-existing diabetes mellitus in childbirth) ...........................................................................
O24.414 (Gestational diabetes mellitus in pregnancy, insulin controlled) .............................................................
O24.415 (Gestational diabetes mellitus in pregnancy, controlled by oral hypoglycemic drugs) ...........................
O24.424 (Gestational diabetes mellitus in childbirth, insulin controlled) ................................................................
O24.425 (Gestational diabetes mellitus in childbirth, controlled by oral hypoglycemic drugs) ..............................
O24.434 (Gestational diabetes mellitus in the puerperium, insulin controlled) ......................................................
O24.435 (Gestational diabetes mellitus in puerperium, controlled by oral hypoglycemic drugs) ..........................
O24.82 (Other pre-existing diabetes mellitus in childbirth) ....................................................................................
O24.92 (Unspecified diabetes mellitus in childbirth) ..............................................................................................
MCC ...............
MCC ...............
MCC ...............
Non-CC ..........
Non-CC ..........
Non-CC ..........
Non-CC ..........
Non-CC ..........
Non-CC ..........
MCC ...............
Non-CC ..........
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3.289
3.349
describes a conjoined twin pregnancy in
the third trimester and, while conjoined
twins occur rarely and carry a high risk
of complications and mortality, they
believe the complexities are greatest in
the third trimester. Lastly, 1 of the 10
diagnosis codes describes unspecified
diabetes mellitus in childbirth, and
because the diagnosis codes describing
unspecified diabetes mellitus in
pregnancy and unspecified diabetes
mellitus in the puerperium are
designated as a CC, our clinical advisors
agreed that clinically, the condition
occurring in childbirth warrants a CC
designation as well. Our clinical
advisors also agreed with the requested
change to severity level from an MCC to
a CC for 4 other diagnosis codes
identified by the requestor because,
clinically, the CC designation is
consistent with the other diagnosis
codes within those diagnosis code
families. For example, the diagnosis
codes describing preexisting type 1
diabetes mellitus in pregnancy,
preexisting type 2 diabetes mellitus in
pregnancy and unspecified preexisting
diabetes mellitus in pregnancy,
regardless of trimester (first, second,
third, and unspecified) are all
designated as CCs. Our clinical advisors
agreed that the diagnosis codes
describing these same conditions ‘‘in
childbirth’’ also warrant a CC
designation because the conditions do
not require additional resources or
reflect a greater severity of illness
compared to the conditions when they
occur ‘‘in pregnancy’’. Therefore, we are
proposing a change to the severity level
for 14 ICD–10–CM diagnosis codes as
shown in the following table.
ICD–10–CM diagnosis code
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Proposed CC
subclass
CC.
CC.
CC.
CC.
CC.
CC.
CC.
CC.
CC.
CC.
CC.
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ICD–10–CM diagnosis code
Current CC
subclass
O30.023 (Conjoined twin pregnancy, third trimester) .............................................................................................
O36.1910 (Maternal care for other isoimmunization, first trimester, not applicable or unspecified) .....................
O36.1911 (Maternal care for other isoimmunization, first trimester, fetus 1) .........................................................
Non-CC ..........
Non-CC ..........
Non-CC ..........
Given the limited number of cases
reporting ICD–10–CM obstetrical codes
in the Medicare claims data, we note
that use of datasets other than MedPAR
cost data for future evaluation of
severity level designation for the ICD–
10–CM diagnosis codes from the
Obstetrics chapter of the ICD–10–CM
classification is under consideration.
e. Proposed Additions and Deletions to
the Diagnosis Code Severity Levels for
FY 2020
The following tables identify the
proposed additions and deletions to the
diagnosis code MCC severity levels list
and the proposed additions and
deletions to the diagnosis code CC
severity levels list for FY 2020 and are
available via the internet on the CMS
website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
index.html.
Table 6I.1—Proposed Additions to the
MCC List—FY 2020;
Table 6I.2—Proposed Deletions to the
MCC List—FY 2020;
Table 6J.1—Proposed Additions to the
CC List—FY 2020; and
Table 6J.2—Proposed Deletions to the
CC List—FY 2020.
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f. Proposed CC Exclusions List for FY
2020
In the September 1, 1987 final notice
(52 FR 33143) concerning changes to the
DRG classification system, we modified
the GROUPER logic so that certain
diagnoses included on the standard list
of CCs would not be considered valid
CCs in combination with a particular
principal diagnosis. We created the CC
Exclusions List for the following
reasons: (1) To preclude coding of CCs
for closely related conditions; (2) to
preclude duplicative or inconsistent
coding from being treated as CCs; and
(3) to ensure that cases are appropriately
classified between the complicated and
uncomplicated DRGs in a pair.
In the May 19, 1987 proposed notice
(52 FR 18877) and the September 1,
1987 final notice (52 FR 33154), we
explained that the excluded secondary
diagnoses were established using the
following five principles:
• Chronic and acute manifestations of
the same condition should not be
considered CCs for one another;
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• Specific and nonspecific (that is,
not otherwise specified (NOS))
diagnosis codes for the same condition
should not be considered CCs for one
another;
• Codes for the same condition that
cannot coexist, such as partial/total,
unilateral/bilateral, obstructed/
unobstructed, and benign/malignant,
should not be considered CCs for one
another;
• Codes for the same condition in
anatomically proximal sites should not
be considered CCs for one another; and
• Closely related conditions should
not be considered CCs for one another.
The creation of the CC Exclusions List
was a major project involving hundreds
of codes. We have continued to review
the remaining CCs to identify additional
exclusions and to remove diagnoses
from the master list that have been
shown not to meet the definition of a
CC. We refer readers to the FY 2014
IPPS/LTCH PPS final rule (78 FR 50541
through 50544) for detailed information
regarding revisions that were made to
the CC and CC Exclusion Lists under the
ICD–9–CM MS–DRGs.
In this FY 2020 IPPS/LTCH PPS
proposed rule, for FY 2020, we are
proposing changes to the ICD–10 MS–
DRGs Version 37 CC Exclusion List.
Therefore, we have developed Table
6G.1.—Proposed Secondary Diagnosis
Order Additions to the CC Exclusions
List—FY 2020; Table 6G.2.—Proposed
Principal Diagnosis Order Additions to
the CC Exclusions List—FY 2020; Table
6H.1.—Proposed Secondary Diagnosis
Order Deletions to the CC Exclusions
List—FY 2020; and Table 6H.2.—
Proposed Principal Diagnosis Order
Deletions to the CC Exclusions List—FY
2020. For Table 6G.1, each secondary
diagnosis code proposed for addition to
the CC Exclusion List is shown with an
asterisk and the principal diagnoses
proposed to exclude the secondary
diagnosis code are provided in the
indented column immediately following
it. For Table 6G.2, each of the principal
diagnosis codes for which there is a CC
exclusion is shown with an asterisk and
the conditions proposed for addition to
the CC Exclusion List that will not
count as a CC are provided in an
indented column immediately following
the affected principal diagnosis. For
Table 6H.1, each secondary diagnosis
code proposed for deletion from the CC
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Proposed CC
subclass
CC.
CC.
CC.
Exclusion List is shown with an asterisk
followed by the principal diagnosis
codes that currently exclude it. For
Table 6H.2, each of the principal
diagnosis codes is shown with an
asterisk and the proposed deletions to
the CC Exclusions List are provided in
an indented column immediately
following the affected principal
diagnosis. Tables 6G.1., 6G.2., 6H.1.,
and 6H.2. associated with this proposed
rule are available via the internet on the
CMS website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
index.html.
15. Proposed Changes to the ICD–10–
CM and ICD–10–PCS Coding Systems
To identify new, revised and deleted
diagnosis and procedure codes, for FY
2020, we have developed Table 6A.—
New Diagnosis Codes, Table 6B.—New
Procedure Codes, Table 6C.—Invalid
Diagnosis Codes, Table 6D.—Invalid
Procedure Codes, Table 6E.—Revised
Diagnosis Code Titles, and Table 6F.—
Revised Procedure Code Titles for this
proposed rule.
These tables are not published in the
Addendum to this proposed rule but are
available via the internet on the CMS
website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
as described in section VI. of the
Addendum to this proposed rule. As
discussed in section II.F.18. of the
preamble of this proposed rule, the code
titles are adopted as part of the ICD–10
(previously ICD–9–CM) Coordination
and Maintenance Committee process.
Therefore, although we publish the code
titles in the IPPS proposed and final
rules, they are not subject to comment
in the proposed or final rules.
We are proposing the MDC and MS–
DRG assignments for the new diagnosis
and procedure codes as set forth in
Table 6A.—New Diagnosis Codes and
Table 6B.—New Procedure Codes. In
addition, the proposed severity level
designations for the new diagnosis
codes are set forth in Table 6A. and the
proposed O.R. status for the new
procedure codes are set forth in Table
6B.
We are making available on the CMS
website at https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
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the following tables associated with this
proposed rule:
• Table 6A.—New Diagnosis Codes—
FY 2020;
• Table 6B.—New Procedure Codes—
FY 2020;
• Table 6C.—Invalid Diagnosis
Codes—FY 2020;
• Table 6D.—Invalid Procedure
Codes—FY 2020;
• Table 6E.—Revised Diagnosis Code
Titles—FY 2020;
• Table 6F.—Revised Procedure Code
Titles—FY 2020;
• Table 6G.1.—Proposed Secondary
Diagnosis Order Additions to the CC
Exclusions List—FY 2020;
• Table 6G.2.—Proposed Principal
Diagnosis Order Additions to the CC
Exclusions List—FY 2020;
• Table 6H.1.—Proposed Secondary
Diagnosis Order Deletions to the CC
Exclusions List—FY 2020;
• Table 6H.2.—Proposed Principal
Diagnosis Order Deletions to the CC
Exclusions List—FY 2020;
• Table 6I.1.—Proposed Additions to
the MCC List—FY 2020;
• Table 6I.2.–Proposed Deletions to
the MCC List—FY 2020;
• Table 6J.1.—Proposed Additions to
the CC List—FY 2020; and
• Table 6J.2.—Proposed Deletions to
the CC List—FY 2020.
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16. Proposed Changes to the Medicare
Code Editor (MCE)
The Medicare Code Editor (MCE) is a
software program that detects and
reports errors in the coding of Medicare
claims data. Patient diagnoses,
procedure(s), and demographic
information are entered into the
Medicare claims processing systems and
are subjected to a series of automated
screens. The MCE screens are designed
to identify cases that require further
review before classification into an MS–
DRG.
As discussed in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41220), we
made available the FY 2019 ICD–10
MCE Version 36 manual file. The link
to this MCE manual file, along with the
link to the mainframe and computer
software for the MCE Version 36 (and
ICD–10 MS–DRGs) are posted on the
CMS website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/MS-DRGClassifications-and-Software.html.
For this FY 2020 IPPS/LTCH PPS
proposed rule, below we address the
MCE requests we received by the
November 1, 2018 deadline. We also
discuss the proposals we are making
based on our internal review and
analysis.
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a. Age Conflict Edit: Maternity
Diagnoses
In the MCE, the Age conflict edit
exists to detect inconsistencies between
a patient’s age and any diagnosis on the
patient’s record; for example, a 5-yearold patient with benign prostatic
hypertrophy or a 78-year-old patient
coded with a delivery. In these cases,
the diagnosis is clinically and virtually
impossible for a patient of the stated
age. Therefore, either the diagnosis or
the age is presumed to be incorrect.
Currently, in the MCE, the following
four age diagnosis categories appear
under the Age conflict edit and are
listed in the manual and written in the
software program:
• Perinatal/Newborn—Age of 0 years
only; a subset of diagnoses which will
only occur during the perinatal or
newborn period of age 0 (for example,
tetanus neonatorum, health examination
for newborn under 8 days old).
• Pediatric—Age is 0–17 years
inclusive (for example, Reye’s
syndrome, routine child health exam).
• Maternity—Age range is 12–55
years inclusive (for example, diabetes in
pregnancy, antepartum pulmonary
complication).
• Adult—Age range is 15–124 years
inclusive (for example, senile delirium,
mature cataract).
Under the ICD–10 MCE, the maternity
diagnoses category for the Age conflict
edit considers the age range of 12 to 55
years inclusive. For that reason, the
diagnosis codes on this Age conflict edit
list would be expected to apply to
conditions or disorders specific to that
age group only.
We received a request to reconsider
the age range associated with the
maternity diagnoses category for the Age
conflict edit. According to the requestor,
pregnancies can and do occur prior to
age 12 and after age 55. The requestor
suggested that a more appropriate age
range would be from age 9 to age 64 for
the maternity diagnoses category.
We agree with the requestor that
pregnancies can and do occur prior to
the age of 12 and after the age of 55. We
also agree that the suggested range, age
9 to age 64, is an appropriate age range.
Therefore, we are proposing to revise
the maternity diagnoses category for the
Age conflict edit to consider the new
age range of 9 to 64 years inclusive.
b. Sex Conflict Edit: Diagnoses for
Females Only Edit
In the MCE, the Sex conflict edit
detects inconsistencies between a
patient’s sex and any diagnosis or
procedure on the patient’s record; for
example, a male patient with cervical
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19251
cancer (diagnosis) or a female patient
with a prostatectomy (procedure). In
both instances, the indicated diagnosis
or the procedure conflicts with the
stated sex of the patient. Therefore, the
patient’s diagnosis, procedure, or sex is
presumed to be incorrect.
As discussed in section II.F.15. of the
preamble of this proposed rule, Table
6A.—New Diagnosis Codes which is
associated with this proposed rule (and
is available via the internet on the CMS
website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
index.html) lists the new diagnosis
codes that have been approved to date
which will be effective with discharges
on and after October 1, 2019. ICD–10–
CM diagnosis code N99.85 (Post
endometrial ablation syndrome) is a
new code that describes a condition
consistent with the female sex. We are
proposing to add this diagnosis code to
the Diagnoses for Females Only edit
code list under the Sex conflict edit.
c. Unacceptable Principal Diagnosis Edit
In the MCE, there are select codes that
describe a circumstance that influences
an individual’s health status but does
not actually describe a current illness or
injury. There also are codes that are not
specific manifestations but may be due
to an underlying cause. These codes are
considered unacceptable as a principal
diagnosis. In limited situations, there
are a few codes on the MCE
Unacceptable Principal Diagnosis edit
code list that are considered
‘‘acceptable’’ when a specified
secondary diagnosis is also coded and
reported on the claim.
ICD–10–CM diagnosis codes I46.2
(Cardiac arrest due to underlying
cardiac condition) and I46.8 (Cardiac
arrest due to other underlying
condition) are codes that clearly specify
cardiac arrest as being due to an
underlying condition. Also, in the ICD–
10–CM Tabular List, there are
instructional notes to ‘‘Code first
underlying cardiac condition’’ at ICD–
10–CM diagnosis code I46.2 and to
‘‘Code first underlying condition’’ at
ICD–10–CM diagnosis code I46.8.
Therefore, we are proposing to add ICD–
10–CM diagnosis codes I46.2 and I46.8
to the Unacceptable Principal Diagnosis
Category edit code list.
As discussed in section II.F.15. of the
preamble of this proposed rule, Table
6A.—New Diagnosis Codes associated
with this proposed rule (which is
available via the internet on the CMS
website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
index.html) lists the new diagnosis
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codes that have been approved to date
that will be effective with discharges
occurring on and after October 1, 2019.
We are proposing to add the new
ICD–10–CM diagnosis codes listed in
the following table to the Unacceptable
Principal Diagnosis Category edit code
list, as these codes are consistent with
other ICD–10–CM diagnosis codes
currently included on the Unacceptable
ICD–10–CM code
T50.915A ..............
T50.915D .............
T50.915S ..............
T50.916A ..............
T50.916D .............
T50.916S ..............
Z11.7 ....................
Z22.7 ....................
Z71.84 ..................
Z86.002 ................
Z86.003 ................
Z86.004 ................
Z86.005 ................
Z86.006 ................
Code description
Adverse effect of multiple unspecified drugs, medicaments and biological substances, initial encounter.
Adverse effect of multiple unspecified drugs, medicaments and biological substances, subsequent encounter.
Adverse effect of multiple unspecified drugs, medicaments and biological substances, sequela.
Underdosing of multiple unspecified drugs, medicaments and biological substances, initial encounter.
Underdosing of multiple unspecified drugs, medicaments and biological substances, subsequent encounter.
Underdosing of multiple unspecified drugs, medicaments and biological substances, sequela.
Encounter for testing for latent tuberculosis infection.
Latent tuberculosis.
Encounter for health counseling related to travel.
Personal history of in-situ neoplasm of other and unspecified genital organs.
Personal history of in-situ neoplasm of oral cavity, esophagus and stomach.
Personal history of in-situ neoplasm of other and unspecified digestive organs.
Personal history of in-situ neoplasm of middle ear and respiratory system.
Personal history of melanoma in-situ.
d. Non-Covered Procedure Edit
In the MCE, the Non-Covered
Procedure edit identifies procedures for
which Medicare does not provide
payment. Payment is not provided due
to specific criteria that are established in
the National Coverage Determination
(NCD) process. We refer readers to the
website at: https://www.cms.gov/
Medicare/Coverage/Determination
Process/howtorequestanNCD.html for
additional information on this process.
In addition, there are procedures that
would normally not be paid by
Medicare but, due to the presence of
certain diagnoses, are paid.
As discussed in section II.F.15. of the
preamble of this proposed rule, Table
6D.—Invalid Procedure Codes
associated with this proposed rule
ICD–10–PCS code
037G3Z6 ..............
037G4Z6 ..............
Dilation of intracranial artery, bifurcation, percutaneous approach.
Dilation of intracranial artery, bifurcation, percutaneous endoscopic approach.
marrow transplant procedures were the
subject of a proposal discussed at the
March 5–6, 2019 ICD–10 Coordination
and Maintenance Committee meeting, to
be deleted effective October 1, 2019. We
are proposing that if the applicable
ICD–10–PCS code
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..............
...............
..............
...............
..............
...............
..............
...............
proposal is finalized, we would delete
the subset of those ICD–10–PCS
procedure codes that are currently listed
on the Non-Covered Procedure edit code
list as shown in the following table.
Code description
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
Transfusion
of
of
of
of
of
of
of
of
autologous
autologous
autologous
autologous
autologous
autologous
autologous
autologous
e. Future Enhancement
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38053 through 38054), we
noted the importance of ensuring
accuracy of the coded data from the
reporting, collection, processing,
coverage, payment, and analysis
aspects. We have engaged a contractor
to assist in the review of the limited
coverage and noncovered procedure
VerDate Sep<11>2014
(which is available via the internet on
the CMS website at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/AcuteInpatient
PPS/) lists the procedure
codes that are no longer effective as of
October 1, 2019. Included in this table
are the following ICD–10–PCS
procedure codes listed on the NonCovered Procedure edit code list.
Code description
We are proposing to remove these
codes from the Non-Covered Procedure
edit code list. In addition, as discussed
in section II.F.2.b. of the preamble of
this proposed rule, a number of ICD–10–
PCS procedure codes describing bone
30250G0
30250Y0
30253G0
30253Y0
30260G0
30260Y0
30263G0
30263Y0
Principal Diagnosis Category edit code
list.
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bone marrow into peripheral artery, open approach.
hematopoietic stem cells into peripheral artery, open approach.
bone marrow into peripheral artery, percutaneous approach.
hematopoietic stem cells into peripheral artery, percutaneous approach.
bone marrow into central artery, open approach.
hematopoietic stem cells into central artery, open approach.
bone marrow into central artery, percutaneous approach.
hematopoietic stem cells into central artery, percutaneous approach.
edits in the MCE that may also be
present in other claims processing
systems that are utilized by our MACs.
The MACs must adhere to criteria
specified within the National Coverage
Determinations (NCDs) and may
implement their own edits in addition
to what are already incorporated into
the MCE, resulting in duplicate edits.
The objective of this review is to
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identify where duplicate edits may exist
and to determine what the impact might
be if these edits were to be removed
from the MCE.
We have noted that the purpose of the
MCE is to ensure that errors and
inconsistencies in the coded data are
recognized during Medicare claims
processing. As we indicated in the FY
2019 IPPS/LTCH PPS final rule (83 FR
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41228), we are considering whether the
inclusion of coverage edits in the MCE
necessarily aligns with that specific goal
because the focus of coverage edits is on
whether or not a particular service is
covered for payment purposes and not
whether it was coded correctly.
As we continue to evaluate the
purpose and function of the MCE with
respect to ICD–10, we encourage public
input for future discussion. As we have
discussed in prior rulemaking, we
recognize a need to further examine the
current list of edits and the definitions
of those edits. We continue to encourage
public comments on whether there are
additional concerns with the current
edits, including specific edits or
language that should be removed or
revised, edits that should be combined,
or new edits that should be added to
assist in detecting errors or inaccuracies
in the coded data. Comments should be
directed to the MS–DRG Classification
Change Mailbox located at:
MSDRGClassificationChange@
cms.hhs.gov by November 1, 2019 for
the FY 2021 rulemaking.
17. Proposed Changes to Surgical
Hierarchies
Some inpatient stays entail multiple
surgical procedures, each one of which,
occurring by itself, could result in
assignment of the case to a different
MS–DRG within the MDC to which the
principal diagnosis is assigned.
Therefore, it is necessary to have a
decision rule within the GROUPER by
which these cases are assigned to a
single MS–DRG. The surgical hierarchy,
an ordering of surgical classes from
most resource-intensive to least
resource-intensive, performs that
function. Application of this hierarchy
ensures that cases involving multiple
surgical procedures are assigned to the
MS–DRG associated with the most
resource-intensive surgical class.
A surgical class can be composed of
one or more MS–DRGs. For example, in
MDC 11, the surgical class ‘‘kidney
transplant’’ consists of a single MS–DRG
(MS–DRG 652) and the class ‘‘major
bladder procedures’’ consists of three
MS–DRGs (MS–DRGs 653, 654, and
655). Consequently, in many cases, the
surgical hierarchy has an impact on
more than one MS–DRG. The
methodology for determining the most
resource-intensive surgical class
involves weighting the average
resources for each MS–DRG by
frequency to determine the weighted
average resources for each surgical class.
For example, assume surgical class A
includes MS–DRGs 001 and 002 and
surgical class B includes MS–DRGs 003,
004, and 005. Assume also that the
average costs of MS–DRG 001 are higher
than that of MS–DRG 003, but the
average costs of MS–DRGs 004 and 005
are higher than the average costs of MS–
DRG 002. To determine whether
surgical class A should be higher or
lower than surgical class B in the
surgical hierarchy, we would weigh the
average costs of each MS–DRG in the
class by frequency (that is, by the
number of cases in the MS–DRG) to
determine average resource
consumption for the surgical class. The
surgical classes would then be ordered
from the class with the highest average
resource utilization to that with the
lowest, with the exception of ‘‘other
O.R. procedures’’ as discussed in this
proposed rule.
This methodology may occasionally
result in assignment of a case involving
multiple procedures to the lowerweighted MS–DRG (in the highest, most
resource-intensive surgical class) of the
available alternatives. However, given
that the logic underlying the surgical
hierarchy provides that the GROUPER
search for the procedure in the most
resource-intensive surgical class, in
cases involving multiple procedures,
this result is sometimes unavoidable.
We note that, notwithstanding the
foregoing discussion, there are a few
instances when a surgical class with a
lower average cost is ordered above a
surgical class with a higher average cost.
For example, the ‘‘other O.R.
procedures’’ surgical class is uniformly
ordered last in the surgical hierarchy of
each MDC in which it occurs, regardless
of the fact that the average costs for the
MS–DRG or MS–DRGs in that surgical
class may be higher than those for other
surgical classes in the MDC. The ‘‘other
O.R. procedures’’ class is a group of
procedures that are only infrequently
related to the diagnoses in the MDC, but
are still occasionally performed on
patients with cases assigned to the MDC
with these diagnoses. Therefore,
assignment to these surgical classes
should only occur if no other surgical
class more closely related to the
diagnoses in the MDC is appropriate.
A second example occurs when the
difference between the average costs for
two surgical classes is very small. We
have found that small differences
generally do not warrant reordering of
the hierarchy because, as a result of
reassigning cases on the basis of the
hierarchy change, the average costs are
likely to shift such that the higherordered surgical class has lower average
costs than the class ordered below it.
Based on the changes that we are
proposing to make in this FY 2020 IPPS/
LTCH PPS proposed rule, as discussed
in section II.F.5. of this preamble of this
proposed rule, we are proposing to
revise the surgical hierarchy for MDC 5
(Diseases and Disorders of the
Circulatory System) as follows: In MDC
5, we are proposing to sequence
proposed new MS–DRGs 319 and 320
(Other Endovascular Cardiac Valve
Procedures with and without MCC,
respectively) above MS–DRGs 222, 223,
224, 225, 226, and 227 (Cardiac
Defibrillator Implant with and without
Cardiac Catheterization with and
without AMI/HF/Shock with and
without MCC, respectively) and below
MS–DRGs 266 and 267 (Endovascular
Cardiac Valve Replacement with and
without MCC, respectively). We also
note that, as discussed in section
II.F.5.a. of this preamble of this
proposed rule, we are proposing to
revise the titles for MS–DRGs 266 and
267 to ‘‘Endovascular Cardiac Valve
Replacement and Supplement
Procedures with MCC’’ and
‘‘Endovascular Cardiac Valve
Replacement and Supplement
Procedures without MCC’’, respectively.
Our proposal for Appendix D—MS–
DRG Surgical Hierarchy by MDC and
MS–DRG of the ICD–10 MS–DRG
Definitions Manual Version 37 is
illustrated in the following table.
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PROPOSED SURGICAL HIERARCHY: MDC 5
MS–DRG 215 ...........................................................................................
MS–DRGs 216–221 .................................................................................
MS–DRGs 266 and 267 ...........................................................................
Proposed New MS–DRGs 319 and 320 ..................................................
MS–DRGs 222–227 .................................................................................
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Other Heart Assist System Implant.
Cardiac Valve and Other Major Cardiothoracic Procedures.
Endovascular Cardiac Valve Procedures.
Other Endovascular Cardiac Valve Procedures.
Cardiac Defibrillator Implant.
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As with other MS–DRG related issues,
we encourage commenters to submit
requests to examine ICD–10 claims
pertaining to the surgical hierarchy via
the CMS MS–DRG Classification Change
Request Mailbox located at:
MSDRGClassificationChange@
cms.hhs.gov by November 1, 2019 for
consideration for FY 2021.
18. Maintenance of the ICD–10–CM and
ICD–10–PCS Coding Systems
In September 1985, the ICD–9–CM
Coordination and Maintenance
Committee was formed. This is a
Federal interdepartmental committee,
co-chaired by the National Center for
Health Statistics (NCHS), the Centers for
Disease Control and Prevention (CDC),
and CMS, charged with maintaining and
updating the ICD–9–CM system. The
final update to ICD–9–CM codes was
made on October 1, 2013. Thereafter,
the name of the Committee was changed
to the ICD–10 Coordination and
Maintenance Committee, effective with
the March 19–20, 2014 meeting. The
ICD–10 Coordination and Maintenance
Committee addresses updates to the
ICD–10–CM and ICD–10–PCS coding
systems. The Committee is jointly
responsible for approving coding
changes, and developing errata,
addenda, and other modifications to the
coding systems to reflect newly
developed procedures and technologies
and newly identified diseases. The
Committee is also responsible for
promoting the use of Federal and nonFederal educational programs and other
communication techniques with a view
toward standardizing coding
applications and upgrading the quality
of the classification system.
The official list of ICD–9–CM
diagnosis and procedure codes by fiscal
year can be found on the CMS website
at: https://cms.hhs.gov/Medicare/Coding/
ICD9ProviderDiagnosticCodes/
codes.html. The official list of ICD–10–
CM and ICD–10–PCS codes can be
found on the CMS website at: https://
www.cms.gov/Medicare/Coding/ICD10/
index.html.
The NCHS has lead responsibility for
the ICD–10–CM and ICD–9–CM
diagnosis codes included in the Tabular
List and Alphabetic Index for Diseases,
while CMS has lead responsibility for
the ICD–10–PCS and ICD–9–CM
procedure codes included in the
Tabular List and Alphabetic Index for
Procedures.
The Committee encourages
participation in the previously
mentioned process by health-related
organizations. In this regard, the
Committee holds public meetings for
discussion of educational issues and
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17:51 May 02, 2019
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proposed coding changes. These
meetings provide an opportunity for
representatives of recognized
organizations in the coding field, such
as the American Health Information
Management Association (AHIMA), the
American Hospital Association (AHA),
and various physician specialty groups,
as well as individual physicians, health
information management professionals,
and other members of the public, to
contribute ideas on coding matters.
After considering the opinions
expressed at the public meetings and in
writing, the Committee formulates
recommendations, which then must be
approved by the agencies.
The Committee presented proposals
for coding changes for implementation
in FY 2020 at a public meeting held on
September 11–12, 2018, and finalized
the coding changes after consideration
of comments received at the meetings
and in writing by November 13, 2018.
The Committee held its 2019 meeting
on March 5–6, 2019. The deadline for
submitting comments on these code
proposals is scheduled for April 5, 2019.
It was announced at this meeting that
any new diagnosis and procedure codes
for which there was consensus of public
support and for which complete tabular
and indexing changes would be made
by May 2019 would be included in the
October 1, 2019 update to the ICD–10–
CM diagnosis and ICD–10–PCS
procedure code sets. As discussed in
earlier sections of the preamble of this
proposed rule, there are new, revised,
and deleted ICD–10–CM diagnosis
codes and ICD–10–PCS procedure codes
that are captured in Table 6A.—New
Diagnosis Codes, Table 6B.—New
Procedure Codes, Table 6C.—Invalid
Diagnosis Codes, Table 6D.—Invalid
Procedure Codes, Table 6E.—Revised
Diagnosis Code Titles, and Table 6F.—
Revised Procedure Code Titles for this
proposed rule, which are available via
the internet on the CMS website at:
https://www.cms.gov/Medicare/
Medicare-Fee-for-Service-Payment/
AcuteInpatientPPS/. The
code titles are adopted as part of the
ICD–10 (previously ICD–9–CM)
Coordination and Maintenance
Committee process. Therefore, although
we make the code titles available for the
IPPS proposed rule, they are not subject
to comment in the proposed rule.
Because of the length of these tables,
they are not published in the
Addendum to the proposed rule. Rather,
they are available via the internet as
discussed in section VI. of the
Addendum to this proposed rule.
Live Webcast recordings of the
discussions of the diagnosis and
procedure codes at the Committee’s
PO 00000
Frm 00098
Fmt 4701
Sfmt 4702
September 11–12, 2018 meeting can be
obtained from the CMS website at:
https://cms.hhs.gov/Medicare/Coding/
ICD9ProviderDiagnosticCodes/
index.html?redirect=/
icd9ProviderDiagnosticCodes/03_
meetings.asp. The live webcast
recordings of the discussions of the
diagnosis and procedure codes at the
Committee’s March 5–6, 2019 meeting
can be obtained from the CMS website
at: https://www.cms.gov/Medicare/
Coding/ICD10/C-and-M-MeetingMaterials.html.
The materials for the discussions
relating to diagnosis codes at the
September 11–12 2018 meeting and
March 5–6, 2019 meeting can be found
at: https://www.cdc.gov/nchs/icd/
icd10cm_maintenance.html. These
websites also provide detailed
information about the Committee,
including information on requesting a
new code, attending a Committee
meeting, and timeline requirements and
meeting dates.
We encourage commenters to address
suggestions on coding issues involving
diagnosis codes to: Donna Pickett, CoChairperson, ICD–10 Coordination and
Maintenance Committee, NCHS, Room
2402, 3311 Toledo Road, Hyattsville,
MD 20782. Comments may be sent by
Email to: nchsicd10cm@cdc.gov.
Questions and comments concerning
the procedure codes should be
submitted via Email to: ICDProcedure
CodeRequest@cms.hhs.gov.
In the September 7, 2001 final rule
implementing the IPPS new technology
add-on payments (66 FR 46906), we
indicated we would attempt to include
proposals for procedure codes that
would describe new technology
discussed and approved at the Spring
meeting as part of the code revisions
effective the following October.
Section 503(a) of Public Law 108–173
included a requirement for updating
diagnosis and procedure codes twice a
year instead of a single update on
October 1 of each year. This
requirement was included as part of the
amendments to the Act relating to
recognition of new technology under the
IPPS. Section 503(a) amended section
1886(d)(5)(K) of the Act by adding a
clause (vii) which states that the
Secretary shall provide for the addition
of new diagnosis and procedure codes
on April 1 of each year, but the addition
of such codes shall not require the
Secretary to adjust the payment (or
diagnosis-related group classification)
until the fiscal year that begins after
such date. This requirement improves
the recognition of new technologies
under the IPPS by providing
information on these new technologies
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at an earlier date. Data will be available
6 months earlier than would be possible
with updates occurring only once a year
on October 1.
While section 1886(d)(5)(K)(vii) of the
Act states that the addition of new
diagnosis and procedure codes on April
1 of each year shall not require the
Secretary to adjust the payment, or DRG
classification, under section 1886(d) of
the Act until the fiscal year that begins
after such date, we have to update the
DRG software and other systems in
order to recognize and accept the new
codes. We also publicize the code
changes and the need for a mid-year
systems update by providers to identify
the new codes. Hospitals also have to
obtain the new code books and encoder
updates, and make other system changes
in order to identify and report the new
codes.
The ICD–10 (previously the ICD–9–
CM) Coordination and Maintenance
Committee holds its meetings in the
spring and fall in order to update the
codes and the applicable payment and
reporting systems by October 1 of each
year. Items are placed on the agenda for
the Committee meeting if the request is
received at least 3 months prior to the
meeting. This requirement allows time
for staff to review and research the
coding issues and prepare material for
discussion at the meeting. It also allows
time for the topic to be publicized in
meeting announcements in the Federal
Register as well as on the CMS website.
A complete addendum describing
details of all diagnosis and procedure
coding changes, both tabular and index,
is published on the CMS and NCHS
websites in June of each year. Publishers
of coding books and software use this
information to modify their products
that are used by health care providers.
This 5-month time period has proved to
be necessary for hospitals and other
providers to update their systems.
A discussion of this timeline and the
need for changes are included in the
December 4–5, 2005 ICD–9–CM
Coordination and Maintenance
Committee Meeting minutes. The public
agreed that there was a need to hold the
fall meetings earlier, in September or
October, in order to meet the new
implementation dates. The public
provided comment that additional time
would be needed to update hospital
systems and obtain new code books and
coding software. There was considerable
concern expressed about the impact this
April update would have on providers.
In the FY 2005 IPPS final rule, we
implemented section 1886(d)(5)(K)(vii)
of the Act, as added by section 503(a)
of Public Law 108–173, by developing a
mechanism for approving, in time for
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the April update, diagnosis and
procedure code revisions needed to
describe new technologies and medical
services for purposes of the new
technology add-on payment process. We
also established the following process
for making these determinations. Topics
considered during the Fall ICD–10
(previously ICD–9–CM) Coordination
and Maintenance Committee meeting
are considered for an April 1 update if
a strong and convincing case is made by
the requestor at the Committee’s public
meeting. The request must identify the
reason why a new code is needed in
April for purposes of the new
technology process. The participants at
the meeting and those reviewing the
Committee meeting materials and live
webcast are provided the opportunity to
comment on this expedited request. All
other topics are considered for the
October 1 update. Participants at the
Committee meeting are encouraged to
comment on all such requests. There
were not any requests approved for an
expedited April l, 2019 implementation
of a code at the September 11–12, 2018
Committee meeting. Therefore, there
were not any new codes for
implementation on April 1, 2019.
ICD–9–CM addendum and code title
information is published on the CMS
website at: https://www.cms.hhs.gov/
Medicare/Coding/
ICD9ProviderDiagnosticCodes/
index.html?redirect=/
icd9ProviderDiagnosticCodes/
01overview.asp#TopofPage. ICD–10–CM
and ICD–10–PCS addendum and code
title information is published on the
CMS website at: https://www.cms.gov/
Medicare/Coding/ICD10/.
CMS also sends copies of all ICD–10–
CM and ICD–10–PCS coding changes to
its Medicare contractors for use in
updating their systems and providing
education to providers.
Information on ICD–10–CM diagnosis
codes, along with the Official ICD–10–
CM Coding Guidelines, can also be
found on the CDC website at: https://
www.cdc.gov/nchs/icd/icd10.htm.
Additionally, information on new,
revised, and deleted ICD–10–CM
diagnosis and ICD–10–PCS procedure
codes is provided to the AHA for
publication in the Coding Clinic for
ICD–10. AHA also distributes coding
update information to publishers and
software vendors.
The following chart shows the
number of ICD–10–CM and ICD–10–PCS
codes and code changes since FY 2016
when ICD–10 was implemented.
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Frm 00099
Fmt 4701
Sfmt 4702
TOTAL NUMBER OF CODES AND
CHANGES IN TOTAL NUMBER OF
CODES PER FISCAL YEAR ICD–10–
CM AND ICD–10–PCS CODES
Fiscal year
FY 2016:
ICD–10–CM ..............
ICD–10–PCS .............
FY 2017:
ICD–10–CM ..............
ICD–10–PCS .............
FY 2018:
ICD–10–CM ..............
ICD–10–PCS .............
FY 2019:
ICD–10–CM ..............
ICD–10–PCS .............
FY 2020 (Proposed):
ICD–10–CM ..............
ICD–10–PCS .............
Number
Change
69,823
71,974
..............
..............
71,486
75,789
+1,663
+3,815
71,704
78,705
+218
+2,916
71,932
78,881
+228
+176
72,184
77,221
+252
¥1,660
As mentioned previously, the public
is provided the opportunity to comment
on any requests for new diagnosis or
procedure codes discussed at the ICD–
10 Coordination and Maintenance
Committee meeting.
19. Replaced Devices Offered Without
Cost or With a Credit
a. Background
In the FY 2008 IPPS final rule with
comment period (72 FR 47246 through
47251), we discussed the topic of
Medicare payment for devices that are
replaced without cost or where credit
for a replaced device is furnished to the
hospital. We implemented a policy to
reduce a hospital’s IPPS payment for
certain MS–DRGs where the
implantation of a device that
subsequently failed or was recalled
determined the base MS–DRG
assignment. At that time, we specified
that we will reduce a hospital’s IPPS
payment for those MS–DRGs where the
hospital received a credit for a replaced
device equal to 50 percent or more of
the cost of the device.
In the FY 2012 IPPS/LTCH PPS final
rule (76 FR 51556 through 51557), we
clarified this policy to state that the
policy applies if the hospital received a
credit equal to 50 percent or more of the
cost of the replacement device and
issued instructions to hospitals
accordingly.
b. Proposed Changes for FY 2020
As discussed in section II.F.5.a. of the
preamble of this proposed rule, for FY
2020, we are proposing to create new
MS–DRGs 319 and 320 (Other
Endovascular Cardiac Valve Procedures
with and without MCC, respectively)
and to revise the title for MS–DRG 266
from ‘‘Endovascular Cardiac Valve
Replacement with MCC’’ to
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‘‘Endovascular Cardiac Valve
Replacement and Supplement
Procedures with MCC’’ and the title for
MS–DRG 267 from ‘‘Endovascular
Cardiac Valve Replacement without
MCC’’ to ‘‘Endovascular Cardiac Valve
Replacement and Supplement
Procedures without MCC’’.
As stated in the FY 2016 IPPS/LTCH
PPS proposed rule (80 FR 24409), we
generally map new MS–DRGs onto the
list when they are formed from
procedures previously assigned to MS–
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MDC
MS–DRG
Pre-MDC ........
Pre-MDC ........
1 .....................
001
002
023
1
1
1
1
1
1
1
3
3
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
8
8
8
8
8
8
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
.....................
024
025
026
027
040
041
042
129
130
215
216
217
218
219
220
221
222
223
224
225
226
227
242
243
244
245
258
259
260
261
262
265
266
267
268
269
270
271
272
319
320
461
462
466
467
468
469
8 .....................
470
17:51 May 02, 2019
finalized, we also would add proposed
new MS–DRGs 319 and 320 to the list
of MS–DRGs subject to the policy for
payment under the IPPS for replaced
devices offered without cost or with a
credit and make conforming changes to
the titles of MS–DRGs 266 and 267 as
reflected in the table below. We also are
proposing to continue to include the
existing MS–DRGs currently subject to
the policy as also displayed in the table
below.
MS–DRG title
Heart Transplant or Implant of Heart Assist System with MCC.
Heart Transplant or Implant of Heart Assist System without MCC.
Craniotomy with Major Device Implant or Acute Complex CNS Principal Diagnosis with MCC or Chemotherapy Implant or Epilepsy with Neurostimulator.
Craniotomy with Major Device Implant or Acute Complex CNS Principal Diagnosis without MCC.
Craniotomy & Endovascular Intracranial Procedures with MCC.
Craniotomy & Endovascular Intracranial Procedures with CC.
Craniotomy & Endovascular Intracranial Procedures without CC/MCC.
Peripheral, Cranial Nerve & Other Nervous System Procedures with MCC.
Peripheral, Cranial Nerve & Other Nervous System Procedures with CC or Peripheral Neurostimulator.
Peripheral, Cranial Nerve & Other Nervous System Procedures without CC/MCC.
Major Head & Neck Procedures with CC/MCC or Major Device.
Major Head & Neck Procedures without CC/MCC.
Other Heart Assist System Implant.
Cardiac Valve & Other Major Cardiothoracic Procedure with Cardiac Catheterization with MCC.
Cardiac Valve & Other Major Cardiothoracic Procedure with Cardiac Catheterization with CC.
Cardiac Valve & Other Major Cardiothoracic Procedure with Cardiac Catheterization without CC/MCC.
Cardiac Valve & Other Major Cardiothoracic Procedure without Cardiac Catheterization with MCC.
Cardiac Valve & Other Major Cardiothoracic Procedure without Cardiac Catheterization with CC.
Cardiac Valve & Other Major Cardiothoracic Procedure without Cardiac Catheterization without CC/MCC.
Cardiac Defibrillator Implant with Cardiac Catheterization with AMI/Heart Failure/Shock with MCC.
Cardiac Defibrillator Implant with Cardiac Catheterization with AMI/Heart Failure/Shock without MCC.
Cardiac Defibrillator Implant with Cardiac Catheterization without AMI/Heart Failure/Shock with MCC.
Cardiac Defibrillator Implant with Cardiac Catheterization without AMI/Heart Failure/Shock without MCC.
Cardiac Defibrillator Implant without Cardiac Catheterization with MCC.
Cardiac Defibrillator Implant without Cardiac Catheterization without MCC.
Permanent Cardiac Pacemaker Implant with MCC.
Permanent Cardiac Pacemaker Implant with CC.
Permanent Cardiac Pacemaker Implant without CC/MCC.
AICD Generator Procedures.
Cardiac Pacemaker Device Replacement with MCC.
Cardiac Pacemaker Device Replacement without MCC.
Cardiac Pacemaker Revision Except Device Replacement with MCC.
Cardiac Pacemaker Revision Except Device Replacement with CC.
Cardiac Pacemaker Revision Except Device Replacement without CC/MCC.
AICD Lead Procedures.
Endovascular Cardiac Valve Replacement and Supplement Procedures with MCC.
Endovascular Cardiac Valve Replacement and Supplement Procedures without MCC.
Aortic and Heart Assist Procedures Except Pulsation Balloon with MCC.
Aortic and Heart Assist Procedures Except Pulsation Balloon without MCC.
Other Major Cardiovascular Procedures with MCC.
Other Major Cardiovascular Procedures with CC.
Other Major Cardiovascular Procedures without CC/MCC.
Other Endovascular Cardiac Valve Procedures with MCC.
Other Endovascular Cardiac Valve Procedures without MCC.
Bilateral or Multiple Major Joint Procedures of Lower Extremity with MCC.
Bilateral or Multiple Major Joint Procedures of Lower Extremity without MCC.
Revision of Hip or Knee Replacement with MCC.
Revision of Hip or Knee Replacement with CC.
Revision of Hip or Knee Replacement without CC/MCC.
Major Hip and Knee Joint Replacement or Reattachment of Lower Extremity with MCC or Total Ankle Replacement.
Major Hip and Knee Joint Replacement or Reattachment of Lower Extremity without MCC.
The final list of MS–DRGs subject to
the IPPS policy for replaced devices
VerDate Sep<11>2014
DRGs that are already on the list.
Currently, MS–DRGs 216 through 221
are on the list of MS–DRGs subject to
the policy for payment under the IPPS
for replaced devices offered without
cost or with a credit as shown in the
table below. A subset of the procedures
currently assigned to MS–DRGs 216
through 221 is being proposed for
assignment to proposed new MS–DRGs
319 and 320. Therefore, we are
proposing that if the applicable
proposed MS–DRG changes are
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offered without cost or with a credit will
be included in the FY 2020 IPPS/LTCH
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PPS final rule and also will be issued to
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providers in the form of a Change
Request (CR).
G. Recalibration of the Proposed FY
2020 MS–DRG Relative Weights
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1. Data Sources for Developing the
Proposed Relative Weights
In developing the proposed FY 2020
system of weights, we are proposing to
use two data sources: Claims data and
cost report data. As in previous years,
the claims data source is the MedPAR
file. This file is based on fully coded
diagnostic and procedure data for all
Medicare inpatient hospital bills. The
FY 2018 MedPAR data used in this
proposed rule include discharges
occurring on October 1, 2017, through
September 30, 2018, based on bills
received by CMS through December 31,
2018, from all hospitals subject to the
IPPS and short-term, acute care
hospitals in Maryland (which at that
time were under a waiver from the
IPPS). The FY 2018 MedPAR file used
in calculating the proposed relative
weights includes data for approximately
9,480,820 Medicare discharges from
IPPS providers. Discharges for Medicare
beneficiaries enrolled in a Medicare
Advantage managed care plan are
excluded from this analysis. These
discharges are excluded when the
MedPAR ‘‘GHO Paid’’ indicator field on
the claim record is equal to ‘‘1’’ or when
the MedPAR DRG payment field, which
represents the total payment for the
claim, is equal to the MedPAR ‘‘Indirect
Medical Education (IME)’’ payment
field, indicating that the claim was an
‘‘IME only’’ claim submitted by a
teaching hospital on behalf of a
beneficiary enrolled in a Medicare
Advantage managed care plan. In
addition, the December 31, 2018 update
of the FY 2018 MedPAR file complies
with version 5010 of the X12 HIPAA
Transaction and Code Set Standards,
and includes a variable called ‘‘claim
type.’’ Claim type ‘‘60’’ indicates that
the claim was an inpatient claim paid as
fee-for-service. Claim types ‘‘61,’’ ‘‘62,’’
‘‘63,’’ and ‘‘64’’ relate to encounter
claims, Medicare Advantage IME
claims, and HMO no-pay claims.
Therefore, the calculation of the
proposed relative weights for FY 2020
also excludes claims with claim type
values not equal to ‘‘60.’’ The data
exclude CAHs, including hospitals that
subsequently became CAHs after the
period from which the data were taken.
We note that the proposed FY 2020
relative weights are based on the ICD–
10–CM diagnosis codes and ICD–10–
PCS procedure codes from the FY 2018
MedPAR claims data, grouped through
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17:51 May 02, 2019
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the ICD–10 version of the proposed FY
2020 GROUPER (Version 37).
The second data source used in the
cost-based relative weighting
methodology is the Medicare cost report
data files from the HCRIS. Normally, we
use the HCRIS dataset that is 3 years
prior to the IPPS fiscal year.
Specifically, we used cost report data
from the December 31, 2018 update of
the FY 2017 HCRIS for calculating the
proposed FY 2020 cost-based relative
weights.
2. Methodology for Calculation of the
Proposed Relative Weights
As we explain in section II.E.2. of the
preamble of this proposed rule, we
calculated the proposed FY 2020
relative weights based on 19 CCRs, as
we did for FY 2019. The methodology
we are proposing to use to calculate the
FY 2020 MS–DRG cost-based relative
weights based on claims data in the FY
2018 MedPAR file and data from the FY
2017 Medicare cost reports is as follows:
• To the extent possible, all the
claims were regrouped using the
proposed FY 2020 MS–DRG
classifications discussed in sections II.B.
and II.F. of the preamble of this
proposed rule.
• The transplant cases that were used
to establish the proposed relative
weights for heart and heart-lung, liver
and/or intestinal, and lung transplants
(MS–DRGs 001, 002, 005, 006, and 007,
respectively) were limited to those
Medicare-approved transplant centers
that have cases in the FY 2018 MedPAR
file. (Medicare coverage for heart, heartlung, liver and/or intestinal, and lung
transplants is limited to those facilities
that have received approval from CMS
as transplant centers.)
• Organ acquisition costs for kidney,
heart, heart-lung, liver, lung, pancreas,
and intestinal (or multivisceral organs)
transplants continue to be paid on a
reasonable cost basis. Because these
acquisition costs are paid separately
from the prospective payment rate, it is
necessary to subtract the acquisition
charges from the total charges on each
transplant bill that showed acquisition
charges before computing the average
cost for each MS–DRG and before
eliminating statistical outliers.
• Claims with total charges or total
lengths of stay less than or equal to zero
were deleted. Claims that had an
amount in the total charge field that
differed by more than $30.00 from the
sum of the routine day charges,
intensive care charges, pharmacy
charges, implantable devices charges,
supplies and equipment charges,
therapy services charges, operating
room charges, cardiology charges,
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19257
laboratory charges, radiology charges,
other service charges, labor and delivery
charges, inhalation therapy charges,
emergency room charges, blood and
blood products charges, anesthesia
charges, cardiac catheterization charges,
CT scan charges, and MRI charges were
also deleted.
• At least 92.3 percent of the
providers in the MedPAR file had
charges for 14 of the 19 cost centers. All
claims of providers that did not have
charges greater than zero for at least 14
of the 19 cost centers were deleted. In
other words, a provider must have no
more than five blank cost centers. If a
provider did not have charges greater
than zero in more than five cost centers,
the claims for the provider were deleted.
• Statistical outliers were eliminated
by removing all cases that were beyond
3.0 standard deviations from the
geometric mean of the log distribution
of both the total charges per case and
the total charges per day for each MS–
DRG.
• Effective October 1, 2008, because
hospital inpatient claims include a POA
indicator field for each diagnosis
present on the claim, only for purposes
of relative weight-setting, the POA
indicator field was reset to ‘‘Y’’ for
‘‘Yes’’ for all claims that otherwise have
an ‘‘N’’ (No) or a ‘‘U’’ (documentation
insufficient to determine if the
condition was present at the time of
inpatient admission) in the POA field.
Under current payment policy, the
presence of specific HAC codes, as
indicated by the POA field values, can
generate a lower payment for the claim.
Specifically, if the particular condition
is present on admission (that is, a ‘‘Y’’
indicator is associated with the
diagnosis on the claim), it is not a HAC,
and the hospital is paid for the higher
severity (and, therefore, the higher
weighted MS–DRG). If the particular
condition is not present on admission
(that is, an ‘‘N’’ indicator is associated
with the diagnosis on the claim) and
there are no other complicating
conditions, the DRG GROUPER assigns
the claim to a lower severity (and,
therefore, the lower weighted MS–DRG)
as a penalty for allowing a Medicare
inpatient to contract a HAC. While the
POA reporting meets policy goals of
encouraging quality care and generates
program savings, it presents an issue for
the relative weight-setting process.
Because cases identified as HACs are
likely to be more complex than similar
cases that are not identified as HACs,
the charges associated with HAC cases
are likely to be higher as well.
Therefore, if the higher charges of these
HAC claims are grouped into lower
severity MS–DRGs prior to the relative
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weight-setting process, the relative
weights of these particular MS–DRGs
would become artificially inflated,
potentially skewing the relative weights.
In addition, we want to protect the
integrity of the budget neutrality process
by ensuring that, in estimating
payments, no increase to the
standardized amount occurs as a result
of lower overall payments in a previous
year that stem from using weights and
case-mix that are based on lower
severity MS–DRG assignments. If this
would occur, the anticipated cost
savings from the HAC policy would be
lost.
To avoid these problems, we reset the
POA indicator field to ‘‘Y’’ only for
relative weight-setting purposes for all
claims that otherwise have an ‘‘N’’ or a
‘‘U’’ in the POA field. This resetting
‘‘forced’’ the more costly HAC claims
into the higher severity MS–DRGs as
appropriate, and the relative weights
calculated for each MS–DRG more
closely reflect the true costs of those
cases.
In addition, in the FY 2013 IPPS/
LTCH PPS final rule, for FY 2013 and
subsequent fiscal years, we finalized a
policy to treat hospitals that participate
in the Bundled Payments for Care
Improvement (BPCI) initiative the same
as prior fiscal years for the IPPS
payment modeling and ratesetting
process without regard to hospitals’
participation within these bundled
payment models (77 FR 53341 through
53343). Specifically, because acute care
hospitals participating in the BPCI
Initiative still receive IPPS payments
under section 1886(d) of the Act, we
include all applicable data from these
subsection (d) hospitals in our IPPS
payment modeling and ratesetting
calculations as if the hospitals were not
participating in those models under the
BPCI initiative. We refer readers to the
FY 2013 IPPS/LTCH PPS final rule for
a complete discussion on our final
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17:51 May 02, 2019
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policy for the treatment of hospitals
participating in the BPCI initiative in
our ratesetting process. For additional
information on the BPCI initiative, we
refer readers to the CMS’ Center for
Medicare and Medicaid Innovation’s
website at: https://innovation.cms.gov/
initiatives/Bundled-Payments/
index.html and to section IV.H.4. of the
preamble of the FY 2013 IPPS/LTCH
PPS final rule (77 FR 53341 through
53343).
The participation of hospitals in the
BPCI initiative concluded on September
30, 2018. The participation of hospitals
in the Bundled Payments for Care
Improvement (BPCI) Advanced model
started on October 1, 2018. The BPCI
Advanced model, tested under the
authority of section 3021 of the
Affordable Care Act (codified at section
1115A of the Act), is comprised of a
single payment and risk track, which
bundles payments for multiple services
beneficiaries receive during a Clinical
Episode. Acute care hospitals may
participate in BPCI Advanced in one of
two capacities: As a model Participant
or as a downstream Episode Initiator.
Regardless of the capacity in which they
participate in the BPCI Advanced
model, participating acute care hospitals
will continue to receive IPPS payments
under section 1886(d) of the Act. Acute
care hospitals that are Participants also
assume financial and quality
performance accountability for Clinical
Episodes in the form of a reconciliation
payment. For additional information on
the BPCI Advanced model, we refer
readers to the BPCI Advanced web page
on the CMS Center for Medicare and
Medicaid Innovation’s website at:
https://innovation.cms.gov/initiatives/
bpci-advanced/. Consistent with our
policy for FY 2019, and consistent with
how we have treated hospitals that
participated in the BPCI Initiative, for
FY 2020, we continue to believe it is
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appropriate to include all applicable
data from the subsection (d) hospitals
participating in the BPCI Advanced
model in our IPPS payment modeling
and ratesetting calculations because, as
noted above, these hospitals are still
receiving IPPS payments under section
1886(d) of the Act.
The charges for each of the proposed
19 cost groups for each claim were
standardized to remove the effects of
differences in proposed area wage
levels, IME and DSH payments, and for
hospitals located in Alaska and Hawaii,
the applicable proposed cost-of-living
adjustment. Because hospital charges
include charges for both operating and
capital costs, we standardized total
charges to remove the effects of
differences in proposed geographic
adjustment factors, cost-of-living
adjustments, and DSH payments under
the capital IPPS as well. Charges were
then summed by MS–DRG for each of
the proposed 19 cost groups so that each
MS–DRG had 19 standardized charge
totals. Statistical outliers were then
removed. These charges were then
adjusted to cost by applying the
proposed national average CCRs
developed from the FY 2017 cost report
data.
The proposed 19 cost centers that we
used in the proposed relative weight
calculation are shown in the following
table. The table shows the lines on the
cost report and the corresponding
revenue codes that we used to create the
proposed 19 national cost center CCRs.
If stakeholders have comments about
the groupings in this table, we may
consider those comments as we finalize
our policy.
We are inviting public comments on
our proposals related to recalibration of
the proposed FY 2020 relative weights
and the changes in relative weights from
FY 2019.
BILLING CODE 4120–01–P
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Routine Days
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E:\FR\FM\03MYP2.SGM
03MYP2
Intensive
Days
MedPAR
Charge Field
Private Room
Charges
Semi-Private
Room
Charges
011X and
014X
Cost Report
Line
Description
Adults &
Pediatrics
(General
Routine Care)
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
C 1 C5 30
C 1 C6 30
D3 HOS C2 30
012X, 013X
and 016X
Ward
Charges
015X
Intensive
Care Charges
020X
Intensive Care
Unit
C 1 C5 31
C 1 C6 31
D3 HOS C2 31
Coronary
Care Charges
021X
Coronary Care
Unit
C 1 C5 32
C 1 C6 32
D3 HOS C2 32
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
17:51 May 02, 2019
Cost Center
Group Name
(19 total)
Revenue
Codes
contained in
MedPAR
Charge Field
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
Form CMS2552-10
19259
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19260
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MedPAR
Charge Field
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Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
Burn Intensive
Care Unit
C 1 C5 33
C 1 C6 33
D3 HOS C2 33
Surgical
Intensive Care
Unit
C 1 C5 34
C 1 C6 34
D3 HOS C2 34
Other Special
Care Unit
C 1 C5 35
C 1 C6 35
D3 HOS C2 35
Intravenous
Therapy
C 1 C5 64
C 1 C6 64
D3 HOS C2 64
03MYP2
Cost Report
Line
Description
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
Drugs
Pharmacy
Charges
025X, 026X
and 063X
C 1 C7 64
EP03MY19.005
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17:51 May 02, 2019
Cost Center
Group Name
(19 total)
Revenue
Codes
contained in
MedPAR
Charge Field
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
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MedPAR
Charge Field
Frm 00105
Cost Report
Line
Description
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
Drugs Charged
To Patient
C 1 C5 73
C 1 C6 73
D3 HOS C2 73
Fmt 4701
C 1 C7 73
Sfmt 4725
E:\FR\FM\03MYP2.SGM
Supplies and
Equipment
Medical/Surgical Supply
Charges
0270, 0271,
0272, 0273,
0274, 0277,
0279,and
0621, 0622,
0623
Medical
Supplies
Charged to
Patients
C 1 C5 71
C 1 C6 71
D3 HOS C2 71
03MYP2
C 1 C7 71
Durable
Medical
Equipment
Charges
0290, 0291,
0292 and
0294-0299
DME-Rented
C 1 C5 96
C 1 C6 96
D3 HOS C2 96
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17:51 May 02, 2019
Cost Center
Group Name
(19 total)
Revenue
Codes
contained in
MedPAR
Charge Field
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
Form CMS2552-10
C-1-C7- 96
19261
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19262
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MedPAR
Charge Field
Used Durable
Medical
Charges
Cost Report
Line
Description
0293
DME-Sold
C 1 C5 97
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
C 1 C6 97
D3 HOS C2 97
Sfmt 4725
C 1 C7 97
E:\FR\FM\03MYP2.SGM
Implantable
Devices
0275, 0276,
0278,0624
Implantable
Devices
Charged to
Patients
C 1 C5 72
C 1 C6 72
C 1 C7 72
03MYP2
Therapy
Services
Physical
Therapy
Charges
042X
Physical
Therapy
C 1 C5 66
C 1 C6 66
C 1 C7 66
EP03MY19.007
D3 HOS C2 72
D3 HOS C2 66
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Cost Center
Group Name
(19 total)
Revenue
Codes
contained in
MedPAR
Charge Field
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
Form CMS2552-10
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MedPAR
Charge Field
Occupational
Therapy
Charges
Cost Report
Line
Description
043X
Occupational
Therapy
C 1 C5 67
Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
C 1 C6 67
D3 HOS C2 67
Fmt 4701
C 1 C7 67
Sfmt 4725
Speech
Pathology
Charges
044X and
047X
Speech
Pathology
C 1 C5 68
C 1 C6 68
D3 HOS C2 68
E:\FR\FM\03MYP2.SGM
C 1 C7 68
03MYP2
Inhalation
Therapy
Inhalation
Therapy
Charges
041X and
046X
Respiratory
Therapy
C 1 C5 65
C 1 C6 65
C 1 C7 65
D3 HOS C2 65
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17:51 May 02, 2019
Cost Center
Group Name
(19 total)
Revenue
Codes
contained in
MedPAR
Charge Field
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
Form CMS2552-10
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
19263
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Operating
Room
MedPAR
Charge Field
Operating
Room
Charges
Cost Report
Line
Description
036X
Operating
Room
C 1 C5 50
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
C 1 C6 50
D3 HOS C2 50
Fmt 4701
C 1 C7 50
Sfmt 4725
071X
Recovery
Room
C 1 C5 51
C 1 C6 51
E:\FR\FM\03MYP2.SGM
C 1 C7 51
03MYP2
Labor &
Delivery
Operating
Room
Charges
072X
Delivery Room
and Labor
Room
C 1 C5 52
C 1 C6 52
C 1 C7 52
EP03MY19.009
D3 HOS C2 51
D3 HOS C2 52
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Cost Center
Group Name
(19 total)
Revenue
Codes
contained in
MedPAR
Charge Field
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
Form CMS2552-10
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MedPAR
Charge Field
Anesthesia
Anesthesia
Charges
Cost Report
Line
Description
037X
Anesthesiology
C 1 C5 53
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
C 1 C6 53
D3 HOS C2 53
Fmt 4701
C 1 C7 53
Sfmt 4725
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Cardiology
Cardiology
Charges
048X and
073X
Electrocardiology
C 1 C5 69
C 1 C6 69
D3 HOS C2 69
C 1 C7 69
Cardiac
Catheterization
0481
Cardiac
Catheterization
C 1 C5 59
C 1 C6 59
D3 HOS C2 59
03MYP2
C 1 C7 59
Laboratory
Laboratory
Charges
030X, 031X,
and 075X
Laboratory
C 1 C5 60
C 1 C6 60
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17:51 May 02, 2019
Cost Center
Group Name
(19 total)
Revenue
Codes
contained in
MedPAR
Charge Field
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
Form CMS2552-10
D3 HOS C2 60
19265
EP03MY19.010
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19266
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MedPAR
Charge Field
Cost Report
Line
Description
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
Frm 00110
C 1 C7 60
Fmt 4701
PBP Clinic
Laboratory
Services
C 1 C5 61
C 1 C6 61
D3 HOS C2 61
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C 1 C7 61
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074X, 086X
ElectroEncephalograp
hy
C 1 C5 70
C 1 C6 70
D3 HOS C2 70
C 1 C7 70
03MYP2
Radiology
Radiology
Charges
032X, 040X
RadiologyDiagnostic
C 1 C5 54
C 1 C6 54
C 1 C7 54
EP03MY19.011
Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
D3 HOS C2 54
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17:51 May 02, 2019
Cost Center
Group Name
(19 total)
Revenue
Codes
contained in
MedPAR
Charge Field
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
Form CMS2552-10
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Charge Field
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Cost Report
Line
Description
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
RadiologyTherapeutic
C 1 C5 55
C 1 C6 55
D3 HOS C2 55
0343 and
344
Radioisotope
C 1 C5 56
C 1 C6 56
D3 HOS C2 56
035X
Computed
Tomography
(CT) Scan
Revenue
Codes
contained in
MedPAR
Charge Field
028x, 0331,
0332, 0333,
0335, 0339,
0342
C 1 C7 56
Computed
Tomography
(CT) Scan
CT Scan
Charges
C 1 C5 57
C 1 C6 57
D3 HOS C2 57
C 1 C7 57
03MYP2
Magnetic
Resonance
Imaging
(MRI)
MRI Charges
061X
Magnetic
Resonance
Imaging (MRI)
C 1 C5 58
C 1 C6 58
D3 HOS C2 58
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17:51 May 02, 2019
Cost Center
Group Name
(19 total)
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
Form CMS2552-10
C 1 C7 58
- -
-
19267
EP03MY19.012
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19268
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Emergency
Room
Emergency
Room
Charges
045x
Frm 00112
MedPAR
Charge Field
Fmt 4701
Cost Report
Line
Description
Emergency
C 1 C5 91
Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
C 1 C6 91
D3 HOS C2 91
Sfmt 4725
C 1 C7 91
E:\FR\FM\03MYP2.SGM
Blood and
Blood
Products
Blood
Charges
03MYP2
038x
Whole Blood
& Packed Red
Blood Cells
039x
Blood Storing,
Processing, &
Transfusing
C 1 C5 62
C 1 C6 62
C 1 C7 62
Blood
Storage I
Processing
C 1 C5 63
C 1 C6 63
C 1 C7 63
EP03MY19.013
D3 HOS C2 62
D3 HOS C2 63
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
17:51 May 02, 2019
Cost Center
Group Name
(19 total)
Revenue
Codes
contained in
MedPAR
Charge Field
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
Form CMS2552-10
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
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MedPAR
Charge Field
Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
Renal Dialysis
C 1 C5 74
C 1 C6 74
D3 HOS C2 74
Frm 00113
Cost Report
Line
Description
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
Fmt 4701
Sfmt 4725
Other
Services
Other Service
Charge
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03MYP2
Renal
Dialysis
ESRD
Revenue
Setting
Charges
0002-0099,
022X, 023X,
024X,052X,
053X
055X-060X,
064X-070X,
076X-078X,
090X-095X
and 099X
0800X
080X and
082X-088X
C 1 C7 74
Home Program
Dialysis
C 1 C5 94
C 1 C6 94
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17:51 May 02, 2019
Cost Center
Group Name
(19 total)
Revenue
Codes
contained in
MedPAR
Charge Field
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
Form CMS2552-10
D3 HOS C2 94
19269
EP03MY19.014
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19270
VerDate Sep<11>2014
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MedPAR
Charge Field
Cost Report
Line
Description
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
Frm 00114
C 1 C7 94
Fmt 4701
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Outpatient
Service
Charges
049X
Lithotripsy
Charge
079X
ASC (Non
Distinct Part)
C 1 C5 75
C 1 C6 75
D3 HOS C2 75
C 1 C7 75
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Other
Ancillary
C 1 C5 76
C 1 C6 76
D3 HOS C2 76
C 1 C7 76
Clinic Visit
Charges
051X
Clinic
C 1 C5 90
C 1 C6 90
D3 HOS C2 90
03MYP2
C 1 C7 90
Observation
beds
C-1-C5 - 92.
01
C-1-C6- 92.
01
C-1-C7- 92.
01
EP03MY19.015
Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
D3 - HOS - C2- 92
.01
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17:51 May 02, 2019
Cost Center
Group Name
(19 total)
Revenue
Codes
contained in
MedPAR
Charge Field
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
Form CMS2552-10
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BILLING CODE 4120–01–C
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D3 HOS C2 89
C 1 C6 89
C 1 C5 89
D3 HOS C2 88
C 1 C6 88
C 1 C5 88
D3 HOS C2 95
C 1 C6 95
C 1 C5 95
C 1 C7 95
C 1 C7 88
C 1 C7 89
03MYP2
19271
located in Maryland because we include
their charges in our claims database. We
then created CCRs for each provider for
each cost center (see prior table for line
items used in the calculations) and
removed any CCRs that were greater
E:\FR\FM\03MYP2.SGM
Using the FY 2017 cost report data,
we removed CAHs, Indian Health
Service hospitals, all-inclusive rate
hospitals, and cost reports that
represented time periods of less than 1
year (365 days). We included hospitals
C 1 C7 93
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3. Development of Proposed National
Average CCRs
17:51 May 02, 2019
We developed the proposed national
average CCRs as follows:
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D3 HOS C2 93
096X, 097X,
and 098X
FQHC
C 1 C6 93
Professional
Fees Charges
Rural Health
Clinic
C 1 C5 93
MedPAR
Charge Field
Revenue
Codes
contained in
MedPAR
Charge Field
Ambulance
054X
Medicare
Charges from
HCRIS
(Worksheet D-3,
Column & line
number)
Form CMS2552-10
Cost Center
Group Name
(19 total)
Ambulance
Charges
Charges
from
HCRIS
(Worksheet
C, Part 1,
Column 6 &
7 and line
number)
Form CMS2552-10
Cost Report
Line
Description
Other
Outpatient
Services
Cost from
HCRIS
(Worksheet
C, Part 1,
Column 5
and line
number)
Form CMS2552-10
19272
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
than 10 or less than 0.01. We
normalized the departmental CCRs by
dividing the CCR for each department
by the total CCR for the hospital for the
purpose of trimming the data. We then
took the logs of the normalized cost
center CCRs and removed any cost
center CCRs where the log of the cost
center CCR was greater or less than the
mean log plus/minus 3 times the
standard deviation for the log of that
cost center CCR. Once the cost report
data were trimmed, we calculated a
Medicare-specific CCR. The Medicarespecific CCR was determined by taking
the Medicare charges for each line item
from Worksheet D–3 and deriving the
Medicare-specific costs by applying the
hospital-specific departmental CCRs to
the Medicare-specific charges for each
line item from Worksheet D–3. Once
each hospital’s Medicare-specific costs
were established, we summed the total
Medicare-specific costs and divided by
the sum of the total Medicare-specific
charges to produce national average,
charge-weighted CCRs.
After we multiplied the total charges
for each MS–DRG in each of the
proposed 19 cost centers by the
corresponding national average CCR, we
summed the 19 ‘‘costs’’ across each
proposed MS–DRG to produce a total
standardized cost for the proposed MS–
DRG. The average standardized cost for
each proposed MS–DRG was then
Group
Routine Days ........................
Intensive Days ......................
Drugs ....................................
Supplies & Equipment ..........
Implantable Devices .............
Therapy Services ..................
Laboratory .............................
Operating Room ...................
Cardiology .............................
Cardiac Catheterization ........
Radiology ..............................
MRIs .....................................
Low-volume
MS–DRG
MS–DRG title
338 .....................
791 .....................
Appendectomy with Complicated Principal Diagnosis with MCC.
Neonates, Died or Transferred to Another Acute Care Facility.
Extreme Immaturity or Respiratory Distress Syndrome, Neonate.
Prematurity with Major Problems ............
792 .....................
Prematurity without Major Problems .......
793 .....................
Full-Term Neonate with Major Problems
794 .....................
Neonate with Other Significant Problems
795 .....................
Normal Newborn .....................................
789 .....................
790 .....................
H. Proposed Add-On Payments for New
Services and Technologies for FY 2020
1. Background
amozie on DSK9F9SC42PROD with PROPOSALS2
computed as the total standardized cost
for the proposed MS–DRG divided by
the transfer-adjusted case count for the
proposed MS–DRG. The average cost for
each proposed MS–DRG was then
divided by the national average
standardized cost per case to determine
the proposed relative weight.
The proposed FY 2020 cost-based
relative weights were then normalized
by a proposed adjustment factor of
1.788337 so that the average case weight
after recalibration was equal to the
average case weight before recalibration.
The proposed normalization adjustment
is intended to ensure that recalibration
by itself neither increases nor decreases
total payments under the IPPS, as
required by section 1886(d)(4)(C)(iii) of
the Act.
The proposed 19 national average
CCRs for FY 2020 are as follows:
Sections 1886(d)(5)(K) and (L) of the
Act establish a process of identifying
and ensuring adequate payment for new
medical services and technologies
(sometimes collectively referred to in
this section as ‘‘new technologies’’)
under the IPPS. Section
1886(d)(5)(K)(vi) of the Act specifies
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17:51 May 02, 2019
Jkt 247001
Group
CT Scans ..............................
Emergency Room .................
Blood and Blood Products ....
Other Services ......................
Labor & Delivery ...................
Inhalation Therapy ................
Anesthesia ............................
CCR
0.035
0.154
0.282
0.344
0.369
0.151
0.077
Since FY 2009, the relative weights
have been based on 100 percent cost
weights based on our MS–DRG grouping
system.
When we recalibrated the DRG
weights for previous years, we set a
threshold of 10 cases as the minimum
number of cases required to compute a
reasonable weight. We are proposing to
use that same case threshold in
recalibrating the proposed MS–DRG
relative weights for FY 2020. Using data
from the FY 2018 MedPAR file, there
were 8 MS–DRGs that contain fewer
CCR
than 10 cases. For FY 2020, because we
0.433 do not have sufficient MedPAR data to
0.362 set accurate and stable cost relative
0.191 weights for these low-volume MS–
0.301 DRGs, we are proposing to compute
0.308 relative weights for the proposed low0.297 volume MS–DRGs by adjusting their
0.109
final FY 2019 relative weights by the
0.175
0.099 percentage change in the average weight
0.106 of the cases in other MS–DRGs from FY
0.140 2019 to FY 2020. The crosswalk table is
0.073 shown below.
Crosswalk to MS–DRG
Final FY 2019 relative weight (adjusted
the cases in other MS–DRGs).
Final FY 2019 relative weight (adjusted
the cases in other MS–DRGs).
Final FY 2019 relative weight (adjusted
the cases in other MS–DRGs).
Final FY 2019 relative weight (adjusted
the cases in other MS–DRGs).
Final FY 2019 relative weight (adjusted
the cases in other MS–DRGs).
Final FY 2019 relative weight (adjusted
the cases in other MS–DRGs).
Final FY 2019 relative weight (adjusted
the cases in other MS–DRGs).
Final FY 2019 relative weight (adjusted
the cases in other MS–DRGs).
that a medical service or technology will
be considered new if it meets criteria
established by the Secretary after notice
and opportunity for public comment.
Section 1886(d)(5)(K)(ii)(I) of the Act
specifies that a new medical service or
technology may be considered for new
technology add-on payment if, based on
the estimated costs incurred with
respect to discharges involving such
service or technology, the DRG
prospective payment rate otherwise
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Fmt 4701
Sfmt 4702
by percent change in average weight of
by percent change in average weight of
by percent change in average weight of
by percent change in average weight of
by percent change in average weight of
by percent change in average weight of
by percent change in average weight of
by percent change in average weight of
applicable to such discharges under this
subsection is inadequate. We note that,
beginning with discharges occurring in
FY 2008, CMS transitioned from CMS–
DRGs to MS–DRGs. The regulations at
42 CFR 412.87 implement these
provisions and specify three criteria for
a new medical service or technology to
receive the additional payment: (1) The
medical service or technology must be
new; (2) the medical service or
technology must be costly such that the
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03MYP2
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Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
DRG rate otherwise applicable to
discharges involving the medical service
or technology is determined to be
inadequate; and (3) the service or
technology must demonstrate a
substantial clinical improvement over
existing services or technologies. Below
we highlight some of the major statutory
and regulatory provisions relevant to the
new technology add-on payment
criteria, as well as other information.
For a complete discussion on the new
technology add-on payment criteria, we
refer readers to the FY 2012 IPPS/LTCH
PPS final rule (76 FR 51572 through
51574).
Under the first criterion, as reflected
in § 412.87(b)(2), a specific medical
service or technology will be considered
‘‘new’’ for purposes of new medical
service or technology add-on payments
until such time as Medicare data are
available to fully reflect the cost of the
technology in the MS–DRG weights
through recalibration. We note that we
do not consider a service or technology
to be new if it is substantially similar to
one or more existing technologies. That
is, even if a medical product receives a
new FDA approval or clearance, it may
not necessarily be considered ‘‘new’’ for
purposes of new technology add-on
payments if it is ‘‘substantially similar’’
to another medical product that was
approved or cleared by FDA and has
been on the market for more than 2 to
3 years. In the FY 2010 IPPS/RY 2010
LTCH PPS final rule (74 FR 43813
through 43814), we established criteria
for evaluating whether a new
technology is substantially similar to an
existing technology, specifically: (1)
Whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome; (2) whether a
product is assigned to the same or a
different MS–DRG; and (3) whether the
new use of the technology involves the
treatment of the same or similar type of
disease and the same or similar patient
population. If a technology meets all
three of these criteria, it would be
considered substantially similar to an
existing technology and would not be
considered ‘‘new’’ for purposes of new
technology add-on payments. For a
detailed discussion of the criteria for
substantial similarity, we refer readers
to the FY 2006 IPPS final rule (70 FR
47351 through 47352), and the FY 2010
IPPS/LTCH PPS final rule (74 FR 43813
through 43814).
Under the second criterion,
§ 412.87(b)(3) further provides that, to
be eligible for the add-on payment for
new medical services or technologies,
the MS–DRG prospective payment rate
otherwise applicable to discharges
involving the new medical service or
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17:51 May 02, 2019
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technology must be assessed for
adequacy. Under the cost criterion,
consistent with the formula specified in
section 1886(d)(5)(K)(ii)(I) of the Act, to
assess the adequacy of payment for a
new technology paid under the
applicable MS–DRG prospective
payment rate, we evaluate whether the
charges for cases involving the new
technology exceed certain threshold
amounts. The MS–DRG threshold
amounts used in evaluating new
technology add-on payment
applications for FY 2020 are presented
in a data file that is available, along with
the other data files associated with the
FY 2019 IPPS/LTCH PPS final rule and
correction notice, on the CMS website
at: https://www.cms.gov/Medicare/
Medicare-Fee-for-Service-Payment/
AcuteInpatientPPS/FY2019-IPPS-FinalRule-Home-Page-Items/FY2019-IPPSFinal-Rule-Data-Files.html?DLPage=1&
DLEntries=10&DLSort=0&DLSortDir=
ascending. As finalized in the FY 2019
IPPS/LTCH PPS final rule (83 FR
41275), beginning with FY 2020, we
include the thresholds applicable to the
next fiscal year (previously included in
Table 10 of the annual IPPS/LTCH PPS
proposed and final rules) in the data
files associated with the prior fiscal
year. Accordingly, the proposed
thresholds for applications for new
technology add-on payments for FY
2021 are presented in a data file that is
available on the CMS website, along
with the other data files associated with
this FY 2020 proposed rule, by clicking
on the FY 2020 IPPS Proposed Rule
Home Page at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
index.html.
In the September 7, 2001 final rule
that established the new technology
add-on payment regulations (66 FR
46917), we discussed the issue of
whether the Health Insurance
Portability and Accountability Act
(HIPAA) Privacy Rule at 45 CFR parts
160 and 164 applies to claims
information that providers submit with
applications for new medical service or
technology add-on payments. We refer
readers to the FY 2012 IPPS/LTCH PPS
final rule (76 FR 51573) for complete
information on this issue.
Under the third criterion,
§ 412.87(b)(1) of our existing regulations
provides that a new technology is an
appropriate candidate for an additional
payment when it represents an advance
that substantially improves, relative to
technologies previously available, the
diagnosis or treatment of Medicare
beneficiaries. For example, a new
technology represents a substantial
clinical improvement when it reduces
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19273
mortality, decreases the number of
hospitalizations or physician visits, or
reduces recovery time compared to the
technologies previously available. (We
refer readers to the September 7, 2001
final rule for a more detailed discussion
of this criterion (66 FR 46902). We also
refer readers to section II.H.8. of the
preamble of this proposed rule for a
discussion of our proposed alternative
inpatient new technology add-on
payment pathway for transformative
new devices.)
The new medical service or
technology add-on payment policy
under the IPPS provides additional
payments for cases with relatively high
costs involving eligible new medical
services or technologies, while
preserving some of the incentives
inherent under an average-based
prospective payment system. The
payment mechanism is based on the
cost to hospitals for the new medical
service or technology. Under § 412.88, if
the costs of the discharge (determined
by applying cost-to-charge ratios (CCRs)
as described in § 412.84(h)) exceed the
full DRG payment (including payments
for IME and DSH, but excluding outlier
payments), Medicare will make an addon payment equal to the lesser of: (1) 50
percent of the estimated costs of the
new technology or medical service (if
the estimated costs for the case
including the new technology or
medical service exceed Medicare’s
payment); or (2) 50 percent of the
difference between the full DRG
payment and the hospital’s estimated
cost for the case. Unless the discharge
qualifies for an outlier payment, the
additional Medicare payment is limited
to the full MS–DRG payment plus 50
percent of the estimated costs of the
new technology or medical service. We
refer readers to section II.H.9. of the
preamble of this proposed rule for a
discussion of our proposed change to
the calculation of the new technology
add-on payment beginning in FY 2020,
including our proposed amendments to
§ 412.88 of the regulations.
Section 503(d)(2) of Public Law 108–
173 provides that there shall be no
reduction or adjustment in aggregate
payments under the IPPS due to add-on
payments for new medical services and
technologies. Therefore, in accordance
with section 503(d)(2) of Public Law
108–173, add-on payments for new
medical services or technologies for FY
2005 and later years have not been
subjected to budget neutrality.
In the FY 2009 IPPS final rule (73 FR
48561 through 48563), we modified our
regulations at § 412.87 to codify our
longstanding practice of how CMS
evaluates the eligibility criteria for new
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medical service or technology add-on
payment applications. That is, we first
determine whether a medical service or
technology meets the newness criterion,
and only if so, do we then make a
determination as to whether the
technology meets the cost threshold and
represents a substantial clinical
improvement over existing medical
services or technologies. We amended
§ 412.87(c) to specify that all applicants
for new technology add-on payments
must have FDA approval or clearance by
July 1 of the year prior to the beginning
of the fiscal year for which the
application is being considered.
The Council on Technology and
Innovation (CTI) at CMS oversees the
agency’s cross-cutting priority on
coordinating coverage, coding and
payment processes for Medicare with
respect to new technologies and
procedures, including new drug
therapies, as well as promoting the
exchange of information on new
technologies and medical services
between CMS and other entities. The
CTI, composed of senior CMS staff and
clinicians, was established under
section 942(a) of Public Law 108–173.
The Council is co-chaired by the
Director of the Center for Clinical
Standards and Quality (CCSQ) and the
Director of the Center for Medicare
(CM), who is also designated as the
CTI’s Executive Coordinator.
The specific processes for coverage,
coding, and payment are implemented
by CM, CCSQ, and the local Medicare
Administrative Contractors (MACs) (in
the case of local coverage and payment
decisions). The CTI supplements, rather
than replaces, these processes by
working to assure that all of these
activities reflect the agency-wide
priority to promote high-quality,
innovative care. At the same time, the
CTI also works to streamline, accelerate,
and improve coordination of these
processes to ensure that they remain up
to date as new issues arise. To achieve
its goals, the CTI works to streamline
and create a more transparent coding
and payment process, improve the
quality of medical decisions, and speed
patient access to effective new
treatments. It is also dedicated to
supporting better decisions by patients
and doctors in using Medicare-covered
services through the promotion of better
evidence development, which is critical
for improving the quality of care for
Medicare beneficiaries.
To improve the understanding of
CMS’ processes for coverage, coding,
and payment and how to access them,
the CTI has developed an ‘‘Innovator’s
Guide’’ to these processes. The intent is
to consolidate this information, much of
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which is already available in a variety
of CMS documents and in various
places on the CMS website, in a user
friendly format. This guide was
published in 2010 and is available on
the CMS website at: https://
www.cms.gov/Medicare/Coverage/
CouncilonTechInnov/Downloads/
Innovators-Guide-Master-7-23-15.pdf.
As we indicated in the FY 2009 IPPS
final rule (73 FR 48554), we invite any
product developers or manufacturers of
new medical services or technologies to
contact the agency early in the process
of product development if they have
questions or concerns about the
evidence that would be needed later in
the development process for the
agency’s coverage decisions for
Medicare.
The CTI aims to provide useful
information on its activities and
initiatives to stakeholders, including
Medicare beneficiaries, advocates,
medical product manufacturers,
providers, and health policy experts.
Stakeholders with further questions
about Medicare’s coverage, coding, and
payment processes, or who want further
guidance about how they can navigate
these processes, can contact the CTI at
CTI@cms.hhs.gov.
We note that applicants for add-on
payments for new medical services or
technologies for FY 2021 must submit a
formal request, including a full
description of the clinical applications
of the medical service or technology and
the results of any clinical evaluations
demonstrating that the new medical
service or technology represents a
substantial clinical improvement, along
with a significant sample of data to
demonstrate that the medical service or
technology meets the high-cost
threshold. Complete application
information, along with final deadlines
for submitting a full application, will be
posted as it becomes available on the
CMS website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
newtech.html. To allow interested
parties to identify the new medical
services or technologies under review
before the publication of the proposed
rule for FY 2021, the CMS website also
will post the tracking forms completed
by each applicant. We note that the
burden associated with this information
collection requirement is the time and
effort required to collect and submit the
data in the formal request for add-on
payments for new medical services and
technologies to CMS. The
aforementioned burden is subject to the
PRA; it is currently approved under
OMB control number 0938–1347, which
expires on December 31, 2020.
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2. Public Input Before Publication of a
Notice of Proposed Rulemaking on AddOn Payments
Section 1886(d)(5)(K)(viii) of the Act,
as amended by section 503(b)(2) of
Public Law 108–173, provides for a
mechanism for public input before
publication of a notice of proposed
rulemaking regarding whether a medical
service or technology represents a
substantial clinical improvement or
advancement. The process for
evaluating new medical service and
technology applications requires the
Secretary to—
• Provide, before publication of a
proposed rule, for public input
regarding whether a new service or
technology represents an advance in
medical technology that substantially
improves the diagnosis or treatment of
Medicare beneficiaries;
• Make public and periodically
update a list of the services and
technologies for which applications for
add-on payments are pending;
• Accept comments,
recommendations, and data from the
public regarding whether a service or
technology represents a substantial
clinical improvement; and
• Provide, before publication of a
proposed rule, for a meeting at which
organizations representing hospitals,
physicians, manufacturers, and any
other interested party may present
comments, recommendations, and data
regarding whether a new medical
service or technology represents a
substantial clinical improvement to the
clinical staff of CMS.
In order to provide an opportunity for
public input regarding add-on payments
for new medical services and
technologies for FY 2020 prior to
publication of this FY 2020 IPPS/LTCH
PPS proposed rule, we published a
notice in the Federal Register on
October 5, 2018 (83 FR 50379), and held
a town hall meeting at the CMS
Headquarters Office in Baltimore, MD,
on December 4, 2018. In the
announcement notice for the meeting,
we stated that the opinions and
presentations provided during the
meeting would assist us in our
evaluations of applications by allowing
public discussion of the substantial
clinical improvement criterion for each
of the FY 2020 new medical service and
technology add-on payment
applications before the publication of
the FY 2020 IPPS/LTCH PPS proposed
rule.
Approximately 100 individuals
registered to attend the town hall
meeting in person, while additional
individuals listened over an open
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telephone line. We also live-streamed
the town hall meeting and posted the
morning and afternoon sessions of the
town hall on the CMS YouTube web
page at: https://www.youtube.com/
watch?v=4z1AhEuGHqQ and https://
www.youtube.com/
watch?v=m26Xj1EzbIY, respectively.
We considered each applicant’s
presentation made at the town hall
meeting, as well as written comments
submitted on the applications that were
received by the due date of December
14, 2018, in our evaluation of the new
technology add-on payment
applications for FY 2020 in this FY 2020
IPPS/LTCH PPS proposed rule.
In response to the published notice
and the December 4, 2018 New
Technology Town Hall meeting, we
received written comments regarding
the applications for FY 2020 new
technology add-on payments. We note
that we do not summarize comments
that are unrelated to the ‘‘substantial
clinical improvement’’ criterion. As
explained earlier and in the Federal
Register notice announcing the New
Technology Town Hall meeting (83 FR
50379 through 50381), the purpose of
the meeting was specifically to discuss
the substantial clinical improvement
criterion in regard to pending new
technology add-on payment
applications for FY 2020. Therefore, we
are not summarizing those written
comments in this proposed rule that are
unrelated to the substantial clinical
improvement criterion. In section II.H.5.
of the preamble of this FY 2020 IPPS/
LTCH PPS proposed rule, we are
summarizing comments regarding
individual applications, or, if
applicable, indicating that there were no
comments received in response to the
New Technology Town Hall meeting
notice, at the end of each discussion of
the individual applications.
Comment: One commenter expressed
appreciation for CMS’ statements in the
FY 2019 IPPS/LTCH PPS proposed rule
(83 FR 20278 through 20279) relating to
the similarity between data that satisfy
the FDA’s designations and data that
satisfy the substantial clinical
improvement criterion under the new
technology add-on payment policy. The
commenter stated that clarity was
provided that will help future
applicants understand which types of
data can serve as the foundation for
satisfying the substantial clinical
improvement criterion. The commenter
also expressed its appreciation that CMS
further clarified that it accepts a wide
range of data that would support the
conclusion that the technology
represents a substantial clinical
improvement. The commenter
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explained that it interpreted CMS’
statements to mean that CMS
appreciates and considers the patient’s
experience and point-of-view in its
determination of a technology’s
substantial clinical improvement with
respect to existing technologies, and
stated that it hopes the agency will
confirm this rationale in upcoming
rulemaking.
Response: We appreciate the
commenter’s support of our clarifying
statements in the FY 2019 IPPS/LTCH
PPS proposed rule. Additionally, we
refer the commenter to the September 7,
2001 final rule for a more detailed
discussion of the substantial clinical
improvement criterion (66 FR 46902).
We also refer readers to section II.H.8.
of the preamble of this proposed rule for
a discussion of our proposed alternative
inpatient new technology add-on
payment pathway for transformative
new devices, and sections II.H.6. and
II.H.7. of the preamble of this proposed
rule for a discussion of and request for
comment on potential revisions to the
new technology add-on payment
substantial clinical improvement
criterion.
Comment: Another commenter stated
that the criteria for priority FDA review
are very similar to the criteria to
substantiate a technology’s substantial
clinical improvement under the new
technology add-on payment policy and,
therefore, devices used in the inpatient
setting that are determined to be eligible
for expedited review and approved by
the FDA should automatically be
considered as representing a substantial
clinical improvement with respect to
existing technologies, without further
consideration by CMS.
Response: We refer readers to our
response to this and similar comments
in the FY 2019 IPPS/LTCH PPS
proposed rule (83 FR 20278 through
20279).
Comment: One commenter stated that
an entity submitting an application for
new technology add-on payments
should be entitled to administrative
review of an adverse determination by
an official of the Department of Health
and Human Services other than an
official of the CMS. The commenter
believed that this will provide a
safeguard both for the manufacturer
submitting an application, as well as for
beneficiaries who would benefit from
access to the innovative technology that
is the subject of the new technology
add-on payment application. The
commenter further recommended that
administrative review of an adverse
determination should not preclude
resubmission of a modified application
at a later point in the future.
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Response: As discussed previously,
the public has an opportunity at the
New Technology Town Hall meeting to
provide input regarding the substantial
clinical improvement criterion for each
new technology add-on payment
application under review for the
upcoming fiscal year. We summarize
each application in the IPPS/LTCH PPS
proposed rule, and consider the public
comments received in response to the
proposed rule in determining whether
to approve an application for new
technology add-on payments.
Furthermore, we also accept additional
supplemental information on all new
technology add-on payment
applications summarized in the
proposed rule through the end of the
comment period for the annual IPPS/
LTCH PPS proposed rule. We conduct a
thorough review of all applications and,
as described above, allow a wide range
of data that would support the
conclusion of a representation of
substantial clinical improvement. We
also note that an applicant may always
resubmit an application for new
technology add-on payments for a
subsequent year following a denial of an
application submitted for a prior fiscal
year.
3. ICD–10–PCS Section ‘‘X’’ Codes for
Certain New Medical Services and
Technologies
As discussed in the FY 2016 IPPS/
LTCH PPS final rule (80 FR 49434), the
ICD–10–PCS includes a new section
containing the new Section ‘‘X’’ codes,
which began being used with discharges
occurring on or after October 1, 2015.
Decisions regarding changes to ICD–10–
PCS Section ‘‘X’’ codes will be handled
in the same manner as the decisions for
all of the other ICD–10–PCS code
changes. That is, proposals to create,
delete, or revise Section ‘‘X’’ codes
under the ICD–10–PCS structure will be
referred to the ICD–10 Coordination and
Maintenance Committee. In addition,
several of the new medical services and
technologies that have been, or may be,
approved for new technology add-on
payments may now, and in the future,
be assigned a Section ‘‘X’’ code within
the structure of the ICD–10–PCS. We
posted ICD–10–PCS Guidelines on the
CMS website at: https://www.cms.gov/
Medicare/Coding/ICD10/2016-ICD-10PCS-and-GEMs.html, including
guidelines for ICD–10–PCS Section ‘‘X’’
codes. We encourage providers to view
the material provided on ICD–10–PCS
Section ‘‘X’’ codes.
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4. Proposed FY 2020 Status of
Technologies Approved for FY 2019
New Technology Add-On Payments
a. Defitelio® (Defibrotide)
Jazz Pharmaceuticals submitted an
application for new technology add-on
payments for FY 2017 for defibrotide
(Defitelio®), a treatment for patients
who have been diagnosed with hepatic
veno-occlusive disease (VOD) with
evidence of multi-organ dysfunction.
VOD, also known as sinusoidal
obstruction syndrome (SOS), is a
potentially life-threatening complication
of hematopoietic stem cell
transplantation (HSCT), with an
incidence rate of 8 percent to 15
percent. Diagnoses of VOD range in
severity from what has been classically
defined as a disease limited to the liver
(mild) and reversible, to a severe
syndrome associated with multi-organ
dysfunction or failure and death.
Patients who have received treatment
involving HSCT who develop VOD with
multi-organ failure face an immediate
risk of death, with a mortality rate of
more than 80 percent when only
supportive care is used. The applicant
asserted that Defitelio® improves the
survival rate of patients who have been
diagnosed with VOD with multi-organ
failure by 23 percent.
Defitelio® received Orphan Drug
Designation for the treatment of VOD in
2003 and for the prevention of VOD in
2007. It has been available to patients as
an investigational drug through an
Expanded Access Program since 2006.
The applicant’s New Drug Application
(NDA) for Defitelio® received FDA
approval on March 30, 2016. The
applicant confirmed that Defitelio® was
not available on the U.S. market as of
the FDA NDA approval date of March
30, 2016. According to the applicant,
commercial packaging could not be
completed until the label for Defitelio®
was finalized with FDA approval, and
that commercial shipments of Defitelio®
to hospitals and treatment centers began
on April 4, 2016. Therefore, we agreed
that, based on this information, the
newness period for Defitelio® begins on
April 4, 2016, the date of its first
commercial availability.
The applicant received approval to
use unique ICD–10–PCS procedure
codes to describe the use of Defitelio®,
with an effective date of October 1,
2016. The approved ICD–10–PCS
procedure codes are: XW03392
(Introduction of defibrotide sodium
anticoagulant into peripheral vein,
percutaneous approach); and XW04392
(Introduction of defibrotide sodium
anticoagulant into central vein,
percutaneous approach). After
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evaluation of the newness, costs, and
substantial clinical improvement
criteria for new technology add-on
payments for Defitelio® and
consideration of the public comments
we received in response to the FY 2017
IPPS/LTCH PPS proposed rule, we
approved Defitelio® for new technology
add-on payments for FY 2017 (81 FR
56906). With the new technology addon payment application, the applicant
estimated that the average Medicare
beneficiary would require a dosage of 25
mg/kg/day for a minimum of 21 days of
treatment. The recommended dose is
6.25 mg/kg given as a 2-hour
intravenous infusion every 6 hours.
Dosing should be based on a patient’s
baseline body weight, which is assumed
to be 70 kg for an average adult patient.
All vials contain 200 mg at a cost of
$825 per vial. Therefore, we determined
that cases involving the use of the
Defitelio® technology would incur an
average cost per case of $151,800 (70 kg
adult × 25 mg/kg/day × 21 days = 36,750
mg per patient/200 mg vial = 184 vials
per patient × $825 per vial = $151,800).
Under existing § 412.88(a)(2), we limit
new technology add-on payments to the
lesser of 50 percent of the average cost
of the technology or 50 percent of the
costs in excess of the MS–DRG payment
for the case. As a result, the maximum
new technology add-on payment
amount for a case involving the use of
Defitelio® is $75,900 for FY 2019.
Our policy is that a medical service or
technology may continue to be
considered ‘‘new’’ for purposes of new
technology add-on payments within 2 or
3 years after the point at which data
begin to become available reflecting the
inpatient hospital code assigned to the
new service or technology. Our practice
has been to begin and end new
technology add-on payments on the
basis of a fiscal year, and we have
generally followed a guideline that uses
a 6-month window before and after the
start of the fiscal year to determine
whether to extend the new technology
add-on payment for an additional fiscal
year. In general, we extend new
technology add-on payments for an
additional year only if the 3-year
anniversary date of the product’s entry
onto the U.S. market occurs in the latter
half of the fiscal year (70 FR 47362).
With regard to the newness criterion
for Defitelio®, we considered the
beginning of the newness period to
commence on the first day Defitelio®
was commercially available (April 4,
2016). Because the 3-year anniversary
date of the entry of the Defitelio® onto
the U.S. market (April 4, 2019) will
occur during FY 2019, we are proposing
to discontinue new technology add-on
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payments for this technology for FY
2020. We are inviting public comments
on our proposal to discontinue new
technology add-on payments for
Defitelio® for FY 2020.
b. Ustekinumab (Stelara®)
Janssen Biotech submitted an
application for new technology add-on
payments for the Stelara® induction
therapy for FY 2018. Stelara® received
FDA approval on September 23, 2016 as
an intravenous (IV) infusion treatment
for adult patients who have been
diagnosed with moderately to severely
active Crohn’s disease (CD) who have
failed or were intolerant to treatment
using immunomodulators or
corticosteroids, but never failed a tumor
necrosis factor (TNF) blocker, or failed
or were intolerant to treatment using
one or more TNF blockers. Stelara® IV
is intended for induction—
subcutaneous prefilled syringes are
intended for maintenance dosing.
Stelara® must be administered
intravenously by a health care
professional in either an inpatient
hospital setting or an outpatient hospital
setting.
Stelara® for IV infusion is packaged in
single 130 mg vials. Induction therapy
consists of a single IV infusion dose
using the following weight-based dosing
regimen: Patients weighing 55 kg or less
than (<) 55 kg are administered 260 mg
of Stelara® (2 vials); patients weighing
more than (>) 55 kg, but 85 kg or less
than (<) 85 kg are administered 390 mg
of Stelara® (3 vials); and patients
weighing more than (>) 85 kg are
administered 520 mg of Stelara® (4
vials). An average dose of Stelara®
administered through IV infusion is 390
mg (3 vials). Maintenance doses of
Stelara® are administered at 90 mg,
subcutaneously, at 8-week intervals and
may occur in the outpatient hospital
setting.
CD is an inflammatory bowel disease
of unknown etiology, characterized by
transmural inflammation of the
gastrointestinal (GI) tract. Symptoms of
CD may include fatigue, prolonged
diarrhea with or without bleeding,
abdominal pain, weight loss and fever.
CD can affect any part of the GI tract
including the mouth, esophagus,
stomach, small intestine, and large
intestine. Most commonly used
pharmacologic treatments for CD
include antibiotics, mesalamines,
corticosteroids, immunomodulators,
tumor necrosis alpha (TNFa) inhibitors,
and anti-integrin agents. Surgery may be
necessary for some patients who have
been diagnosed with CD in which
conventional therapies have failed.
After evaluation of the newness, costs,
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and substantial clinical improvement
criteria for new technology add-on
payments for Stelara® and consideration
of the public comments we received in
response to the FY 2018 IPPS/LTCH
PPS proposed rule, we approved
Stelara® for new technology add-on
payments for FY 2018 (82 FR 38129).
Cases involving Stelara® that are eligible
for new technology add-on payments
are identified by ICD–10–PCS procedure
code XW033F3 (Introduction of other
New Technology therapeutic substance
into peripheral vein, percutaneous
approach, new technology group 3).
With the new technology add-on
payment application, the applicant
estimated that the average Medicare
beneficiary would require a dosage of
390 mg (3 vials) at a hospital acquisition
cost of $1,600 per vial (for a total of
$4,800). Under existing § 412.88(a)(2),
we limit new technology add-on
payments to the lesser of 50 percent of
the average cost of the technology or 50
percent of the costs in excess of the MS–
DRG payment for the case. As a result,
the maximum new technology add-on
payment amount for a case involving
the use of Stelara® is $2,400 for FY
2019.
With regard to the newness criterion
for Stelara®, we considered the
beginning of the newness period to
commence when Stelara® received FDA
approval as an IV infusion treatment for
Crohn’s disease (CD) on September 23,
2016. Because the 3-year anniversary
date of the entry of Stelara® onto the
U.S. market (September 23, 2019) will
occur during FY 2019, we are proposing
to discontinue new technology add-on
payments for this technology for FY
2020. We are inviting public comments
on our proposal to discontinue new
technology add-on payments for
Stelara® for FY 2020.
c. Bezlotoxumab (ZINPLAVATM)
Merck & Co., Inc. submitted an
application for new technology add-on
payments for ZINPLAVATM for FY 2018.
ZINPLAVATM is indicated as a
treatment to reduce recurrence of
Clostridium difficile infection (CDI) in
adult patients who are receiving
antibacterial drug treatment for a
diagnosis of CDI and who are at high
risk for CDI recurrence. ZINPLAVATM is
not indicated for the treatment of the
presenting episode of CDI and is not an
antibacterial drug. ZINPLAVATM should
only be used in conjunction with an
antibacterial drug treatment for CDI.
Clostridium difficile (C-diff) is a
disease-causing anaerobic, spore
forming bacterium that affects the
gastrointestinal (GI) tract. Some people
carry the C-diff bacterium in their
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intestines, but never develop symptoms
of an infection. The difference between
asymptomatic colonization and disease
is caused primarily by the production of
an enterotoxin (Toxin A) and/or a
cytotoxin (Toxin B). The presence of
either or both toxins can lead to
symptomatic CDI, which is defined as
the acute onset of diarrhea with a
documented infection with toxigenic Cdiff. The GI tract contains millions of
bacteria, commonly referred to as
‘‘normal flora’’ or ‘‘good bacteria,’’
which play a role in protecting the body
from infection. Antibiotics can kill these
good bacteria and allow C-diff to
multiply and release toxins that damage
the cells lining the intestinal wall,
resulting in a CDI. CDI is a leading cause
of hospital-associated gastrointestinal
illnesses. Persons at increased risk for
CDI include people who are currently
on or who have recently been treated
with antibiotics, people who have
encountered current or recent
hospitalization, people who are older
than 65 years, immunocompromised
patients, and people who have recently
had a diagnosis of CDI. CDI symptoms
include, but are not limited to, diarrhea,
abdominal pain, and fever. CDI
symptoms range in severity from mild
(abdominal discomfort, loose stools) to
severe (profuse, watery diarrhea, severe
abdominal pain, and high fevers).
Severe CDI can be life-threatening and,
in rare cases, can cause bowel rupture,
sepsis and organ failure. CDI is
responsible for 14,000 deaths per year in
the United States.
C-diff produces two virulent, proinflammatory toxins, Toxin A and Toxin
B, which target host colonic endothelial
cells by binding to endothelial cell
surface receptors via combined
repetitive oligopeptide (CROP) domains.
These toxins cause the release of
inflammatory cytokines leading to
intestinal fluid secretion and intestinal
inflammation. The applicant asserted
that ZINPLAVATM targets Toxin B sites
within the CROP domain rather than the
C-diff organism itself. According to the
applicant, by targeting C-diff Toxin B,
ZINPLAVATM neutralizes Toxin B,
prevents large intestine endothelial cell
inflammation, symptoms associated
with CDI, and reduces the recurrence of
CDI. ZINPLAVATM received FDA
approval on October 21, 2016, as a
treatment to reduce the recurrence of
CDI in adult patients receiving
antibacterial drug treatment for CDI and
who are at high risk of CDI recurrence.
As previously stated, ZINPLAVATM is
not indicated for the treatment of CDI.
ZINPLAVATM is not an antibacterial
drug, and should only be used in
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conjunction with an antibacterial drug
treatment for CDI. ZINPLAVATM became
commercially available on February 10,
2017. Therefore, the newness period for
ZINPLAVATM began on February 10,
2017. The applicant submitted a request
for a unique ICD–10–PCS procedure
code and was granted approval for the
following procedure codes: XW033A3
(Introduction of bezlotoxumab
monoclonal antibody, into peripheral
vein, percutaneous approach, new
technology group 3) and XW043A3
(Introduction of bezlotoxumab
monoclonal antibody, into central vein,
percutaneous approach, new technology
group 3).
After evaluation of the newness, costs,
and substantial clinical improvement
criteria for new technology add-on
payments for ZINPLAVATM and
consideration of the public comments
we received in response to the FY 2018
IPPS/LTCH PPS proposed rule, we
approved ZINPLAVATM for new
technology add-on payments for FY
2018 (82 FR 38119). With the new
technology add-on payment application,
the applicant estimated that the average
Medicare beneficiary would require a
dosage of 10 mg/kg of ZINPLAVATM
administered as an IV infusion over 60
minutes as a single dose. According to
the applicant, the WAC for one dose is
$3,800. Under existing § 412.88(a)(2),
we limit new technology add-on
payments to the lesser of 50 percent of
the average cost of the technology or 50
percent of the costs in excess of the MS–
DRG payment for the case. As a result,
the maximum new technology add-on
payment amount for a case involving
the use of ZINPLAVATM is $1,900 for
FY 2019.
With regard to the newness criterion
for ZINPLAVATM, we considered the
beginning of the newness period to
commence on February 10, 2017. As
discussed previously in this section, in
general, we extend new technology addon payments for an additional year only
if the 3-year anniversary date of the
product’s entry onto the U.S. market
occurs in the latter half of the upcoming
fiscal year. Because the 3-year
anniversary date of the entry of
ZINPLAVATM onto the U.S. market
(February 10, 2020) will occur in the
first half of FY 2020, we are proposing
to discontinue new technology add-on
payments for this technology for FY
2020. We are inviting public comments
on our proposal to discontinue new
technology add-on payments for
ZINPLAVATM for FY 2020.
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d. KYMRIAH® (Tisagenlecleucel) and
YESCARTA® (Axicabtagene Ciloleucel)
Two manufacturers, Novartis
Pharmaceuticals Corporation and Kite
Pharma, Inc., submitted separate
applications for new technology add-on
payments for FY 2019 for KYMRIAH®
(tisagenlecleucel) and YESCARTA®
(axicabtagene ciloleucel), respectively.
Both of these technologies are CD–19directed T-cell immunotherapies used
for the purposes of treating patients
with aggressive variants of non-Hodgkin
lymphoma (NHL).
On May 1, 2018, Novartis
Pharmaceuticals Corporation received
FDA approval for KYMRIAH®’s second
indication, the treatment of adult
patients with relapsed or refractory (r/r)
large B-cell lymphoma after two or more
lines of systemic therapy including
diffuse large B-cell lymphoma (DLBCL)
not otherwise specified, high grade Bcell lymphoma and DLBCL arising from
follicular lymphoma. On October 18,
2017, Kite Pharma, Inc. received FDA
approval for the use of YESCARTA®
indicated for the treatment of adult
patients with r/r large B-cell lymphoma
after two or more lines of systemic
therapy, including DLBCL not otherwise
specified, primary mediastinal large Bcell lymphoma, high grade B-cell
lymphoma, and DLBCL arising from
follicular lymphoma.
Procedures involving the KYMRIAH®
and YESCARTA® therapies are both
reported using the following ICD–10–
PCS procedure codes: XW033C3
(Introduction of engineered autologous
chimeric antigen receptor t-cell
immunotherapy into peripheral vein,
percutaneous approach, new technology
group 3); and XW043C3 (Introduction of
engineered autologous chimeric antigen
receptor t-cell immunotherapy into
central vein, percutaneous approach,
new technology group 3). In the FY
2019 IPPS/LTCH PPS final rule, we
finalized our proposal to assign cases
reporting these ICD–10–PCS procedure
codes to Pre-MDC MS–DRG 016 for FY
2019 and to revise the title of this MS–
DRG to Autologous Bone Marrow
Transplant with CC/MCC or T-cell
Immunotherapy. We refer readers to
section II.F.2.d. of the preamble of the
FY 2019 IPPS/LTCH PPS final rule for
a complete discussion of these final
policies (83 FR 41172 through 41174).
With respect to the newness criterion,
according to both applicants,
KYMRIAH® and YESCARTA® are the
first CAR T-cell immunotherapies of
their kind. As discussed in the FY 2019
IPPS/LTCH PPS proposed and final
rules, because potential cases
representing patients who may be
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eligible for treatment using KYMRIAH®
and YESCARTA® would group to the
same MS–DRGs (because the same ICD–
10–CM diagnosis codes and ICD–10–
PCS procedures codes are used to report
treatment using either KYMRIAH® or
YESCARTA®), and we believed that
these technologies are intended to treat
the same or similar disease in the same
or similar patient population, and are
purposed to achieve the same
therapeutic outcome using the same or
similar mechanism of action, we
believed these two technologies are
substantially similar to each other and
that it was appropriate to evaluate both
technologies as one application for new
technology add-on payments under the
IPPS. For these reasons, we stated that
we intended to make one determination
regarding approval for new technology
add-on payments that would apply to
both applications, and in accordance
with our policy, would use the earliest
market availability date submitted as the
beginning of the newness period for
both KYMRIAH® and YESCARTA®.
As summarized in the FY 2019 IPPS/
LTCH PPS final rule, we received
comments from the applicants for
KYMRIAH® and YESCARTA® regarding
whether KYMRIAH® and YESCARTA®
were substantially similar to each other.
The applicant for YESCARTA® stated
that it believed each technology consists
of notable differences in the
construction, as well as manufacturing
processes and successes that may lead
to differences in activity. The applicant
encouraged CMS to evaluate
YESCARTA® as a separate new
technology add-on payment application
and approve separate new technology
add-on payments for YESCARTA®,
effective October 1, 2018, and to not
move forward with a single new
technology add-on payment evaluation
determination that covers both CAR Tcell therapies, YESCARTA® and
KYMRIAH®. The applicant for
KYMRIAH® indicated that, based on
FDA’s approval, it agreed with CMS that
KYMRIAH® is substantially similar to
YESCARTA®, as defined by the new
technology add-on payment application
evaluation criteria. We refer readers to
the FY 2019 IPPS/LTCH PPS final rule
for a more detailed summary of these
and other public comments we received
regarding substantial similarity for
KYMRIAH® and YESCARTA®.
After consideration of the public
comments we received and for the
reasons discussed in the FY 2019 IPPS/
LTCH PPS final rule, we stated that we
believed that KYMRIAH® and
YESCARTA® are substantially similar to
one another. We also noted that for FY
2019, there was no payment impact
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regarding this determination of
substantial similarity because the cost of
the technologies is the same. However,
we stated that we welcomed additional
comments in future rulemaking
regarding whether KYMRIAH® and
YESCARTA® are substantially similar
and intended to revisit this issue in the
FY 2020 IPPS/LTCH PPS proposed rule.
For the reasons discussed in the FY
2019 IPPS/LTCH PPS final rule, we
continue to believe that KYMRIAH® and
YESCARTA® are substantially similar to
each other. We note that for FY 2020,
the pricing for KYMRIAH® and
YESCARTA® remains the same and,
therefore, for FY 2020, there would
continue to be no payment impact
regarding the determination that the two
technologies are substantially similar to
each other. Similar to last year, we
welcome public comments regarding
whether KYMRIAH® and YESCARTA®
are substantially similar to each other.
We refer readers to the FY 2019 IPPS/
LTCH PPS final rule for a complete
discussion on newness and substantial
similarity regarding KYMRIAH® and
YESCARTA®.
After evaluation of the newness, costs,
and substantial clinical improvement
criteria for new technology add-on
payments for KYMRIAH® and
YESCARTA® and consideration of the
public comments we received in
response to the FY 2019 IPPS/LTCH
PPS proposed rule, we approved new
technology add-on payments for
KYMRIAH® and YESCARTA® for FY
2019 (83 FR 41299). Cases involving
KYMRIAH® or YESCARTA® that are
eligible for new technology add-on
payments are identified by ICD–10–PCS
procedure codes XW033C3 or
XW043C3. The applicants for both
KYMRIAH® and YESCARTA® estimated
that the average cost for an administered
dose of KYMRIAH® or YESCARTA® is
$373,000. Under existing § 412.88(a)(2),
we limit new technology add-on
payments to the lesser of 50 percent of
the average cost of the technology or 50
percent of the costs in excess of the MS–
DRG payment for the case. As a result,
for FY 2019, the maximum new
technology add-on payment for a case
involving the use of KYMRIAH® or
YESCARTA® is $186,500.
As stated above, our policy is that a
medical service or technology may
continue to be considered ‘‘new’’ for
purposes of new technology add-on
payments within 2 or 3 years after the
point at which data begin to become
available reflecting the inpatient
hospital code assigned to the new
service or technology. With regard to the
newness criterion for KYMRIAH® and
YESCARTA®, as discussed in the FY
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according to the applicant for
YESCARTA®, the first commercial
shipment of YESCARTA® was received
by a certified treatment center on
November 22, 2017. As stated above, we
use the earliest market availability date
submitted as the beginning of the
newness period for both KYMRIAH®
and YESCARTA®. Therefore, we
consider the beginning of the newness
period for both KYMRIAH® and
YESCARTA® to commence November
22, 2017. Because the 3-year anniversary
date of the entry of the technology onto
the U.S. market (November 22, 2020)
will occur after FY 2020, we are
proposing to continue new technology
add-on payments for KYMRIAH® and
YESCARTA® for FY 2020. Under the
proposed change to the calculation of
the new technology add-on payment
amount discussed in section II.H.9. of
the preamble of this proposed rule, we
are proposing that the maximum new
technology add-on payment amount for
a case involving the use of KYMRIAH®
and YESCARTA® would be increased to
$242,450 for FY 2020; that is, 65 percent
of the average cost of the technology.
However, if we do not finalize the
proposed change to the calculation of
the new technology add-on payment
amount, we are proposing that the
maximum new technology add-on
payment for a case involving
KYMRIAH® or YESCARTA® would
remain at $186,500 for FY 2020. We are
inviting public comments on our
proposals to continue new technology
add-on payments for KYMRIAH® and
YESCARTA® for FY 2020.
For the reasons discussed in section
II.F.2.c. of this proposed rule, we are
proposing not to modify the current
MS–DRG assignment for cases reporting
CAR T-cell therapies for FY 2020.
Alternatively, we are seeking public
comments on payment alternatives for
CAR T-cell therapies. We also are
inviting public comments on how these
payment alternatives would affect
access to care, as well as how they affect
incentives to encourage lower drug
prices, which is a high priority for this
Administration. As discussed in the FY
2019 IPPS/LTCH PPS final rule (83 FR
41172 through 41174), we are
considering approaches and authorities
to encourage value-based care and lower
drug prices. We are soliciting public
comments on how the effective dates of
any potential payment methodology
alternatives, if any were to be adopted,
may intersect and affect future
participation in any such alternative
approaches. Such payment alternatives
could include adjusting the CCRs used
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to calculate new technology add-on
payments for cases involving the use of
KYMRIAH® and YESCARTA®. We note
that we also considered this payment
alternative for FY 2019, as discussed in
the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41172 through 41174), and are
revisiting this approach given the
additional experience with CAR T-cell
therapy being provided in hospitals
paid under the IPPS and in IPPSexcluded cancer hospitals. We also are
requesting public comments on other
payment alternatives for these cases,
including eliminating the use of CCRs in
calculating the new technology add-on
payments for cases involving the use of
KYMRIAH® and YESCARTA® by
making a uniform add-on payment that
equals the proposed maximum add-on
payment, that is, 65 percent of the cost
of the technology (in accordance with
the proposed increase in the calculation
of the maximum new technology add-on
payment amount), which in this
instance would be $242,450; and/or
using a higher percentage than the
proposed 65 percent to calculate the
maximum new technology add-on
payment amount. If we were to finalize
any such changes to the new technology
add-on payment for cases involving the
use of KYMRIAH® and YESCARTA®,
we would also revise our proposed
amendments to § 412.88 accordingly.
e. VYXEOSTM (Cytarabine and
Daunorubicin Liposome for Injection)
Jazz Pharmaceuticals, Inc. submitted
an application for new technology addon payments for the VYXEOSTM
technology for FY 2019. VYXEOSTM was
approved by FDA on August 3, 2017, for
the treatment of adults with newly
diagnosed therapy-related acute
myeloid leukemia (t-AML) or AML with
myelodysplasia-related changes (AML–
MRC).
Treatment of AML diagnoses usually
consists of two phases; remission
induction and post-remission therapy.
Phase one, remission induction, is
aimed at eliminating as many
myeloblasts as possible. The most
common used remission induction
regimens for AML diagnoses are the
‘‘7+3’’ regimens using an antineoplastic
and an anthracycline. Cytarabine and
daunorubicin are two commonly used
drugs for ‘‘7+3’’ remission induction
therapy. Cytarabine is continuously
administered intravenously over the
course of 7 days, while daunorubicin is
intermittently administered
intravenously for the first 3 days. The
‘‘7+3’’ regimen typically achieves a 70
to 80 percent complete remission (CR)
rate in most patients under 60 years of
age.
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VYXEOSTM is a nano-scale liposomal
formulation containing a fixed
combination of cytarabine and
daunorubicin in a 5:1 molar ratio. This
formulation was developed by the
applicant using a proprietary system
known as CombiPlex. According to the
applicant, CombiPlex addresses several
fundamental shortcomings of
conventional combination regimens,
specifically the conventional ‘‘7+3’’ free
drug dosing, as well as the challenges
inherent in combination drug
development, by identifying the most
effective synergistic molar ratio of the
drugs being combined in vitro, and
fixing this ratio in a nano-scale drug
delivery complex to maintain the
optimized combination after
administration and ensuring exposure of
this ratio to the tumor.
After evaluation of the newness, costs,
and substantial clinical improvement
criteria for new technology add-on
payments for VYXEOSTM and
consideration of the public comments
we received in response to the FY 2019
IPPS/LTCH PPS proposed rule, we
approved VYXEOSTM for new
technology add-on payments for FY
2019 (83 FR 41304). Cases involving
VYXEOSTM that are eligible for new
technology add-on payments are
identified by ICD–10–PCS procedure
codes XW033B3 (Introduction of
cytarabine and caunorubicin liposome
antineoplastic into peripheral vein,
percutaneous approach, new technology
group 3) or XW043B3 (Introduction of
cytarabine and daunorubicin liposome
antineoplastic into central vein,
percutaneous approach, new technology
group 3). In its application, the
applicant estimated that the average cost
of a single vial for VYXEOSTM is $7,750
(daunorubicin 44 mg/m2 and cytarabine
100 mg/m2). As discussed in the FY
2019 IPPS/LTCH PPS final rule (83 FR
41305), we computed a maximum
average of 9.4 vials used in the inpatient
hospital setting with the maximum
average cost for VYXEOSTM used in the
inpatient hospital setting equaling
$72,850 ($7,750 cost per vial * 9.4
vials). Under existing § 412.88(a)(2), we
limit new technology add-on payments
to the lesser of 50 percent of the average
cost of the technology or 50 percent of
the costs in excess of the MS–DRG
payment for the case. As a result, the
maximum new technology add-on
payment for a case involving the use of
VYXEOSTM is $36,425 for FY 2019.
With regard to the newness criterion
for VYXEOSTM, we consider the
beginning of the newness period to
commence when VYXEOSTM was
approved by the FDA (August 3, 2017).
As discussed previously in this section,
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in general, we extend new technology
add-on payments for an additional year
only if the 3-year anniversary date of the
product’s entry onto the U.S. market
occurs in the latter half of the upcoming
fiscal year. Because the 3-year
anniversary date of the entry of the
VYXEOSTM onto the U.S. market
(August 3, 2020) will occur in the
second half of FY 2020, we are
proposing to continue new technology
add-on payments for this technology for
FY 2020. Under the proposed change to
the calculation of the new technology
add-on payment amount discussed in
section II.H.9. of the preamble of this
proposed rule, we are proposing that the
maximum new technology add-on
payment amount for a case involving
the use of VYXEOSTM would be
$47,353.50 for FY 2020; that is, 65
percent of the average cost of the
technology. However, if we do not
finalize the proposed change to the
calculation of the new technology addon payment amount, we are proposing
that the maximum new technology addon payment for a case involving
VYXEOSTM would remain at $36,425 for
FY 2020. We are inviting public
comments on our proposals to continue
new technology add-on payments for
VYXEOSTM for FY 2020.
f. VABOMERETM (MeropenemVaborbactam)
Melinta Therapeutics, Inc., submitted
an application for new technology addon payments for VABOMERETM for FY
2019. VABOMERETM is indicated for
use in the treatment of adult patients
who have been diagnosed with
complicated urinary tract infections
(cUTIs), including pyelonephritis,
caused by designated susceptible
bacteria. VABOMERETM received FDA
approval on August 29, 2017.
After evaluation of the newness, costs,
and substantial clinical improvement
criteria for new technology add-on
payments for VABOMERETM and
consideration of the public comments
we received in response to the FY 2019
IPPS/LTCH PPS proposed rule, we
approved VABOMERETM for new
technology add-on payments for FY
2019 (83 FR 41311). We noted in the FY
2019 IPPS/LTCH PPS final rule (83 FR
41311) that the applicant did not
request approval for the use of a unique
ICD–10–PCS procedure code for
VABOMERETM for FY 2019 and that as
a result, hospitals would be unable to
uniquely identify the use of
VABOMERETM on an inpatient claim
using the typical coding of an ICD–10–
PCS procedure code. We noted that in
the FY 2013 IPPS/LTCH PPS final rule
(77 FR 53352), with regard to the oral
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drug DIFICIDTM, we revised our policy
to allow for the use of an alternative
code set to identify oral medications
where no inpatient procedure is
associated for the purposes of new
technology add-on payments. We
established the use of a NDC as the
alternative code set for this purpose and
described our rationale for this
particular code set. This change was
effective for payments for discharges
occurring on or after October 1, 2012. In
the FY 2019 IPPS/LTCH PPS final rule,
we acknowledged that VABOMERETM is
not an oral drug and is administered by
IV infusion, but it was the first approved
new technology aside from an oral drug
with no uniquely assigned inpatient
procedure code. Therefore, we believed
that the circumstances with respect to
the identification of eligible cases using
VABOMERETM are similar to those
addressed in the FY 2013 IPPS/LTCH
PPS final rule with regard to DIFICIDTM
because we did not have current ICD–
10–PCS code(s) to uniquely identify the
use of VABOMERETM to make the new
technology add-on payment. We stated
that because we have determined that
VABOMERETM has met all of the new
technology add-on payment criteria and
cases involving the use of
VABOMERETM would be eligible for
such payments for FY 2019, we needed
to use an alternative coding method to
identify these cases and make the new
technology add-on payment for use of
VABOMERETM in FY 2019. Therefore,
for the reasons discussed in the FY 2019
IPPS/LTCH PPS final rule and similar to
the policy in the FY 2013 IPPS/LTCH
PPS final rule, cases involving
VABOMERETM that are eligible for new
technology add-on payments for FY
2019 are identified by National Drug
Codes (NDC) 65293–0009–01 or 70842–
0120–01 (VABOMERETM MeropenemVaborbactam Vial).
According to the applicant, the cost of
VABOMERETM is $165 per vial. A
patient receives two vials per dose and
three doses per day. Therefore, the perday cost of VABOMERETM is $990 per
patient. The duration of therapy,
consistent with the Prescribing
Information, is up to 14 days. Therefore,
the estimated cost of VABOMERETM to
the hospital, per patient, is $13,860. We
stated in the FY 2019 IPPS/LTCH PPS
final rule that based on the limited data
from the product’s launch,
approximately 80 percent of
VABOMERETM’s usage would be in the
inpatient hospital setting, and
approximately 20 percent of
VABOMERETM’s usage may take place
outside of the inpatient hospital setting.
Therefore, the average number of days
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of VABOMERETM administration in the
inpatient hospital setting is estimated at
80 percent of 14 days, or approximately
11.2 days. As a result, the total inpatient
cost for VABOMERETM is $11,088 ($990
* 11.2 days). Under existing
§ 412.88(a)(2), we limit new technology
add-on payments to the lesser of 50
percent of the average cost of the
technology or 50 percent of the costs in
excess of the MS–DRG payment for the
case. As a result, the maximum new
technology add-on payment for a case
involving the use of VABOMERETM is
$5,544 for FY 2019.
With regard to the newness criterion
for VABOMERETM, we consider the
beginning of the newness period to
commence when VABOMERETM
received FDA approval (August 29,
2017). As discussed previously in this
section, in general, we extend new
technology add-on payments for an
additional year only if the 3-year
anniversary date of the product’s entry
onto the U.S. market occurs in the latter
half of the upcoming fiscal year.
Because the 3-year anniversary date of
the entry of VABOMERETM onto the
U.S. market (August 29, 2020) will
occur during the second half of FY
2020, we are proposing to continue new
technology add-on payments for this
technology for FY 2020. Under the
proposed change to the calculation of
the new technology add-on payment
amount discussed in section II.H.9. of
the preamble of this proposed rule, we
are proposing that the maximum new
technology add-on payment amount for
a case involving the use of
VABOMERETM would be $7,207.20 for
FY 2020; that is, 65 percent of the
average cost of the technology.
However, if we do not finalize the
proposed change to the calculation of
the new technology add-on payment
amount, we are proposing that the
maximum new technology add-on
payment for a case involving
VABOMERETM would remain at $5,544
for FY 2020.
As noted above, because there was no
ICD–10–PCS code(s) to uniquely
identify the use of VABOMERETM, we
indicated in the FY 2019 IPPS/LTCH
PPS final rule that FY 2019 cases
involving the use of VABOMERETM that
are eligible for the FY 2019 new
technology add-on payments would be
identified using an NDC code.
Subsequent to the issuance of that final
rule, new ICD–10–PCS codes XW033N5
(Introduction of Meropenemvaborbactam Anti-infective into
Peripheral Vein, Percutaneous
Approach, New Technology Group 5)
and XW043N5 (Introduction of
Meropenem-vaborbactam Anti-infective
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into Central Vein, Percutaneous
Approach, New Technology Group 5)
were finalized to identify cases
involving the use of VABOMERETM,
effective October 1, 2019, as shown in
Table 6B—New Procedure Codes,
associated with this proposed rule and
available via the internet on the CMS
website at: https://www.cms.hhs.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
index.html. Therefore, for FY 2020, we
will use these two ICD–10–PCS codes
(XW033N5 and XW043N5) to identify
cases involving the use of
VABOMERETM that are eligible for the
new technology add-on payments.
While these newly approved ICD–10–
PCS procedure codes can be used to
uniquely identify cases involving the
use of VABOMERETM for FY 2020, we
are concerned that limiting new
technology add-on payments only to
cases reporting these new ICD–10–PCS
codes for FY 2020 could cause
confusion because it is possible that
some providers may inadvertently
continue to bill some claims with the
NDC codes rather than the new ICD–10–
PCS codes. Therefore, for FY 2020, we
are proposing that in addition to using
the new ICD–10–PCS codes to identify
cases involving the use of
VABOMERETM, we would also continue
to use the NDC codes to identify cases
and make the new technology add-on
payments. As a result, we are proposing
that cases involving the use of
VABOMERETM that are eligible for new
technology add-on payments for FY
2020 would be identified by ICD–10–
PCS codes XW033N5 or XW043N5 or
NDCs 65293–0009–01 or 70842–0120–
01.
We are inviting public comments on
our proposal to continue new
technology add-on payments for
VABOMERETM for FY 2020 and our
proposals for identifying and making
new technology add-on payments for
cases involving the use of
VABOMERETM.
g. remede¯® System
Respicardia, Inc. submitted an
application for new technology add-on
payments for the remede¯® System for
FY 2019. According to the applicant, the
remede¯® System is indicated for use as
a transvenous phrenic nerve stimulator
in the treatment of adult patients who
have been diagnosed with moderate to
severe central sleep apnea. The remede¯®
System consists of an implantable pulse
generator, and a stimulation and sensing
lead. The pulse generator is placed
under the skin, in either the right or left
side of the chest, and it functions to
monitor the patient’s respiratory signals.
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A transvenous lead for unilateral
stimulation of the phrenic nerve is
placed either in the left
pericardiophrenic vein or the right
brachiocephalic vein, and a second lead
to sense respiration is placed in the
azygos vein. Both leads, in combination
with the pulse generator, function to
sense respiration and, when
appropriate, generate an electrical
stimulation to the left or right phrenic
nerve to restore regular breathing
patterns. On October 6, 2017, the
remede¯® System was approved by the
FDA as an implantable phrenic nerve
stimulator indicated for the use in the
treatment of adult patients who have
been diagnosed with moderate to severe
CSA. The device was available
commercially upon FDA approval.
Therefore, the newness period for the
remede¯® System is considered to begin
on October 6, 2017.
After evaluation of the newness, costs,
and substantial clinical improvement
criteria for new technology add-on
payments for the remede¯® System and
consideration of the public comments
we received in response to the FY 2019
IPPS/LTCH PPS proposed rule, we
approved the remede¯® System for new
technology add-on payments for FY
2019. Cases involving the use of the
remede¯® System that are eligible for
new technology add-on payments are
identified by ICD–10–PCS procedures
codes 0JH60DZ and 05H33MZ in
combination with procedure code
05H03MZ (Insertion of neurostimulator
lead into right innominate vein,
percutaneous approach) or 05H43MZ
(Insertion of neurostimulator lead into
left innominate vein, percutaneous
approach). According to the application,
the cost of the remede¯® System is
$34,500 per patient. Under existing
§ 412.88(a)(2), we limit new technology
add-on payments to the lesser of 50
percent of the average cost of the
technology or 50 percent of the costs in
excess of the MS–DRG payment for the
case. As a result, the maximum new
technology add-on payment for a case
involving the use of the remede¯®
System is $17,250 for FY 2019 (83 FR
41320).
With regard to the newness criterion
for the remede¯® System, we consider
the beginning of the newness period to
commence when the remede¯® System
was approved by the FDA on October 6,
2017. Because the 3-year anniversary
date of the entry of the remede¯® System
onto the U.S. market (October 6, 2020)
will occur after FY 2020, we are
proposing to continue new technology
add-on payments for this technology for
FY 2020. Under the proposed change to
the calculation of the new technology
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add-on payment amount discussed in
section II.H.9. of the preamble of this
proposed rule, we are proposing that the
maximum new technology add-on
payment amount for a case involving
the use of the remede¯® System would be
$22,425 for FY 2020; that is, 65 percent
of the average cost of the technology.
However, if we do not finalize the
proposed change to the calculation of
the new technology add-on payment
amount, we are proposing that the
maximum new technology add-on
payment for a case involving the
remede¯® System would remain at
$17,250 for FY 2020. We are inviting
public comments on our proposals to
continue new technology add-on
payments for the remede¯® System for
FY 2020.
h. ZEMDRITM (Plazomicin)
Achaogen, Inc. submitted an
application for new technology add-on
payments for ZEMDRITM (Plazomicin)
for FY 2019. According to the applicant,
ZEMDRITM (Plazomicin) is a nextgeneration aminoglycoside antibiotic,
which has been found in vitro to have
enhanced activity against many multidrug resistant (MDR) gram-negative
bacteria. The applicant received
approval from the FDA on June 25,
2018, for use in the treatment of adults
who have been diagnosed with cUTIs,
including pyelonephritis. After
evaluation of the newness, costs, and
substantial clinical improvement
criteria for new technology add-on
payments for ZEMDRITM and
consideration of the public comments
we received in response to the FY 2019
IPPS/LTCH PPS proposed rule, we
approved ZEMDRITM for new
technology add-on payments for FY
2019 (83 FR 41334). Cases involving
ZEMDRITM that are eligible for new
technology add-on payments are
identified by ICD–10–PCS procedure
codes XW033G4 (Introduction of
Plazomicin anti-infective into
peripheral vein, percutaneous approach,
new technology group 4) or XW043G4
(Introduction of Plazomicin antiinfective into central vein, percutaneous
approach, new technology group 4). In
its application, the applicant estimated
that the average Medicare beneficiary
would require a dosage of 15 mg/kg
administered as an IV infusion as a
single dose. According to the applicant,
the WAC for one dose is $330, and
patients will typically require 3 vials for
the course of treatment with ZEMDRITM
per day for an average duration of 5.5
days. Therefore, the total cost of
ZEMDRITM per patient is $5,445. Under
existing § 412.88(a)(2), we limit new
technology add-on payments to the
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lesser of 50 percent of the average cost
of the technology or 50 percent of the
costs in excess of the MS–DRG payment
for the case. As a result, the maximum
new technology add-on payment for a
case involving the use of ZEMDRITM is
$2,722.50 for FY 2019. With regard to
the newness criterion for ZEMDRITM,
we consider the beginning of the
newness period to commence when
ZEMDRITM was approved by the FDA
on June 25, 2018. Because the 3-year
anniversary date of the entry of
ZEMDRITM onto the U.S. market (June
25, 2021) will occur after FY 2020, we
are proposing to continue new
technology add-on payments for this
technology for FY 2020. Under the
proposed change to the calculation of
the new technology add-on payment
amount discussed in section II.H.9. of
the preamble of this proposed rule, we
are proposing that the maximum new
technology add-on payment amount for
a case involving the use of ZEMDRITM
would be $3,539.25 for FY 2020; that is,
65 percent of the average cost of the
technology. However, if we do not
finalize the proposed change to the
calculation of the new technology addon payment amount, we are proposing
that the maximum new technology addon payment for a case involving
ZEMDRITM would remain at $2,722.50
for FY 2020. We are inviting public
comments on our proposals to continue
new technology add-on payments for
ZEMDRITM for FY 2020.
i. GIAPREZATM
The La Jolla Pharmaceutical Company
submitted an application for new
technology add-on payments for
GIAPREZATM for FY 2019.
GIAPREZATM, a synthetic human
angiotensin II, is administered through
intravenous infusion to raise blood
pressure in adult patients who have
been diagnosed with septic or other
distributive shock.
GIAPREZATM was granted a Priority
Review designation under FDA’s
expedited program and received FDA
approval on December 21, 2017, for the
use in the treatment of adults who have
been diagnosed with septic or other
distributive shock as an intravenous
infusion to increase blood pressure.
After evaluation of the newness, costs,
and substantial clinical improvement
criteria for new technology add-on
payments for GIAPREZATM and
consideration of the public comments
we received in response to the FY 2019
IPPS/LTCH PPS proposed rule, we
approved GIAPREZATM for new
technology add-on payments for FY
2019 (83 FR 41342). Cases involving
GIAPREZATM that are eligible for new
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technology add-on payments are
identified by ICD–10–PCS procedure
codes XW033H4 (Introduction of
synthetic human angiotensin II into
peripheral vein, percutaneous approach,
new technology, group 4) or XW043H4
(Introduction of synthetic human
angiotensin II into central vein,
percutaneous approach, new technology
group 4). In its application, the
applicant estimated that the average
Medicare beneficiary would require a
dosage of 20 ng/kg/min administered as
an IV infusion over 48 hours, which
would require 2 vials. The applicant
explained that the WAC for one vial is
$1,500, with each episode-of-care
costing $3,000 per patient. Under
existing § 412.88(a)(2), we limit new
technology add-on payments to the
lesser of 50 percent of the average cost
of the technology or 50 percent of the
costs in excess of the MS–DRG payment
for the case. As a result, the maximum
new technology add-on payment for a
case involving the use of GIAPREZATM
is $1,500 for FY 2019.
With regard to the newness criterion
for GIAPREZATM, we consider the
beginning of the newness period to
commence when GIAPREZATM was
approved by the FDA (December 21,
2017). Because the 3-year anniversary
date of the entry of GIAPREZATM onto
the U.S. market (December 21, 2020)
would occur after FY 2020, we are
proposing to continue new technology
add-on payments for this technology for
FY 2020. Under the proposed change to
the calculation of the new technology
add-on payment discussed in section
II.H.9. of the preamble of this proposed
rule, we are proposing that the
maximum new technology add-on
payment amount for a case involving
the use of GIAPREZATM would be
$1,950 for FY 2020; that is, 65 percent
of the average cost of the technology.
However, if we do not finalize the
proposed change to the calculation of
the new technology add-on payment
amount, we are proposing that the
maximum new technology add-on
payment for a case involving
GIAPREZATM would remain at $1,500
for FY 2020. We are inviting public
comments on our proposals to continue
new technology add-on payments for
GIAPREZATM for FY 2020.
j. Cerebral Protection System (Sentinel®
Cerebral Protection System)
Claret Medical, Inc. submitted an
application for new technology add-on
payments for the Cerebral Protection
System (Sentinel® Cerebral Protection
System) for FY 2019. According to the
applicant, the Sentinel Cerebral
Protection System is indicated for the
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use as an embolic protection (EP) device
to capture and remove thrombus and
debris while performing transcatheter
aortic valve replacement (TAVR)
procedures. The device is
percutaneously delivered via the right
radial artery and is removed upon
completion of the TAVR procedure. The
De Novo request for the Sentinel®
Cerebral Protection System was granted
by FDA on June 1, 2017 (DEN160043).
After evaluation of the newness, costs,
and substantial clinical improvement
criteria for new technology add-on
payments for the Sentinel® Cerebral
Protection System and consideration of
the public comments we received in
response to the FY 2019 IPPS/LTCH
PPS proposed rule, we approved the
Sentinel® Cerebral Protection System
for new technology add-on payments for
FY 2019 (83 FR 41348). Cases involving
the Sentinel® Cerebral Protection
System that are eligible for new
technology add-on payments are
identified by ICD–10–PCS code
X2A5312 (Cerebral embolic filtration,
dual filter in innominate artery and left
common carotid artery, percutaneous
approach). In its application, the
applicant estimated that the cost of the
Sentinel® Cerebral Protection System is
$2,800. Under existing § 412.88(a)(2),
we limit new technology add-on
payments to the lesser of 50 percent of
the average cost of the technology or 50
percent of the costs in excess of the MS–
DRG payment for the case. As a result,
the maximum new technology add-on
payment for a case involving the use of
the Sentinel® Cerebral Protection
System is $1,400 for FY 2019.
With regard to the newness criterion
for the Sentinel® Cerebral Protection
System, we consider the beginning of
the newness period to commence when
the FDA granted the De Novo request for
the Sentinel® Cerebral Protection
System (June 1, 2017). As discussed
previously in this section, in general, we
extend new technology add-on
payments for an additional year only if
the 3-year anniversary date of the
product’s entry onto the U.S. market
occurs in the latter half of the upcoming
fiscal year. Because the 3-year
anniversary date of the entry of the
Sentinel® Cerebral Protection System
onto the U.S. market (June 1, 2020) will
occur in the second half of FY 2020, we
are proposing to continue new
technology add-on payments for this
technology for FY 2020. Under the
proposed change to the calculation of
the new technology add-on payment
amount discussed in section II.H.9. of
the preamble of this proposed rule, we
are proposing that the maximum new
technology add-on payment amount for
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a case involving the use of the Sentinel®
Cerebral Protection System would be
$1,820 for FY 2020; that is, 65 percent
of the average cost of the technology.
However, if we do not finalize the
proposed change to the calculation of
the new technology add-on payment
amount, we are proposing that the
maximum new technology add-on
payment for a case involving the
Sentinel® Cerebral Protection System
would remain at $1,400 for FY 2020. We
are inviting public comments on our
proposals to continue new technology
add-on payments for the Sentinel®
Cerebral Protection System for FY 2020.
k. The AQUABEAM System
(Aquablation)
PROCEPT BioRobotics Corporation
submitted an application for new
technology add-on payments for the
AQUABEAM System (Aquablation) for
FY 2019. According to the applicant, the
AQUABEAM System is indicated for the
use in the treatment of patients
experiencing lower urinary tract
symptoms caused by a diagnosis of
benign prostatic hyperplasia (BPH). The
AQUABEAM System consists of three
main components: A console with two
high-pressure pumps, a conformal
surgical planning unit with trans-rectal
ultrasound imaging, and a single-use
robotic hand-piece. The applicant
reported that the AQUABEAM System
provides the operating surgeon a multidimensional view, using both
ultrasound image guidance and
endoscopic visualization, to clearly
identify the prostatic adenoma and plan
the surgical resection area. Based on the
planning inputs from the surgeon, the
system’s robot delivers Aquablation, an
autonomous waterjet ablation therapy
that enables targeted, controlled, heatfree and immediate removal of prostate
tissue used for the purpose of treating
lower urinary tract symptoms caused by
a diagnosis of BPH. The combination of
surgical mapping and roboticallycontrolled resection of the prostate is
designed to offer predictable and
reproducible outcomes, independent of
prostate size, prostate shape or surgeon
experience.
The FDA granted the AQUABEAM
System’s De Novo request on December
21, 2017, for use in the resection and
removal of prostate tissue in males
suffering from lower urinary tract
symptoms (LUTS) due to benign
prostatic hyperplasia. The applicant
stated that the AQUABEAM System was
made available on the U.S. market
immediately after the FDA granted the
De Novo request.
After evaluation of the newness, costs,
and substantial clinical improvement
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criteria for new technology add-on
payments for the AQUABEAM System
and consideration of the public
comments we received in response to
the FY 2019 IPPS/LTCH PPS proposed
rule, we approved the AQUABEAM
System for new technology add-on
payments for FY 2019 (83 FR 41355).
Cases involving the AQUABEAM
System that are eligible for new
technology add-on payments are
identified by ICD–10–PCS code
XV508A4 (Destruction of prostate using
robotic waterjet ablation, via natural or
artificial opening endoscopic, new
technology group 4). The applicant
estimated that the average Medicare
beneficiary would require the
transurethral procedure of one
AQUABEAM System per patient.
According to the application, the cost of
the AQUABEAM System is $2,500 per
procedure. Under existing
§ 412.88(a)(2), we limit new technology
add-on payments to the lesser of 50
percent of the average cost of the
technology or 50 percent of the costs in
excess of the MS–DRG payment for the
case. As a result, the maximum new
technology add-on payment for a case
involving the use of the AQUABEAM
System’s Aquablation System is $1,250
for FY 2019.
With regard to the newness criterion
for the AQUABEAM System, we
consider the beginning of the newness
period to commence on the date the
FDA granted the De Novo request
(December 21, 2017). As noted above
and in the FY 2019 rulemaking, the
applicant stated that the AQUABEAM
System was made available on the U.S.
market immediately after the FDA
granted the De Novo request.
We note that in the FY 2019 IPPS/
LTCH PPS final rule, we inadvertently
misstated the newness period beginning
date as April 19, 2018 (83 FR 41351). As
discussed in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41350), in its
public comment in response to the FY
2019 IPPS/LTCH PPS proposed rule, the
applicant explained that, while the
AQUABEAM System received approval
from the FDA for its De Novo request on
December 21, 2017, local non-coverage
determinations in the Medicare
population resulted in the first case
being delayed until April 19, 2018.
Therefore, the applicant believed that
the newness period should begin on
April 19, 2018, instead of the date FDA
granted the De Novo request. In the final
rule, we responded that with regard to
the beginning of the technology’s
newness period, as discussed in the FY
2005 IPPS final rule (69 FR 49003), the
timeframe that a new technology can be
eligible to receive new technology add-
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on payments begins when data begin to
become available. While local noncoverage determinations may limit the
use of a technology in different regions
in the country, a technology may be
available in regions where no local noncoverage decision existed (with data
beginning to become available). We also
explained that under our historical
policy we do not consider how
frequently the medical service or
technology has been used in the
Medicare population in our
determination of newness (as discussed
in the FY 2006 IPPS final rule (70 FR
47349)). Consistent with this response,
and as indicated in the proposed rule
and elsewhere in the final rule, we
believe the beginning of the newness
period to commence on the first day the
AQUABEAM System was commercially
available (December 21, 2017). As
noted, the later statement that the
newness period beginning date for the
AQUABEAM System is April 19, 2018
was an inadvertent error. As we
indicated in the FY 2019 IPPS/LTCH
PPS final rule, we welcome further
information from the applicant for
consideration regarding the beginning of
the newness period.
Because the 3-year anniversary date of
the entry of the AQUABEAM System
onto the U.S. market (December 21,
2020) will occur after FY 2020, we are
proposing to continue new technology
add-on payments for this technology for
FY 2020. Under the proposed change to
the calculation of the new technology
add on payment amount discussed in
section II.H.9. of the preamble of this
proposed rule, we are proposing that the
maximum new technology add-on
payment amount for a case involving
the use of the AQUABEAM System
would be $1,625 for FY 2020; that is, 65
percent of the average cost of the
technology. However, if we do not
finalize the proposed change to the
calculation of the new technology addon payment amount, we are proposing
that the maximum new technology addon payment for a case involving the
AQUABEAM System would remain at
$1,250 for FY 2020. We are inviting
public comments on our proposals to
continue new technology add-on
payments for the AQUABEAM System
for FY 2020.
l. AndexXaTM (Andexanet alfa)
Portola Pharmaceuticals, Inc. (Portola)
submitted an application for new
technology add-on payments for FY
2019 for the use of AndexXaTM
(Andexanet alfa).
AndexXaTM received FDA approval
on May 3, 2018, and is indicated for use
in the treatment of patients who are
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receiving treatment with rivaroxaban
and apixaban, when reversal of
anticoagulation is needed due to lifethreatening or uncontrolled bleeding.
After evaluation of the newness, costs,
and substantial clinical improvement
criteria for new technology add-on
payments for AndexXaTM and
consideration of the public comments
we received in response to the FY 2019
IPPS/LTCH PPS proposed rule, we
approved AndexXaTM for new
technology add-on payments for FY
2019 (83 FR 41362). Cases involving the
use of AndexXaTM that are eligible for
new technology add-on payments are
identified by ICD–10–PCS procedure
codes XW03372 (Introduction of
Andexanet alfa, Factor Xa inhibitor
reversal agent into peripheral vein,
percutaneous approach, new technology
group 2) or XW04372 (Introduction of
Andexanet alfa, Factor Xa inhibitor
reversal agent into central vein,
percutaneous approach, new technology
group 2). The applicant explained that
the WAC for 1 vial is $2,750, with the
use of an average of 10 vials for the low
dose and 18 vials for the high dose. The
applicant noted that per the clinical trial
data, 90 percent of cases were
administered a low dose and 10 percent
of cases were administered the high
dose. The weighted average between the
low and high dose is an average of
10.22727 vials. Therefore, the cost of a
standard dosage of AndexXaTM is
$28,125 ($2,750 x 10.22727). Under
existing § 412.88(a)(2), we limit new
technology add-on payments to the
lesser of 50 percent of the average cost
of the technology or 50 percent of the
costs in excess of the MS–DRG payment
for the case. As a result, the maximum
new technology add-on payment for a
case involving the use of AndexXaTM is
$14,062.50 for FY 2019.
With regard to the newness criterion
for AndexXaTM, we consider the
beginning of the newness period to
commence when AndexXaTM received
FDA approval (May 3, 2018). Because
the 3-year anniversary date of the entry
of AndexXaTM onto the U.S. market
(May 3, 2021) will occur after FY 2020,
we are proposing to continue new
technology add-on payments for this
technology for FY 2020. Under the
proposed change to the calculation of
the new technology add-on payment
amount discussed in section II.H.9. of
the preamble of this proposed rule, we
are proposing that the maximum new
technology add-on payment amount for
a case involving the use of AndexXaTM
would be $18,281.25 for FY 2020; that
is, 65 percent of the average cost of the
technology. However, if we do not
finalize the proposed change to the
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calculation of the new technology addon payment amount, we are proposing
that the maximum new technology addon payment for a case involving
AndexXaTM would remain at $14,062.50
for FY 2020. We are inviting public
comments on our proposals to continue
new technology add-on payments for
AndexXaTM for FY 2020.
5. Proposed FY 2020 Applications for
New Technology Add-On Payments
We received 18 applications for new
technology add-on payments for FY
2020. In accordance with the regulations
under § 412.87(c), applicants for new
technology add-on payments must have
FDA approval or clearance by July 1 of
the year prior to the beginning of the
fiscal year for which the application is
being considered. One applicant
withdrew its application prior to the
issuance of this proposed rule. A
discussion of the 17 remaining
applications is presented below.
a. AZEDRA® (Ultratrace® iobenguane
Iodine-131) Solution
Progenics Pharmaceuticals, Inc.
submitted an application for new
technology add-on payments for
AZEDRA® (Ultratrace® iobenguane
Iodine-131) for FY 2020. (We note that
Progenics Pharmaceuticals, Inc.
previously submitted an application for
new technology add-on payments for
AZEDRA® for FY 2019, which was
withdrawn prior to the issuance of the
FY 2019 IPPS/LTCH PPS final rule.)
AZEDRA® is a drug solution formulated
for intravenous (IV) use in the treatment
of patients who have been diagnosed
with obenguane avid malignant and/or
recurrent and/or unresectable
pheochromocytoma and paraganglioma.
AZEDRA® contains a small molecule
ligand consisting of metaiodobenzylguanidine (MIBG) and
131Iodine (131I) (hereafter referred to as
‘‘131I–MIBG’’). The applicant noted that
iobenguane Iodine-131 is also known as
131I–MIBG.
The applicant reported that
pheochromocytomas and
paragangliomas are rare tumors with an
incidence of approximately 2 to 8
people per million per year.1 2 Both
tumors are catecholamine-secreting
neuroendocrine tumors, with
pheochromocytomas being the more
common of the two and comprising 80
1 Beard, C.M., Sheps, S.G., Kurland, L.T., Carney,
J.A., Lie, J.T., ‘‘Occurrence of pheochromocytoma in
Rochester, Minnesota’’, pp. 1950–1979.
2 Stenstro
¨ m, G., Sva¨rdsudd, K.,
‘‘Pheochromocytoma in Sweden 1958–1981. An
analysis of the National Cancer Registry Data,’’ Acta
Medica Scandinavica, 1986, vol. 220(3), pp. 225–
232.
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to 85 percent of cases. While 10 percent
of pheochromocytomas are malignant,
whereby ‘‘malignant’’ is defined by the
World Health Organization (WHO) as
‘‘the presence of distant metastases,’’
paragangliomas have a malignancy
frequency of 25 percent.3 4
Approximately one-half of malignant
tumors are pronounced at diagnosis,
while other malignant tumors develop
slowly within 5 years.5
Pheochromocytomas and
paragangliomas tend to be
indistinguishable at the cellular level
and frequently at the clinical level. For
example catecholamine-secreting
paragangliomas often present clinically
like pheochromocytomas with
hypertension, episodic headache,
sweating, tremor, and forceful
palpitations.6 Although
pheochromocytomas and
paragangliomas can share overlapping
histopathology, epidemiology, and
molecular pathobiology characteristics,
there are differences between these two
neuroendocrine tumors in clinical
behavior, aggressiveness and metastatic
potential, biochemical findings and
association with inherited genetic
syndrome differences, highlighting the
importance of distinguishing between
the presence of malignant
pheochromocytoma and the presence of
malignant paraganglioma. At this time,
there is no curative treatment for
malignant pheochromocytomas and
paragangliomas. Successful
management of these malignancies
requires a multidisciplinary approach of
decreasing tumor burden, controlling
endocrine activity, and treating
debilitating symptoms. According to the
applicant, decreasing metastatic tumor
burden would address the leading cause
of mortality in this patient population,
where the 5-year survival rate is 50
percent for patients with untreated
malignant pheochromocytomas and
paragangliomas.7 The applicant stated
that controlling catecholamine
3 Fishbein, Lauren, ‘‘Pheochromocytoma and
Paraganglioma,’’ Hematology/Oncology Clinics 30,
no. 1, 2016, pp. 135–150.
4 Lloyd, R.V., Osamura, R.Y., Klo
¨ ppel, G., & Rosai,
J. (2017). World Health Organization (WHO)
Classification of Tumours of Endocrine Organs.
Lyon, France: International Agency for Research on
Center (IARC).
5 Kantorovich, Vitaly, and Karel Pacak.
‘‘Pheochromocytoma and paraganglioma.’’ Progress
in Brain Research., 2010, vol. 182, pp. 343–373.
6 Carty, SE, Young, W.F., Elfky, A.,
‘‘Paraganglioma and pheochromocytoma:
Management of malignant disease,’’ UpToDate.
Available at: https://www.uptodate.com/contents/
paraganglioma-and-pheochromocytomamanagement-of-malignant-disease.
7 Kantorovich, Vitaly, and Karel Pacak.
‘‘Pheochromocytoma and paraganglioma.’’ Progress
in Brain Research., 2010, vol. 182, pp. 343–373.
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hypersecretion (for example, severe
paroxysmal or sustained hypertension,
palpitations and arrhythmias) would
also mean decreasing morbidity
associated with hypertension (for
example, risk of stroke, myocardial
infarction and renal failure), and begin
to address the 30-percent cardiovascular
mortality rate associated with malignant
pheochromocytomas and
paragangliomas.
The applicant reported that, prior to
the introduction of AZEDRA®,
controlling catecholamine activity in
pheochromocytomas and
paragangliomas was medically achieved
with administration of combined alpha
and beta-adrenergic blockade, and
surgically with tumor tissue reduction.
Because there is no curative treatment
for malignant pheochromocytomas and
paragangliomas, resecting both primary
and metastatic lesions whenever
possible to decrease tumor burden 8
provides a methodology for controlling
catecholamine activity and lowering
cardiovascular mortality risk. Besides
surgical removal of tumor tissue for
lowering tumor burden, there are other
treatment options that depend upon
tumor type (that is, pheochromocytoma
tumors versus paraganglioma tumors),
anatomic location, and the number and
size of the metastatic tumors. These
treatment options include: (1) Radiation
therapy; (2) nonsurgical local ablative
therapy with radiofrequency ablation,
cryoablation, and percutaneous ethanol
injection; (3) transarterial
chemoembolization for liver metastases;
and (4) radionuclide therapy using
metaiodobenzylguanidine (MIBG) or
somatostatin. Regardless of the method
to reduce local tumor burden,
periprocedural medical care is needed
to prevent massive catecholamine
secretion and hypertensive crisis.9
The applicant stated that AZEDRA®
specifically targets neuroendocrine
tumors arising from chromaffin cells of
the adrenal medulla (in the case of
pheochromocytomas) and from
neuroendocrine cells of the extraadrenal autonomic paraganglia (in the
case of paragangliomas).10 According to
the applicant, AZEDRA® is a more
consistent form of 131I–MIBG compared
8 Noda, T., Nagano, H., Miyamoto, A., et al.,
‘‘Successful outcome after resection of liver
metastasis arising from an extraadrenal
retroperitoneal paraganglioma that appeared 9 years
after surgical excision of the primary lesion,’’ Int J
Clin Oncol, 2009, vol. 14, pp. 473.
9 Carty, SE, Young, W.F., Elfky, A.,
‘‘Paraganglioma and pheochromocytoma:
Management of malignant disease,’’ UpToDate.
Available at: https://www.uptodate.com/contents/
paraganglioma-and-pheochromocytomamanagement-of-malignant-disease.
10 Ibid.
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to compounded formulations of 131I–
MIBG that are not approved by the FDA.
AZEDRA® (iobenguane I 131)
(AZEDRA) was approved by the FDA on
July 30, 2018, and according to the
applicant, is the first and only drug
indicated for the treatment of adult and
pediatric patients 12 years and older
who have been diagnosed with
iobenguane scan positive, unresectable,
locally advanced or metastatic
pheochromocytoma or paraganglioma
who require systemic anticancer
therapy. Among local tumor tissue
reduction options, use of external beam
radiation therapy (EBRT) at doses
greater than 40 Gy can provide local
pheochromocytoma and paraganglioma
tumor control and relief of symptoms
for tumors at a variety of sites, including
the soft tissues of the skull base and
neck, abdomen, and thorax, as well as
painful bone metastases.11 However, the
applicant stated that EBRT irradiated
tissues are unresponsive to subsequent
treatment with 131I–MIBG
radionuclide.12 MIBG was initially used
for the imaging of paragangliomas and
pheochromocytomas because of its
similarity to noradrenaline, which is
taken up by chromaffin cells.
Conventional MIBG used in imaging
expanded to off-label use in patients
who had been diagnosed with malignant
pheochromocytomas and
paragangliomas. Because 131I–MIBG is
sequestered within pheochromocytoma
and paraganglioma tumors, subsequent
malignant cell death occurs from
radioactivity. Approximately 50 percent
of tumors are eligible for treatment
involving 131I–MIBG therapy based on
having MIBG uptake with diagnostic
imaging. According to the applicant,
despite uptake by tumors, studies have
also found that 131I–MIBG therapy has
been limited by total radiation dose,
hematologic side effects, and
hypertension. While the
pathophysiology of total radiation dose
and hematologic side effects are more
readily understandable, hypertension is
believed to be precipitated by large
quantities of non-iodinated MIBG or
‘‘cold’’ MIBG being introduced along
with radioactive 131I–MIBG therapy.13
The ‘‘cold’’ MIBG blocks synaptic
11 Ibid.
12 Fitzgerald, P.A., Goldsby, R.E., Huberty, J.P., et
al., ‘‘Malignant pheochromocytomas and
paragangliomas: a phase II study of therapy with
high-dose 131I-metaiodobenzylguanidine (131I–
MIBG),’’ Ann N Y Acad Sci, 2006, vol. 1073, pp.
465.
13 Loh, K.C., Fitzgerald, P.A., Matthay, K.K., Yeo,
P.P., Price, DC, ‘‘The treatment of malignant
pheochromocytoma with iodine-131
metaiodobenzylguanidine (131I–MIBG): a
comprehensive review of 116 reported patients,’’ J
Endocrinol Invest, 1997, vol. 20(11), pp. 648–658.
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reuptake of norepinephrine, which can
lead to tachycardia and paroxysmal
hypertension within the first 24 hours,
the majority of which occur within 30
minutes of administration and can be
dose-limiting.14
The applicant asserted that its new
proprietary manufacturing process
called Ultratrace® allows AZEDRA® to
be manufactured without the inclusion
of unlabeled or ‘‘cold’’ MIBG in the final
formulation. The applicant also noted
that targeted radionuclide MIBG therapy
to reduce tumor burden is one of two
treatments that have been studied the
most. The other treatment is cytotoxic
chemotherapy and, specifically,
Carboplatin, Vincristine, and
Dacarbazine (CVD). The applicant stated
that cytotoxic chemotherapy is an
option for patients who experience
symptoms with rapidly progressive,
non-resectable, high tumor burden, and
that cytotoxic chemotherapy is another
option for a large number of metastatic
bone lesions.15 According to the
applicant, CVD was believed to have an
effect on malignant pheochromocytomas
and paragangliomas due to the
embryonic origin being similar to
neuroblastomas. The response rates to
CVD have been variable between 25
percent and 50 percent.16 17 These
patients experience side effects
consistent with chemotherapeutic
treatment with CVD, with the added
concern of the precipitation of hormonal
complications such as hypertensive
crisis, thereby requiring close
monitoring during cytotoxic
chemotherapy.18 According to the
applicant, use of CVD relative to other
tumor burden reduction options is not
14 Gonias, S, et al., ‘‘Phase II Study of High-Dose
[131I ]Metaiodobenzylguanidine Therapy for
Patients With Metastatic Pheochromocytoma and
Paraganglioma,’’ J of Clin Onc, July 27, 2009.
15 Carty, SE, Young, W.F., Elfky, A.,
‘‘Paraganglioma and pheochromocytoma:
Management of malignant disease,’’ UpToDate.
Available at: https://www.uptodate.com/contents/
paraganglioma-and-pheochromocytomamanagement-of-malignant-disease.
16 Niemeijer, N.D., Alblas, G., Hulsteijn, L.T.,
Dekkers, O.M. and Corssmit, E.P. M.,
‘‘Chemotherapy with cyclophosphamide,
vincristine and dacarbazine for malignant
paraganglioma and pheochromocytoma: systematic
review and meta-analysis,’’ Clinical endocrinology,
2014, vol 81(5), pp. 642–651.
17 Ayala-Ramirez, Montserrat, et al., ‘‘Clinical
Benefits of Systemic Chemotherapy for Patients
with Metastatic Pheochromocytomas or
Sympathetic Extra-Adrenal Paragangliomas:
Insights from the Largest Single Institutional
Experience,’’ Cancer, 2012, vol. 118(11), pp. 2804–
2812.
18 Wu, L.T., Dicpinigaitis, P., Bruckner, H., et al.,
‘‘Hypertensive crises induced by treatment of
malignant pheochromocytoma with a combination
of cyclophosphamide, vincristine, and
dacarbazine,’’ Med Pediatr Oncol, 1994, vol. 22(6),
pp. 389–392.
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an ideal treatment because of nearly 100
percent recurrence rates, and the need
for chemotherapy cycles to be
continually readministered at the risk of
increased systemic toxicities and
eventual development of resistance.
Finally, there is a subgroup of patients
that are asymptomatic and have slower
progressing tumors where frequent
follow-up is an option for care.19
Therefore, the applicant believed that
AZEDRA® offers cytotoxic radioactive
therapy for the indicated population
that avoids harmful side effects that
typically result from use of low-specific
activity products.
The applicant reported that the
recommended AZEDRA® dosage and
frequency for patients receiving
treatment involving 131I–MIBG therapy
for a diagnosis of avid malignant and/
or recurrent and/or unresectable
pheochromocytoma and paraganglioma
tumors is:
• Dosimetric Dosing—5 to 6 micro
curies (mCi) (185 to 222 MBq) for a
patient weighing more than or equal to
50 kg, and 0.1 mCi/kg (3.7 MBq/kg) for
patients weighing less than 50 kg. Each
recommended dosimetric dose is
administered as an IV injection.
• Therapeutic Dosing—500 mCi (18.5
GBq) for patients weighing more than
62.5 kg, and 8 mCi/kg (296 MBq/kg) for
patients weighing less than or equal to
62.5 kg. Therapeutic doses are
administered by IV infusion, in ∼50 mL
over a period of ∼30 minutes (100 mL/
hour), administered approximately 90
days apart.
With respect to the newness criterion,
the applicant indicated that FDA
granted Orphan Drug designation for
AZEDRA® on January 18, 2006,
followed by Fast Track designation on
March 8, 2006, and Breakthrough
Therapy designation on July 26, 2015.
The applicant’s New Drug Application
(NDA) proceeded on a rolling basis, and
was completed on November 2, 2017.
AZEDRA® was approved by the FDA on
July 30, 2018, for the treatment of adult
and pediatric patients 12 years and
older who have been diagnosed with
iobenguane scan positive, unresectable,
locally advanced or metastatic
pheochromocytoma or paraganglioma
who require systemic anticancer therapy
through a New Drug Approval (NDA)
filed under Section 505(b)(1) of the
Federal Food, Drug and Cosmetic Act
and 21 CFR 314.50. Currently, there are
no approved ICD–10–PCS procedure
19 Carty, SE, Young, W.F., Elfky, A.,
‘‘Paraganglioma and pheochromocytoma:
Management of malignant disease,’’ UpToDate.
Available at: https://www.uptodate.com/contents/
paraganglioma-and-pheochromocytomamanagement-of-malignant-disease.
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codes to uniquely identify procedures
involving the administration of
AZEDRA®. We note that the applicant
submitted a request for approval for a
unique ICD–10–PCS code for the
administration of AZEDRA® beginning
in FY 2020.
As discussed earlier, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and would not be
considered ‘‘new’’ for purposes of new
technology add-on payments.
With regard to the first criterion,
whether a product uses the same or
similar mechanism of action, the
applicant stated that while AZEDRA®
and low-specific activity conventional
I–131 MIBG both target the same
transporter sites on the tumor cell
surface, the therapies’ safety and
efficacy outcomes are different. These
differences in outcomes are because
AZEDRA® is manufactured using the
proprietary Ultratrace® technology,
which maximizes the molecules that
carry the tumoricidal component (I–131
MIBG) and minimizes the extraneous
unlabeled component (MIBG, free
ligands), which could cause
cardiovascular side effects. Therefore,
according to the applicant, AZEDRA® is
designed to increase efficacy and
decrease safety risks, whereas
conventional I–131 MIBG uses existing
technologies and results in a product
that overwhelms the normal reuptake
system with excess free ligands, which
leads to safety issues as well as
decreasing the probability of the 131I–
MIBG binding to the tumor cells.
With regard to the second criterion,
whether a product is assigned to the
same or a different MS–DRG, the
applicant noted that there are no
specific MS–DRGs for the assignment of
cases involving the treatment of patients
who have been diagnosed with
pheochromocytoma and paraganglioma.
We believe that potential cases
representing patients who may be
eligible for treatment involving the
administration of AZEDRA® would be
assigned to the same MS–DRGs as cases
representing patients who receive
treatment for a diagnosis of iobenguane
avid malignant and/or recurrent and/or
unresectable pheochromocytoma and
paraganglioma. We also refer readers to
the cost criterion discussion below,
which includes the applicant’s list of
the MS–DRGs to which potential cases
involving treatment with the
administration of AZEDRA® most likely
would map.
With regard to the third criterion,
whether the new use of the technology
involves the treatment of the same or
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similar type of disease and the same or
similar patient population, according to
the applicant, AZEDRA® is the only
FDA-approved drug indicated for use in
the treatment of patients who have been
diagnosed with malignant
pheochromocytoma and paraganglioma
tumors that avidly take up 131I–MIBG
and are recurrent and/or unresectable.
The applicant stated that these patients
face serious mortality and morbidity
risks if left untreated, as well as
potentially suffer from side effects if
treated by available off-label therapies.
The applicant also contended that
AZEDRA® can be distinguished from
other currently available treatments
because it potentially provides the
following advantages:
• AZEDRA® will have a very limited
impact on normal norepinephrine
reuptake due to the negligible amount of
unlabeled MIBG present in the dose.
Therefore, AZEDRA® is expected to
pose a much lower risk of acute druginduced hypertension.
• There is minimal unlabeled MIBG
to compete for the norepinephrine
transporter binding sites in the tumor,
resulting in more effective delivery of
radioactivity.
• Current off-label therapeutic use of
131I is compounded by individual
pharmacies with varied quality and
conformance standards.
• Because of its higher specific
activity (the activity of a given
radioisotope per unit mass), AZEDRA®
infusion times are significantly shorter
than conventional 131I administrations.
Therefore, with these potential
advantages, the applicant maintained
that AZEDRA® represents an option for
the treatment of patients who have been
diagnosed with malignant and/or
recurrent and/or unresectable
pheochromocytoma and paraganglioma
tumors, where there is a clear, unmet
medical need.
For the reasons cited earlier, the
applicant believed that AZEDRA® is not
substantially similar to other currently
available therapies and/or technologies
and meets the ‘‘newness’’ criterion. We
are inviting public comments on
whether AZEDRA® is substantially
similar to other currently available
therapies and/or technologies and meets
the ‘‘newness’’ criterion.
With regard to the cost criterion, the
applicant conducted an analysis using
FY 2015 MedPAR data to demonstrate
that AZEDRA® meets the cost criterion.
The applicant searched for potential
cases representing patients who may be
eligible for treatment involving
AZEDRA® that had one of the following
ICD–9–CM diagnosis codes (which the
applicant believed is indicative of
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diagnosis appropriate for treatment
involving AZEDRA®): 194.0 (Malignant
neoplasm of adrenal gland), 194.6
(Malignant neoplasm of aortic body and
other paraganglia), 209.29 (Malignant
carcinoid tumor of other sites), 209.30
(Malignant poorly differentiated
neuroendocrine carcinoma, any site),
227.0 (Benign neoplasm of adrenal
gland), 237.3 (Neoplasm of uncertain
behavior of paraganglia)—in
combination with one of the following
ICD–9–CM procedure codes describing
the administration of a
radiopharmaceutical: 00.15 (High-dose
infusion interleukin-2); 92.20 (Infusion
of liquid brachytherapy radioisotope);
92.23 (Radioisotopic teleradiotherapy);
92.27 (Implantation or insertion of
radioactive elements); 92.28 (Injection
or instillation of radioisotopes). The
applicant reported that the potential
cases used for this analysis mapped to
MS–DRGs 054 and 055 (Nervous System
Neoplasms with and without MCC,
respectively), MS–DRG 271 (Other
Major Cardiovascular Procedures with
CC), MS–DRG 436 (Malignancy of
Hepatobiliary System or Pancreas with
CC), MS–DRG 827 (Myeloproliferative
Disorders or Poorly Differentiated
Neoplasms with Major O.R. Procedure
with CC), and MS–DRG 843 (Other
Myeloproliferative Disorders or Poorly
Differentiated Neoplastic Diagnosis with
MCC). Due to patient privacy concerns,
because the number of cases under each
MS–DRG was less than 11 in total, the
applicant assumed an equal distribution
between these 6 MS–DRGs. Based on
the FY 2019 IPPS/LTCH PPS final rule
correction notice data file thresholds,
the average case-weighted threshold
amount was $60,136. Using the
identified cases, the applicant
determined that the average
unstandardized charge per case ranged
from $21,958 to $152,238 for the 6
evaluated MS–DRGs. After removing
charges estimated to be associated with
precursor agents, the applicant used a 3year inflation factor of 1.1436 (a yearly
inflation factor of 1.04574 applied over
3 years), based on the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38527), to
inflate the charges from FY 2015 to FY
2018. The applicant provided an
estimated average of $151,000 per
therapeutic dose per patient, based on
the wholesale acquisition cost of the
drug and the average dosage amount for
most patients, with a total cost per
patient estimated to be approximately
$980,000. After including the cost of the
technology, the applicant determined an
inflated average case-weighted
standardized charge per case of
$1,078,631.
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We are concerned with the limited
number of cases the applicant analyzed.
However, we acknowledge the difficulty
in obtaining cost data for such a rare
condition. We are inviting public
comments on whether the AZEDRA®
technology meets the cost criterion.
With regard to substantial clinical
improvement, the applicant maintained
that the use of AZEDRA® has been
shown to reduce the incidence of
hypertensive episodes and use of
antihypertensive medications, reduce
tumor size, improve blood pressure
control, and reduce secretion of tumor
biomarkers. In addition, the applicant
asserted that AZEDRA® provides a
treatment option for those outlined in
its indication patient population. The
applicant asserted that AZEDRA® meets
the substantial clinical improvement
criterion based on the results from two
clinical studies: (1) MIP–IB12 (IB12): A
Phase I Study of Iobenguane (MIBG) I–
131 in Patients With Malignant
Pheochromocytoma/Paraganglioma; 20
and (2) MIP–IB12B (IB12B): A Study
Evaluating Ultratrace® Iobenguane I–
131 in Patients With Malignant
Relapsed/Refractory
Pheochromocytoma/Paraganglioma. The
applicant explained that the IB12B
study is similar to the IB12 study in that
both studies evaluated two open-label,
single-arm studies. The applicant
reported that both studies included
patients who had been diagnosed with
malignant and/or recurrent and/or
unresectable pheochromocytoma and
paraganglioma tumors, and both studies
assessed objective tumor response,
biochemical tumor response, overall
survival rates, occurrence of
hypertensive crisis, and the long-term
benefit of AZEDRA® treatment relative
to the need for antihypertensives.
However, according to the applicant, the
study designs differed in dose regimens
(1 dose administered to patients in the
IB12 study, and 2 doses administered to
patients in the IB12B study) and
primary study endpoints. Differences in
the designs of the studies prevented
direct comparison of study endpoints
and pooling of the data. In addition, the
applicant stated that results from safety
data from the IB12 study and the IB12B
study were pooled and used to support
substantial clinical improvement
assertions. We note that neither the IB12
study nor the IB12B study compared the
effects of the use of AZEDRA® to any of
the other treatment options to decrease
20 Noto, Richard B., et. al., ‘‘Phase 1 Study of
High-Specific-Activity I–131 MIBG for Metastatic
and/or Recurrent Pheochromocytoma or
Paraganglioma (IB12 Phase 1 Study),’’ J Clin
Endocrinol Metab, vol. 103(1), pp. 213–220.
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19287
tumor burden (for example, cytotoxic
chemotherapy, radiation therapy, and
surgical debulking).
Regarding the data results from the
IB12 study, the applicant asserted that,
based on the reported safety and
tolerability, and primary endpoint of
radiological response at 12 months,
high-specific-activity I–131 MIBG may
be an effective alternative therapeutic
option for patients who have been
diagnosed with iobenguane-avid,
metastatic and/or recurrent
pheochromocytoma and paraganglioma
tumors for whom there are no other
approved therapies and for those
patients who have failed available
treatment options. In addition, the
applicant used the exploratory finding
of decreased or discontinuation of antihypertensive medications relative to
baseline medications as evidence that
AZEDRA® has clinical benefit and
positive impact on the long-term effects
of hypertension induced
norepinephrine producing malignant
pheochromocytoma and paraganglioma
tumors. We understand that the
applicant used antihypertensive
medications as a proxy to assess the
long-term effects of hypertension such
as renal, myocardial, and cerebral end
organ damage. The applicant reported
that it studied 15 of the original IB12
study’s 21-patient cohort, and found 33
percent (n=5) had decreased or
discontinuation of antihypertensive
medications during the 12 months of
follow-up. However, the applicant did
not provide additional data on the
incidence of renal insufficiency/failure,
myocardial ischemic/infarction events,
or transient ischemic attacks or strokes.
Therefore, it is unclear to us if these five
patients also had decreased urine
metanephrines, changed their diet, lost
significant weight, or if other underlying
comorbidities that influence
hypertension were resolved, making it
difficult to understand the significance
of this exploratory finding.
Regarding the applicant’s assertion
that the use of AZEDRA® is safer and
more effective than alternative
therapies, we note that the IB12 study
was a dose-escalating study and did not
compare current therapies with the use
of AZEDRA®. We also note the
following: (1) The average age of the 21
enrolled patients in the IB12 study was
50.4 years old (a range of 30 to 72 years
old); (2) the gender distribution was
61.9 percent (n=13) male and 38.1
percent (n=8) female; and (3) 76.2
percent (n=16) were white, 14.3 percent
(n=3) were black or African American,
and 9.5 percent (n=2) were Asian. We
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agree with the study’s conductor 21 that
the size of the study is a limitation, and
with a younger, predominately white,
male patient population, generalization
of study results to a more diverse
population may be difficult. The
applicant reported that one other aspect
of the patient population indicated that
all 21 patients received prior anti-cancer
therapy for treatment of malignant
pheochromocytoma and paraganglioma
tumors, which included the following:
57.1 percent (n=12) received radiation
therapy including external beam
radiation and conventional MIBG; 28.6
percent (n=6) received cytotoxic
chemotherapy (for example, CVD and
other chemotherapeutic agents); and
14.3 percent (n=3) received
Octreotide.22 Although this study’s
patient population illustrates a
population that has failed some of the
currently available therapy options,
which may potentially support a finding
of substantial clinical improvement for
those with no other treatment options,
we are unclear which patients benefited
from treatment involving AZEDRA®,
especially in view of the finding of a
Fitzgerald, et al. study cited earlier 23
that concluded tissues previously
irradiated by EBRT were found to be
unresponsive to subsequent treatment
with 131I–MIBG radionuclide. It was not
clear in the application how previously
EBRT-treated patients who failed EBRT
fared with the Response Evaluation
Criteria in Solid Tumors (RECIST)
scores, biotumor marker results, and
reduction in antihypertensive
medications. We also lacked
information to draw the same
correlation between previously CVDtreated patients and their RECIST
scores, biotumor marker results, and
reduction in antihypertensive
medications.
The applicant asserted that the use of
AZEDRA® reduces tumor size and
reduces the secretion of tumor
biomarkers, thereby providing
important clinical benefits to patients.
The IB12 study assessed the overall best
tumor response based on RECIST.24
21 Noto, Richard B., et al., ‘‘Phase 1 Study of HighSpecific-Activity I–131 MIBG for Metastatic and/or
Recurrent Pheochromocytoma or Paraganglioma
(IB12 Phase 1 Study),’’ J Clin Endocrinol Metab, vol.
103(1), pp. 213–220.
22 Ibid.
23 Fitzgerald, P.A., Goldsby, R.E., Huberty, J.P., et
al., ‘‘Malignant pheochromocytomas and
paragangliomas: a phase II study of therapy with
high-dose 131I-metaiodobenzylguanidine (131I–
MIBG).’’ Ann N Y Acad Sci, 2006, vol. 1073, pp.
465.
24 Therasse, P., Arbuck, S.G., Eisenhauer, J.W.,
Kaplan, R.S., Rubinsten, L., Verweij, J., Van
Blabbeke, M., Van Oosterom, A.T., Christian, M.D.,
and Gwyther, S.G., ‘‘New guidelines to evaluate the
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Tumor biomarker response was assessed
as complete or partial response for
serum chromogranin A and total
metanephrines in 80 percent and 64
percent of patients, respectively. The
applicant noted that both the overall
best tumor response based on RECIST
and tumor biomarker response favorable
results are at doses higher than 500 mCi.
We noticed that tumor burden
improvement, as measured by RECIST
criteria, showed that none of the 21
patients achieved a complete response.
In addition, although 4 patients showed
partial response, these 4 patients also
experienced dose-limiting toxicity with
hematological events, and all 4 patients
received administered doses greater
than 18.5 GBq (500 mCi). We also note
that, regardless of total administered
activity (for example, greater than or
less than 18.5 GBq (500 mCi)), 61.9
percent (n=13) of the 21 patients
enrolled in the study had stable disease
and 14.3 percent (n=2) of the 14 patients
who received greater than administered
doses of 18.5 GBq (500 mCi) had
progressive disease. Finally, we also
noticed that, for most tumor biomarkers,
there were no dose relationship trends.
While we appreciate the applicant’s
contention that there is no other FDAapproved drug therapy for patients who
have been diagnosed with 131I–MIBG
avid malignant and/or recurrent and/or
unresectable pheochromocytoma and
paraganglioma tumors, we have
questions as to whether the overall
tumor best response and overall best
tumor biomarker data results from the
IB12 study support a finding that the
use of the AZEDRA® technology
represents a substantial clinical
improvement.
Finally, regarding the applicant’s
assertion that, based on the IB12 study
data, AZEDRA® provides a safe
alternative therapy for those patients
who have failed other currently
available treatment therapies, we note
that none of the patients experienced
hypertensive crisis, and that 76 percent
(n=16) of the 21 patients enrolled in the
study experienced Grade III or IV
adverse events. Although the applicant
indicated the adverse events were
related to the study drug, the applicant
also noted that there was no statistically
significant difference between the
greater than or less than 18.5 GBq
administered doses; both groups had
adverse events rates greater than 75
percent. Specifically, 5 of 7 patients (76
percent) who received less than or equal
to 18.5 GBq administered doses, and 11
response to treatment in solid tumors,’’ J Natl
Cancer Inst, 2000, vol. 92(3), pp. 205–16. Available
at: https://www.eortc.be/Services/Doc/RECIST.pdf.
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of 14 patients (79 percent) who received
greater than 18.5 GBq administered
doses experienced Grade III or IV
adverse advents. The most common
(greater than or equal to 10 percent)
Grade III and IV adverse events were
neutropenia, leukopenia,
thrombocytopenia, nausea, and
vomiting. We also note that: (1) There
were 5 deaths during the study that
occurred from approximately 2.5
months up to 22 months after treatment
and there was no detailed data regarding
the 5 deaths, especially related to the
total activity received during the study;
(2) there was no information about
which patients received prior radiation
therapy with EBRT and/or conventional
MIBG relative to those who experienced
Grade III or IV adverse events; and (3)
the total lifetime radiation dose was not
provided by the applicant. We are
inviting public comments on whether
the safety data profile from the IB12
study supports a finding that the use of
AZEDRA® represents a substantial
clinical improvement for patients who
received treatment with 131I–MIBG for a
diagnosis of avid malignant and/or
recurrent and/or unresectable
pheochromocytoma and paraganglioma
tumors, given the risks for Grade III or
IV adverse events.
The applicant provided study data
results from the IB12B study (MIP–
IB12B), an open-label, prospective 5year follow-up, single-arm, multi-center,
Phase II pivotal study to evaluate the
safety and efficacy of the use of
AZEDRA® for the treatment of patients
who have been diagnosed with
malignant and/or recurrent
pheochromocytoma and paraganglioma
tumors to support the assertion of
substantial clinical improvement. The
applicant reported that the IB12B’s
primary endpoint is the proportion of
patients with a reduction (including
discontinuation) of all anti-hypertensive
medication by at least 50 percent for at
least 6 months. Seventy-four patients
who received at least 1 dosimetric dose
of AZEDRA® were evaluated for safety
and 68 patients who received at least 1
therapeutic dose of AZEDRA®, each at
500 mCi (or 8 mCi/kg for patients
weighing less than or equal to 62.5 kg),
were assessed for specific clinical
outcomes. The applicant asserted that
results from this prospective study met
the primary endpoint (reduction or
discontinuation of anti-hypertensive
medications), as well as demonstrated
strong supportive evidence from key
secondary endpoints (overall tumor
response, tumor biomarker response,
and overall survival rates) that confers
important clinical relevance to patients
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who have been diagnosed with
malignant pheochromocytoma and
paraganglioma tumors. The applicant
also indicated that the use of AZEDRA®
was shown to be generally well
tolerated at doses administered at 8
mCi/kg. We note that the data results
from the IB12B study did not have a
comparator arm, making it difficult to
interpret the clinical outcome data
relative to other currently available
therapies.
As discussed for the IB12 study, the
applicant reported that antihypertension
treatment was a proxy for effectiveness
of the use of AZEDRA® on
norepinephrine induced hypertension
producing tumors. In the IB12B study,
25 percent (17/68) of patients met the
primary endpoint of having a greater
than 50 percent reduction in antihypertensive agents for at least 6
months. The applicant further indicated
that an additional 16 patients showed a
greater than 50 percent reduction in
anti-hypertensive agents for less than 6
months, and by pooling data results
from these 33 patients the applicant
concluded that 49 percent (33/68) of
patients achieved a greater than 50
percent reduction at any time during the
study’s 12-month follow-up period. The
study’s primary endpoint data also
revealed that 11 percent of the 88
patients who received a therapeutic
dose of AZEDRA® experienced a
worsening of preexisting hypertension
defined as an increase in systolic blood
pressure to ≥160 mmHg with an
increase of 20 mmHg or an increase in
diastolic blood pressure ≥ 00 mmHg
with an increase of 10 mmHg. All
changes in blood pressure occurred
within the first 24 hours post infusion.
The applicant further compared its data
results from the IB12B study regarding
antihypertension medication and the
frequency of post-infusion hypertension
with published studies on MIBG and
CVD therapy. The applicant noted a
retrospective analysis of CVD therapy of
52 patients who had been diagnosed
with metastatic pheochromocytoma and
paraganglioma tumors that found only
15 percent of CVD-treated patients
achieved a 50-percent reduction in antihypertensive agents. The applicant also
compared its data results for postinfusion hypertension with literature
reporting on MIBG and found 14 and 19
percent (depending on the study) of
patients receiving MIBG experience
hypertension within 24 hours of
infusion. Comparatively, the applicant
stated that the use of AZEDRA® had no
acute events of hypertension following
infusion. We are inviting public
comments on whether these data results
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regarding hypertension support a
finding that the use of the AZEDRA®
technology represents a substantial
clinical improvement, and if antihypertensive medication reduction is an
adequate proxy for improvement in
renal, cerebral, and myocardial end
organ damage.
Regarding reduction in tumor burden
(as defined by RECIST scores), the
applicant indicated that at the
conclusion of the IB12B study’s 12month follow-up period, 23.4 percent
(n=15) of the 68 patients showed a
partial response, 68.8 percent (n=44) of
the 68 patients achieved stable disease,
and 4.7 percent (n=3) of the 68 patients
showed progressive disease. None of the
patients showed completed response.
The applicant maintained that achieving
stable disease is important for patients
who have been treated for malignant
pheochromocytoma and paraganglioma
tumors because this is a progressive
disease without a cure at this time. The
applicant also indicated that literature
shows that stable disease is maintained
in approximately 47 percent of
treatment naı¨ve patients who have been
diagnosed with metastatic
pheochromocytoma and paraganglioma
tumors at 1 year due to the indolent
nature of the disease.25 In the IB12B
study, the data results equated to 23
percent of patients achieving partial
response and 69 percent of patients
achieving stable disease. According to
the applicant, this compares favorably
to treatment with both conventional
radiolabeled MIBG and CVD
chemotherapy.
The applicant stated that the data
results demonstrated effective tumor
response rates. The applicant reported
that the IB12 and IB12B study data
showed overall tumor response rates of
80 percent and 92 percent, respectively.
In addition, the applicant contended
that the study data across both trials
show that patients demonstrated
improved blood pressure control,
reductions in tumor biomarker
secretion, and strong evidence in overall
survival rates. The overall median time
to death from the first dose was 36.7
months in all treated patients. Patients
who received 2 therapeutic doses had
an overall median survival rate of 48.7
months, compared to 17.5 months for
patients who only received a single
dose. We note that the IB12B study
reported 12-month Kaplan-Meier
25 Hescot, S., Leboulleux, S., Amar, L., Vezzosi,
D., Borget, I., Bournaud-Salinas, C., de la
Fouchardiere, C., Libe´, R., Do Cao, C., Niccoli, P.,
Tabarin, A., ‘‘One-year progression-free survival of
therapy-naive patients with malignant
pheochromocytoma and paraganglioma,’’ The J Clin
Endocrinol Metab, 2013, vol. 98(10), pp. 4006–4012.
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estimate of survival of 91 percent, while
the drug dosing study IB12 reported
overall subject survival of 86 percent at
12 months, 62 percent at 24 months, 38
percent at 36 months, and 4.8 percent at
48 months. We also note that only 45 of
68 patients who received at least 1
therapeutic dose completed the 12month efficacy phase.
The applicant indicated that
comparison of the IB12B study data
regarding overall survival rate with
historical data is difficult due to the
differences in the retrospective nature of
the published clinical studies and
heterogeneous patient characteristics,
especially when overall survival is
calculated from the time of initial
diagnosis. We agree with the applicant
regarding the difficulties in comparing
the results of the published clinical
studies, and also believe that the
differences in these studies may make it
more difficult to evaluate whether the
use of the AZEDRA® technology
improves overall survival rates relative
to other therapies.
We acknowledge the challenges with
constructing robust clinical studies due
to the extremely rare occurrence of
patients who have been diagnosed with
pheochromocytoma and paraganglioma
tumors. However, we are concerned that
because the data for both of these
studies is mainly based upon
retrospective studies and small,
heterogeneous patient cohorts, it is
difficult to draw precise conclusions
regarding efficacy. Only very limited
nonpublished data from two, singlearm, noncomparative studies are
available to evaluate the safety and
effectiveness of AZEDRA®, leading to a
comparison of outcomes with historical
controls.
We are inviting public comments on
whether the use of the AZEDRA®
technology meets the substantial
clinical improvement criterion,
including with respect to the specific
concerns we have raised. We did not
receive any written comments in
response to the New Technology Town
Hall meeting notice published in the
Federal Register regarding the
substantial clinical improvement
criterion for AZEDRA® or at the New
Technology Town Hall meeting.
b. CABLIVI® (caplacizumab-yhdp)
The Sanofi Company submitted an
application for new technology add-on
payments for CABLIVI® (caplacizumabyhdp) for FY 2020. The applicant
described CABLIVI® as a humanized
bivalent nanobody consisting of two
identical building blocks joined by a tri
alanine linker, which is administered
through intravenous and subcutaneous
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injection to inhibit microclot formation
in adult patients who have been
diagnosed with acquired thrombotic
thrombocytopenic purpura (aTTP). The
applicant stated that aTTP is a lifethreatening, immune-mediated
thrombotic microangiopathy
characterized by severe
thrombocytopenia, hemolytic anemia,
and organ ischemia with an estimated 3
to 11 cases per million per year in the
U.K. and U.S.26 27 28 Further, the
applicant stated that aTTP is an ultraorphan disease caused by inhibitory
autoantibodies to von Willebrand
Factor-cleaving protease (vWFCP) also
known as ‘‘a disintegrin and
metalloprotease with thrombospondin
type 1 motif, member 13 (ADAMTS13),’’
resulting in a severe deficiency in
WFCP. The applicant further explained
that von Willebrand Factor (vWF) is a
key protein in hemostasis and is an
adhesive, multimeric plasma
glycoprotein with a pivotal role in the
recruitment of platelets to sites of
vascular injury. According to the
applicant, more than 90 percent of
circulating vWF is expressed by
endothelial cells and secreted into the
systemic circulation as ultra-large von
Willebrand Factor (ULvWF) multimers.
The applicant stated that decreased
ADAMTS13 activity leads to an
accumulation of ULvWF multimers,
which bind to platelets and induce
platelet aggregation. According to the
applicant, the consumption of platelets
in these microthrombi causes severe
thrombocytopenia, tissue ischemia and
organ dysfunction (commonly involving
the brain, heart, and kidneys) and may
result in acute thromboembolic events
such as stroke, myocardial infarction,
venous thrombosis, and early death. The
applicant indicated that the
aforementioned tissue and organ
damage resulting from the ischemia
leads to increased levels of lactate
dehydrogenase (LDH), troponins, and
creatinine (organ damage markers) and
that faster normalization of these organ
damage markers and platelet counts is
believed to be linked with faster
resolution of the ongoing
26 Scully, M., et al., ‘‘Regional UK TTP registry:
correlation with laboratory ADAMTS 13 analysis
and clinical Features,’’ Br. J. Haematol., 2008, vol.
142(5), pp. 819–26.
27 Reese, J.A., et al., ‘‘Children and adults with
thrombotic thrombocytopenic purpura associated
with severe, acquired Adamts13 deficiency:
comparison of incidence, demographic and clinical
features,’’ Pediatr. Blood Cancer, 2013, vol. 60(10),
pp. 1676–82.
28 Terrell, D.R., et al., ‘‘The incidence of
thrombotic thrombocytopenic purpura-hemolytic
uremic syndrome: all patients, idiopathic patients,
and patients with severe ADAMTS–13 deficiency,’’
J. Thromb. Haemost., 2005, vol. 3(7), pp. 1432–6.
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microthrombotic process and the
associated tissue ischemia. According to
the applicant, in diagnoses of aTTP
there is no consensual, validated
surrogate marker that defines the
subpopulation at greatest risk of death
or significant morbidity. Therefore, the
applicant stated that all patients who
have been diagnosed with aTTP should
be considered severe cases and treated
in order to prevent death and significant
morbidity.
The applicant explained that the two
standard-of-care (SOC) treatment
options for a diagnosis of aTTP are
plasma exchange (PE), in which a
patient’s blood plasma is removed
through apheresis and is replaced with
donor plasma, and immunosuppression
(for example, corticosteroids and
increasingly also rituximab), which is
often administered as adjunct to plasma
exchange in the treatment for a
diagnosis of aTTP.29 30 According to the
applicant, despite the current SOC
treatment options, acute aTTP episodes
are still associated with a mortality rate
of up to 20 percent, which generally
occurs within the first weeks of
diagnosis. The applicant asserted that,
although the 20-percent mortality rate
reflects substantial improvement
because of PE treatment, in spite of
greater understanding of disease
pathogenesis and the use of newer
immunosuppressants, the mortality rate
has not been further
improved.31 32 33 34 35 36 The applicant
also noted that another important
limitation of the currently available
29 Scully, M., et al., ‘‘Guidelines on the diagnosis
and management of thrombotic thrombocytopenic
purpura and other thrombotic microangiopathies,’’
Br. J. Haematol., 2012, vol. 158(3), pp. 323–35.
30 George, J.N., ‘‘Corticosteroids and rituximab as
adjunctive treatments for thrombotic
thrombocytopenic Purpura,’’ Am. J. Hematol., 2012,
vol. 87 Suppl 1, pp. S88–91.
31 Form for Notification of a Compassionate Use
Programme to the Paul-Ehrlich-Institut.
32 Benhamou, Y., et al., ‘‘Cardiac troponin-I on
diagnosis predicts early death and refractoriness in
acquired thrombotic thrombocytopenic purpura.
Experience of the French Thrombotic
Microangiopathies Reference Center,’’ J. Thromb.
Haemost., 2015, vol. 13(2), pp. 293–302.
33 Han, B., et al., ‘‘Depression and cognitive
impairment following recovery from thrombotic
thrombocytopenic purpura,’’ Am. J. of Hematol.,
2015, vol. 90(8), pp. 709–14.
34 Rajan, S.K., ‘‘BMJ Best Practice; Thrombotic
thrombocyopenic purpura,’’ May 27, 2016.
35 Goel, R., et al., ‘‘Prognostic risk-stratified score
for predicting mortality in hospitalized patients
with thrombotic thrombocytopenic purpura:
nationally representative data from 2007 to 2012,’’
Transfusion, 2016, vol. 56(6), pp. 1451–8.
36 Rock, G.A., Shumak, K.H., Buskard, N.A., et al.,
‘‘Comparison of plasma exchange with plasma
infusion in the treatment of thrombotic
thrombocytopenic purpura. Canadian Apheresis
Study Group,’’ N Engl J Med, 1991, vol. 325, pp.
393–397.
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therapies (PE and immunosuppression)
is the delayed onset of effect of days to
weeks of these therapies because such
therapies do not directly address the
pathophysiological platelet aggregation
that leads to the formation of
microthrombi, which is ultimately
associated with death or with the severe
outcomes reported with diagnoses of
aTTP. The applicant explained that
despite current treatment, exacerbation
and relapse occur and frequently lead to
hospitalization and the need to restart
daily PE treatment and optimize
immunosuppression. In addition, the
applicant noted that patients may
experience exacerbations after
discontinuing plasma exchange
treatment due to continuing formation
of microthrombi as a result of
unresolved underlying autoimmune
disease, and patients remain at risk of
thrombotic complications or early death
until the episode is completely
resolved.37
According to the information
provided by the applicant, CABLIVI® is
administered as an adjunct to PE
treatment and immunosuppressive
therapy immediately upon diagnosis of
aTTP through a bolus intraveneous
injection for the first dose and
subcutaneous injection for all
subsequent doses. The recommended
treatment regimen and dosage of
CABLIVI® consists of administering 10
mg on the first day of treatment via
intravenous injection prior to the
standard plasma exchange treatment.
After completion of PE treatment on the
first day, a 10 mg subcutaneous
injection is administered. After the first
day, and for the rest of the plasma
exchange treatment period, a daily 10
mg subcutaneous injection is
administered following each day’s PE
treatment. After the PE treatment period
is completed, a daily 10 mg
subcutaneous injection is administered
for 30 days. If the underlying
immunological disease (aTTP) is not
resolved, the treatment period should be
extended beyond 30 days and be
accompanied by optimization of
immunosuppression (another SOC
treatment option, in addition to PE
treatment). According to the applicant
and as discussed later, the use of
CABLIVI® produces faster
normalization of platelet count response
compared to that of SOC treatment
options alone. The applicant indicated
that this contributes to a decrease in the
37 Goel, R., et al., ‘‘Prognostic risk-stratified score
for predicting mortality in hospitalized patients
with thrombotic thrombocytopenic purpura:
nationally representative data from 2007 to 2012,’’
Transfusion, 2016, vol. 56(6), pp. 1451–8.
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length of the SOC treatment period with
respect to the number of days of PE
treatment, the mean length of intensive
care unit stays, and the mean length of
hospitalizations.
With respect to the newness criterion,
CABLIVI® received FDA approval on
February 6, 2019, for the treatment of
adult patients who have been diagnosed
with aTTP, in combination with plasma
exchange and immunosuppressive
therapy. According to information
provided by the applicant, CABLIVI®
was previously granted Fast Track and
Orphan Drug designations in the United
States for the treatment of aTTP by the
FDA and Orphan Drug designation in
Europe for the treatment of aTTP.
Currently, there are no ICD–10–PCS
procedure codes to uniquely identify
procedures involving CABLIVI®. We
note that the applicant submitted a
request for approval for a unique ICD–
10–PCS procedure code for the
administration of CABLIVI® beginning
in FY 2020.
As discussed above, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and would not be
considered ‘‘new’’ for purposes of new
technology add-on payments.
With regard to the first criterion,
whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome, according to the
applicant, CABLIVI® is a first-in-class
therapy with an innovative mechanism
of action. The applicant explained that
CABLIVI® binds to the A1 domain of
vWF and specifically inhibits the
interaction between vWF and platelets.
Furthermore, the applicant indicated
that in patients who have been
diagnosed with aTTP, proteolysis of
ULvWF multimers by ADAMTS13 is
impaired due to the presence of
inhibiting or clearing anti-ADAMTS13
auto-antibodies, resulting in the
persistence of the constitutively active
A1 domain and, as a consequence,
platelets spontaneously bind to ULvWF
and generate microvascular blood clots
in high shear blood vessels. The
applicant noted that CABLIVI® is able to
interact with vWF in both its active (that
is, ULvWF multimers or normal
multimers activated through
immobilization or shear stress) and
inactive forms (that is, multimers prior
to conformational change of the A1
domain), thereby immediately blocking
the interaction of vWF with the platelet
receptor (GPIb-IX–V) and further
preventing spontaneous interaction of
ULvWF with platelets that would lead
to platelet microthrombi formation in
the microvasculature, local schemia and
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platelet consumption. The applicant
highlighted that this immediate plateletprotective effect differentiates
CABLIVI® from slower-acting therapies,
such as PE and immunosuppressants,
which need days to exert their effect.
The applicant explained that PE acts by
removing ULvWF and the circulating
auto-antibodies against ADAMTS13,
thereby replenishing blood levels of
ADAMTS13, while
immunosuppressants aim to stop or
reduce the formation of auto-antibodies
against ADAMTS13.
With respect to the second criterion,
whether a product is assigned to the
same or a different MS–DRG, the
applicant believed that potential cases
representing patients who may be
eligible for treatment involving
CABLIVI® would be assigned to the
same MS– DRGs as cases representing
patients who receive SOC treatment for
a diagnosis of aTTP. As explained below
in the discussion of the cost criterion,
the applicant believed that potential
cases representing patients who may be
eligible for treatment involving
CABLIVI® would be assigned to MS–
DRGs that contain cases representing
patients who were diagnosed with aTTP
and received therapeutic PE procedures
during hospitalization.
With respect to the third criterion,
whether the new use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population, according to
the applicant, there are no other specific
therapies approved for the treatment of
patients diagnosed with aTTP. As stated
earlier, according to the applicant,
patients who have been diagnosed with
aTTP have two currently available SOC
treatment options: PE, in which a
patient’s blood plasma is removed
through apheresis and is replaced with
donor plasma, and immunosuppression
(for example, corticosteroids and
increasingly rituximab), which is
administered as an adjunct to PE in the
treatment of aTTP. The applicant further
explained that immunosuppression
consisting of glucocorticoids is often
administered as adjunct to PE in the
initial treatment of a diagnosis of
aTTP,38 39 but their use is based on
historical evidence that some patients
with limited symptoms might respond
38 Scully, M., et al., ‘‘Guidelines on the diagnosis
and management of thrombotic thrombocytopenic
purpura and other thrombotic microangiopathies,’’
Br. J. Haematol., 2012, vol. 158(3), pp. 323–35.
39 George, J.N., ‘‘Corticosteroids and rituximab as
adjunctive treatments for thrombotic
thrombocytopenic Purpura,’’ Am. J. Hematol., 2012,
vol. 87 Suppl 1, pp. S88–91.
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19291
to corticosteroids alone.40 41 The
applicant noted that there have been no
studies specifically comparing treatment
involving the combination of PE with
corticosteroids, versus PE alone; that
they are not specifically approved for
the treatment of a diagnosis of aTTP,
and that other immunosuppressive
agents used to treat a diagnosis of aTTP,
such as rituximab, have not been
studied in properly controlled, doubleblind studies. The applicant also noted
that rituximab, aside from not being
licensed for the treatment of a diagnosis
of aTTP, is not fully effective during the
first 2 weeks of treatment, with a
reported delay of onset of its effect that
may extend up to 27 days, with at least
3 to 7 days needed to achieve adequate
B-cell depletion (given the B-cells may
also contain ADAMTS13 antibodies),
and even longer to restore ADAMTS13
activity levels.42 43
Based on the applicant’s statements as
summarized above, the applicant
believes that CABLIVI® provides a new
treatment option for patients who have
been diagnosed with aTTP. However, it
is not clear that CABLIVI® would
involve the treatment of a different type
of disease or a different patient
population. As stated earlier, according
to the applicant, patients who have been
diagnosed with aTTP have two SOC
treatment options for a diagnosis of
aTTP: PE, in which a patient’s blood
plasma is removed through apheresis
and is replaced with donor plasma, and
immunosuppression (for example,
corticosteroids and increasingly also
rituximab), which is administered as an
adjunct to PE in the initial treatment for
a diagnosis of aTTP. Therefore, it
appears that CABLIVI® is used to treat
the same or similar type of disease (a
diagnosis of aTTP) and a similar patient
population as currently available
treatment options.
We are inviting public comments on
whether CABLIVI® is substantially
similar to other technologies and
whether CABLIVI® meets the newness
criterion.
40 Bell, W.R., et al., ‘‘Improved survival in
thrombotic thrombocytopenic purpura-hemolytic
uremic Syndrome. Clinical experience in 108
patients,’’ N. Engl. J. Med., 1991, vol. 325(6), pp.
398–403.
41 Phillips, E.H., et al., ‘‘The role of ADAMTS–13
activity and complement mutational analysis in
differentiating acute thrombotic
microangiopathies,’’ J. Thromb. Haemost., 2016,
vol. 14(1), pp. 175–85.
42 Coppo, P., ‘‘Management of thrombotic
thrombocytopenic purpura,’’ Transfus Clin Biol.,
Sep 2017, vol. 24(3), pp. 148–153.
43 Froissart, A., et al., ‘‘Rituximab in autoimmune
thrombotic thrombocytopenic purpura: A success
story,’’ Eur. J. Intern. Med., 2015, vol. 26(9), pp.
659–65.
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With regard to the cost criterion, the
applicant conducted the following
analysis to demonstrate that the
technology meets the cost criterion. In
order to identify the range of MS–DRGs
that cases representing potential
patients who may be eligible for
treatment using CABLIVI® may map to,
the applicant identified all MS–DRGs
for patients who had been hospitalized
for a diagnosis of aTTP. Specifically, the
applicant searched the FY 2017
MedPAR file for Medicare fee-forservice inpatient hospital claims
submitted between October 1, 2016 and
September 30, 2017, and identified
potential cases by ICD–10–CM diagnosis
code M31.1 (Thrombotic
microangiopathy) and ICD–10–PCS
procedure codes 6A550Z3 (Pheresis of
MS–DRG
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MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
545
546
547
682
698
MS–DRG title
.......
.......
.......
.......
.......
Connective Tissue Disorders with MCC.
Connective Tissue Disorders without CC.
Connective Tissue Disorders without CC/MCC.
Renal Failure with MCC.
Other Kidney and Urinary Tract Diagnoses with MCC.
Using the 242 identified cases that
mapped to the top 5 MS–DRGs above,
the average case-weighted
unstandardized charge per case was
$188,765. The applicant then
standardized the charges and then
removed historic charges for items that
are expected to be avoided for patients
who receive treatment involving
CABLIVI®. The applicant determined
that 31 percent of historical routine bed
charges, 65 percent of historical ICU
charges, and 38 percent of historical
blood administration charges (which
includes charges for therapeutic PE)
would be reduced because of the use of
CABLIVI®, based on the findings from
the Phase III clinical study HERCULES.
The applicant indicated it used the FY
2017 MedPAR file to determine the
appropriate amount of charges to
remove. The applicant then inflated the
adjusted standardized charges by 8.864
percent utilizing the 2-year inflation
factor published by CMS in the FY 2019
IPPS/LTCH PPS final rule to adjust the
outlier threshold (83 FR 41722). (We
note that this figure was revised in the
FY 2019 IPPS/LTCH PPS final rule
correction notice. The corrected final 2year inflation factor is 1.08986 (83 FR
49844). We further note that even when
using the corrected final rule values to
inflate the charges, the average caseweighted standardized charge per case
exceeded the average case-weighted
threshold amount.) The applicant
explained that the anticipated price for
CABLIVI®’s indication for the treatment
of patients who have been diagnosed
with aTTP, in combination with plasma
exchange and immunosuppressive
therapy, has yet to be determined and,
therefore, no charges for CABLIVI® were
added in the analysis. Based on the FY
2019 IPPS/LTCH PPS final rule
correction notice data file thresholds for
FY 2020, the applicant determined the
average case-weighted threshold amount
VerDate Sep<11>2014
plasma, single) and 6A551Z3 (Pheresis
of plasma, multiple). The applicant
noted that it excluded cases with an
ICD–10–CM diagnosis code of D59.3
(Hemolytic-uremic syndrome).
This resulted in 360 cases spanning
61 MS–DRGs, with approximately 67.2
percent of all potential cases mapping to
the following 5 MS–DRGs:
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was $49,904. The final inflated average
case-weighted standardized charge per
case was $145,543. Because the final
inflated average case-weighted
standardized charge per case exceeds
the average case-weighted threshold
amount, the applicant maintained that
the technology meets the cost criterion.
We are inviting public comments on
whether CABLIVI® meets the cost
criterion.
With respect to the substantial
clinical improvement criterion, the
applicant asserted that it believes that
CABLIVI® represents a substantial
clinical improvement compared to the
use of currently available treatments (PE
and immunosuppressants) because it:
(1) Significantly reduces time to platelet
count response, which is consistent
with the halting of platelet consumption
in microthrombi; (2) significantly
reduces the number of patients with
aTTP-related death, recurrence of aTTPrelated episodes, or a major
thromboembolic event; (3) reduces
mortality; (4) reduces the proportion of
patients with recurrence of aTTP
diagnoses; (5) reduces the proportion of
patients who develop refractory disease;
(6) reduces the number of days of PE; (7)
reduces the mean length of intensive
care unit stay and the mean length of
hospitalization; and (8) shows a trend of
more rapid normalization of organ
damage markers. The applicant
provided further detail regarding these
assertions, referencing the results of
Phase II and Phase III studies and an
integrated efficacy analysis of both
studies.
The applicant reported that the Phase
II study was a randomized, single-blind,
placebo controlled study entitled ALX–
0681–2.1/10 (TITAN) that examined the
efficacy and safety of the use of
CABLIVI® compared to a placebo, with
the primary endpoint being
achievement of a statistically significant
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reduction in time to platelet count
response. Seventy-five patients, 66 of
which were white, (19 to 72 years old,
with a mean of 41.6 years old; 44
women and 31 men) with an episode of
aTTP were randomized 1:1 to receive
either CABLIVI® (n=36) or placebo
(n=39), in addition to daily PE.44
Patients received their first dose of
CABLIVI® administered through
intravenous injection prior to the first
PE, followed by daily doses
administered subcutaneously after each
PE. After discontinuing PE, daily doses
of CABLIVI® administered through
subcutaneous injection were continued
for 30 days. The median treatment
duration with CABLIVI® was 36 days.
According to the applicant,
significantly more patients in the
treatment arm met the primary endpoint
[95 percent Confidence Interval (CI)
(3.78, 1.28)]. The applicant indicated
that the time to platelet count response
improvement constitutes a significant
substantial clinical improvement
because it demonstrated that patients
treated with CABLIVI® were 2.2 times
more likely to achieve an acceptable
time to platelet count response than
patients receiving treatment with the
placebo. Additionally, the applicant
noted that exacerbation of aTTP
occurred in fewer patients who were
treated with CABLIVI® (8.3 percent)
than placebo (28.2 percent). During the
1-month follow-up period, 8 relapses
(defined as a recurrence more than 30
days after discontinuing PE) occurred in
the CABLIVI® group with 7 of the
relapses occurring within 10 days of
44 Peyvandi, F., Scully, M., Kremer Hovinga, J.A.,
Cataland, S., Kno¨bl, P., Wu, H., Artoni, A.,
Westwood, J.P., Mansouri Taleghani, M., Jilma, B.,
Callewaert, F., Ulrichts, H., Duby, C., Tersago, D.,
TITAN Investigators, ‘‘Caplacizumab for Acquired
Thrombotic Thrombocytopenic Purpura,’’ N Engl J
Med., February 11, 2016, vol. 374(6), pp. 511–22.
PMID: 26863353.
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discontinuing the study drug. In all
seven of the relapses, ADAMTS13
activity was still severely suppressed at
the end of the treatment period,
evidence of ongoing underlying
immunological disease and indicating
an imminent risk of another relapse.
The applicant explained that according
to post-hoc analyses, the group of
patients who were treated with
CABLIVI® compared to placebo showed
a decrease in the percentage of patients
with refractory disease (0 percent versus
10.8 percent), a reduction in the number
of days of PE (7.7 days versus 11.7 days)
and a trend to more rapid normalization
of organ damage markers (lactate
dehydrogenase, cardiac troponin I and
serum creatinine). Finally, the applicant
noted that there were no deaths in the
group of patients who were treated with
CABLIVI®. However, 2 of the 39
placebo-treated patients (5.1 percent)
died.
The applicant explained that the
Phase III study was a randomized,
double-blind, placebo controlled study
entitled ALX0681–C301 (HERCULES)
that examined the efficacy and safety of
the use of CABLIVI® compared to a
placebo, with the primary endpoint
being achievement of a statistically
significant reduction in time to platelet
count response. One hundred forty-five
patients (18 to 79 years old, with a mean
of 46 years old, 100 women and 45
men), with an episode of aTTP were
randomized 1:1 to receive either
CABLIVI® (n=72) or placebo (n=73) in
addition to daily PE and
immunosuppression.45 The applicant
explained that patients received a single
10 mg CABLIVI® intravenous injection
or placebo prior to the first PE, followed
by a daily CABLIVI® 10 mg
subcutaneous injection or placebo after
completion of PE, for the duration of the
daily PE treatment period and for 30
days thereafter. According to the
applicant, if at the end of this treatment
period (daily PE treatment period and
30 days after) there was evidence of
persistent underlying immunological
disease activity (indicative of an
imminent risk for recurrence), treatment
could be extended weekly for a
maximum of 4 weeks, together with
optimization of immunosuppression.
The applicant indicated that patients
who experienced a recurrence while
undergoing study drug treatment were
switched to open-label CABLIVI® and
they were again treated for the duration
of daily PE treatment and for 30 days
thereafter. If at the end of this treatment
45 Scully, M., et al., ‘‘Treatment of Acquired
Thrombotic Thrombocytopenic Purpura with
Caplacizumab,’’ N. Engl. J. Med., (In Press).
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period (daily PE treatment period and
30 days after) there was evidence of
ongoing underlying immunological
disease, open-label treatment with
CABLIVI® could be extended weekly for
a maximum of 4 weeks, together with
optimization of immunosuppression.
Patients were followed for 28 days after
discontinuation of treatment. Upon
recurrence during the follow-up period
(that is, after all study drug treatment
had been discontinued), there was no
re-initiation of the study drug because
recurrence at this point was treated
according to the SOC. The median
treatment duration with CABLIVI® in
the double-blind period was 35 days.
According to the applicant, patients
in the treatment arm were more likely
to achieve platelet count response at any
given time point, compared to the
placebo [95 percent CI (1.1, 2.2)]. The
applicant believed that this constitutes
a significant substantial clinical
improvement because patients who
were treated with CABLIVI® were 1.55
times more likely to achieve platelet
count response at any given time point,
compared to placebo. The applicant also
indicated that, compared to placebo,
treatment with CABLIVI® resulted in a
74 percent reduction in the number of
patients with aTTP-related death,
recurrence of aTTP diagnosis, or a major
thromboembolic event, during the study
drug treatment period (p<0.0001).
The applicant noted that the
proportion of patients with a recurrence
of an aTTP diagnosis in the Phase III
study period (that is, the drug treatment
period plus the 28-day follow-up after
discontinuation of the drug treatment)
was 67 percent lower in the CABLIVI®
group (12.7 percent) compared to the
placebo group (38.4 percent) (p<0.001).
The applicant also indicated that in all
6 patients in the CABLIVI® group who
experienced a recurrence of an aTTP
diagnosis during the follow-up period
(that is, a relapse), ADAMTS13 activity
levels were less than 10 percent at the
end of the study drug treatment,
indicating that the underlying
immunological disease was still active
at the time CABLIVI® was discontinued.
Furthermore, the applicant stated that
there were no patients who were treated
with CABLIVI® that had refractory
disease (defined as absence of platelet
count doubling after 4 days of standard
treatment and elevated LDH), compared
to 3 patients (4.2 percent) who had
refractory disease that were treated with
placebo. The applicant also explained
that a trend to faster normalization of
the organ damage markers lactate
dehydrogenase, cardiac troponin I and
serum creatinine was observed in
patients who were treated with
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CABLIVI®. The applicant noted that
during the study drug treatment, there
were no deaths in patients who were
treated with CABLIVI®, while 3 of the
73 placebo-treated patients (4.1 percent)
died. Finally, the applicant stated that
during the Phase III study drug
treatment period, treatment with
CABLIVI® resulted in a 38 percent
reduction in the mean number of PE
treatment days versus placebo
(reduction of 3.6 days) and a 41 percent
reduction in the mean volume of PE
(reduction of 14.6L). Furthermore,
treatment with CABLIVI® resulted in a
65 percent reduction in the mean length
of ICU stay (reduction of 6.3 days) and
a 31 percent reduction in the mean
length of hospitalization (reduction of
4.5 days) during the Phase III study drug
treatment period.
The applicant submitted integrated
data from the blinded periods of the
Phase II and Phase III studies that show
a statistically significant difference in
favor of CABLIVI® (n=108) in time to
platelet count response compared to
placebo (n=112). The applicant
indicated that patients who were treated
with CABLIVI® were 1.65 times more
likely to achieve platelet count response
at any given time point during the
blinded period than patients who were
treated with placebo (95 percent CI:
1.23, 2.20; p<0.001). Additionally,
according to the applicant, integrated
data from the blinded periods of the
Phase II and Phase III studies showed
that compared to placebo, treatment
with CABLIVI® resulted in a 72.6
percent reduction in the percentage of
patients with aTTP-related death, a
recurrence of a aTTP diagnosis, or at
least one treatment-emergent major
thromboembolic event during the
blinded treatment period (p<0.0001).
More specifically, the applicant
indicated that during the blinded
treatment period no aTTP-related deaths
occurred in the CABLIVI® group
compared to 4 aTTP-related deaths in
the placebo group (p<0.05), treatment
with CABLIVI® resulted in an 84.0
percent reduction in the proportion of
patients with a recurrence of a aTTP
diagnosis (exacerbation, relapse) during
the blinded treatment period
(p<0.0001), and treatment with
CABLIVI® resulted in a reduction of
40.8 percent in the proportion of
patients with at least one treatmentemergent major thromboembolic event
during the blinded treatment period.
According to the applicant, pooled
data from the two studies showed that
none of the patients who were treated
with CABLIVI® developed refractory
disease (that is, absence of platelet
count doubling after 4 days of standard
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treatment and elevated LDH) compared
to 7 patients (6.3 percent; 7/112) who
were treated with placebo during the
blinded period (p<0.01). Finally, the
applicant noted that across both studies,
treatment with CABLIVI® resulted in a
37.5 percent reduction in the mean
number of days of PE treatment
(reduction of 3.9 days).
Although the applicant asserts that
CABLIVI® represents a substantial
clinical improvement compared to the
use of currently available treatments (PE
and immunosuppressants), we are
concerned that the Phase II TITAN and
Phase III HERCULES studies may not
provide enough evidence to support that
the use of CABLIVI® represents a
substantial clinical improvement.
Regarding the Phase II TITAN study,
we are concerned that because 66 of the
75 patients in the study population were
white, the results of the study may not
be generalizable to a more diverse
population that may be at risk for
diagnosis of aTTP. Additionally, we
note that CABLIVI® was associated with
fewer aTTP exacerbations during
therapy, but was associated with more
aTTP exacerbations after therapy was
discontinued, suggesting a lack of effect
on long-term anti-ADAMTS13 antibody
levels. Although this is consistent with
CABLIVI®’s mechanism of action, we
are concerned that without long-term
data to determine the impact of adjunct
use of CABLIVI® on exacerbations and
relapse it may be difficult to determine
if the use of CABLIVI® represents a
substantial clinical improvement over
existing therapy.
Based on data from the Oklahoma
TTP–HUS Registry, the incidence of
aTTP is approximately three cases per 1
million adults per year.46 Additionally,
the median age for a diagnosis of aTTP
is 41, with a wide range between 9 years
old and 78 years old. We acknowledge
the challenges with constructing robust
clinical studies due to the extremely
rare occurrence of patients who have
been diagnosed with aTTP. However,
regarding the Phase III HERCULES
study, we are nonetheless concerned
that the study population was small,
145 people. Additionally, it is unclear if
the response rate may differ in those
who have a de novo diagnosis versus
those with recurrent disease. We note
that PE treatment alone has been
attributed to an 80 percent survival
46 Reese, J.A., Muthurajah, D.S., Kremer-Hovinga,
J.A., Vesely, S.K., Terrell, D.R., George, J.N.,
‘‘Children and adults with thrombotic
thrombocytopenic purpura associated with severe,
acquired Adamts13 deficiency: comparison of
incidence, demographic and clinical features,’’
Pediatr Blood Cancer, October 2013, vol. 60(10), pp.
1676–82, Epub June 1, 2013.
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rate,47 and because CABLIVI® is given
in combination with or after SOC
therapies, we are concerned that we
may not have sufficient information to
determine the extent to which the study
results are attributable to the use of
CABLIVI®. Furthermore, with the
follow-up period for the Phase III
HERCULES study being only 28 days,
we are concerned that there is a lack of
long-term data. In the absence of longterm data, we are concerned about the
impact of the use of CABLIVI® on the
relapse rate beyond the overall study
period, including the 28-day follow-up
period.
Finally, although both the Phase II
and III studies consisted of key
secondary endpoints such as death or
major thromboembolic events, we are
concerned that these endpoints were not
clearly defined. We also are concerned
that the studies did not appear to
account for other clearly defined
endpoints such as heart attack, stroke, a
bleeding episode, and power
calculations for the expected differences
in such endpoints that would be
biologically important.
We are inviting public comments on
whether CABLIVI® meets the
substantial clinical improvement
criterion.
Below we summarize and respond to
a written comment we received in
response to the New Technology Town
Hall meeting notice published in the
Federal Register regarding the
substantial clinical improvement
criterion for CABLIVI®.
Comment: The applicant stated that
during the New Technology Town Hall
meeting questions were asked regarding
the design of the Phase III HERCULES
study, specifically regarding treatments
that were administered during the
different arms of the study. To address
those questions, the applicant
summarized the methodology of the
Phase III HERCULES study by
indicating that 145 patients with an
acute episode of aTTP who had received
one PE treatment were randomized 1:1
to placebo (73 patients), or 10 mg of
CABLIVI® (72 patients), in addition to
receiving daily PE treatment and
corticosteroids. The applicant explained
that a single intravenous dose of 10 mg
of the study drug was given before the
first PE performed during the study and
a single 10 mg subcutaneous dose was
given the same day following
completion of that day’s PE treatment.
47 Rock, G.A., Shumak, K.H., Buskard, N.A., et al.,
‘‘Comparison of plasma exchange with plasma
infusion in the treatment of thrombotic
thrombocytopenic purpura. Canadian Apheresis
Study Group,’’ N Engl J Med, 1991, vol. 325, pp.
393–397.
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The applicant further stated that a
subcutaneous dose was given daily
during the PE treatment period and 30
days thereafter. The applicant noted
that, if at the end of this period there
was evidence of ongoing disease, such
as suppressed ADAMTS13 activity,
investigators were encouraged to extend
the blinded treatment for a maximum of
4 weeks in combination with
optimization of immunosuppression. In
addition, the applicant indicated that all
patients entered a 28-day treatment-free
follow-up period after the last dose of
the study drug. The applicant explained
that the primary endpoint was time to
platelet count response, defined as
platelet count greater than or equal to
150 × 10/L with discontinuation of daily
PE treatment within 5 days. Further, the
applicant stated that there were four key
secondary endpoints, hierarchically
ranked: (1) The proportion of patients
with aTTP-related death, aTTP
recurrence, or at least one major
thromboembolic event during the study
drug treatment period (a blinded,
independent committee adjudicated
aTTP-related deaths and major
thromboembolic events); (2) the
proportion of patients with a recurrence
during the entire study period,
including the follow-up period; (3) the
proportion of patients with
refractoriness to therapy, defined as
absence of platelet count doubling after
4 days of treatment and LDH still above
normal; and (4) the time to
normalization of 3 organ damage
markers: LDH, cardiac troponin I and
serum creatinine.
Response: We appreciate the
information provided by the applicant.
We will take this information into
consideration when deciding whether to
approve new technology add-on
payments for CABLIVI® for FY 2020.
c. CivaSheet®
CivaTech Oncology, Inc. submitted an
application for new technology add-on
payments for CivaSheet® for FY 2020.
CivaSheet® received FDA clearance of a
510(k) premarket notification on August
29, 2014. CivaSheet® was approved as a
‘‘sealed source’’ by the Nuclear
Regulatory Commission (NRC) and
added to the Registry of Radioactive
Sealed Source and Devices on October
24, 2014. On May 9, 2018, CivaSheet®
was registered by the American
Association of Physicists in Medicine
(AAPM) on the ‘‘Joint AAPM/IROC
Houston Registry of Brachytherapy
Sources Complying with AAPM
Dosimetric Prerequisites.’’ According to
the applicant, inclusion on this AAPM
registry is a long-standing requirement
imposed on brachytherapy sources used
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in all National Cancer Institute clinical
trials and that all other available
brachytherapy sources are included on
this registry. According to the applicant,
CivaSheet® was not commercially
distributed among IPPS hospitals until
May 2018, after meeting the
requirements for inclusion in the AAPM
registry. Therefore, according to the
applicant the ‘‘newness’’ period for the
CivaSheet®, if approved for FY 2020
new technology add-on payments,
should commence on May 9, 2018.
Based on this information, we believe
the newness period for CivaSheet®
would begin on May 9, 2018. However,
we are seeking public comments on
whether inclusion on the AAPM registry
is an appropriate indicator of the first
availability of the CivaSheet®
brachytherapy sources on the U.S.
market and whether the date of
inclusion on the AAPM registry is
appropriate to consider as the beginning
of the newness period for CivaSheet®.
CivaSheet® is intended for medical
purposes to be placed into a body cavity
or tissue as a source for the delivery of
radiation therapy. CivaSheet® is
indicated for use as a brachytherapy
source for the treatment of selected
localized tumors. The device may be
used either for primary treatment or for
the treatment of residual disease after
excision of the primary tumor.
CivaSheet® may be used concurrently,
or sequentially, with other treatment
modalities, such as external beam
radiation therapy or chemotherapy. We
note that the applicant has submitted a
request for approval for a unique ICD–
10–PCS procedure code to describe
procedures involving the use the
CivaSheet® device, beginning in FY
2020.
As discussed previously, if a
technology meets all three of the
substantial similarity criteria, it would
be considered substantially similar to an
existing technology and, therefore,
would not be considered ‘‘new’’ for
purposes of new technology add-on
payments.
With regard to the first criterion,
whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome, according to the
applicant, CivaSheet® does not have a
similar mechanism of action in
comparison to existing brachytherapy
technologies. The applicant asserted
that the unique construction and
configuration of the CivaSheet® device
permits delivery of radiation intraoperatively in a highly targeted fashion.
The applicant explained that the
CivaSheet® is cut to size in the
operation room (OR) and conformed to
the patient’s anatomy and surgical site,
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which allows radiation to be delivered
to the resected tumor bed margins at the
time of the original surgery. The
applicant further explained that, it is
generally believed that ‘‘hot’’ spots
should be avoided in the delivery of
radiotherapy because they lead to
complications, citing the finding that
‘‘[i]n brachytherapy, dose homogeneity
is difficult to achieve, but efforts to
minimize ‘‘hot’’ spots have been
regarded as virtuous and implantplanning guidelines were developed to
assist in this regard.’’ 48 The applicant
stated that implants are rarely
geometrically perfect and, to avoid
under-dosing some parts of the target
volume, it may be necessary to create
‘‘hot spots’’ in other parts of the
anatomy. However, as a result, a
‘‘hotter’’ dose compared to that
achievable with external beam
technologies can be delivered to the
intended area. In contrast, the applicant
indicated that CivaSheet®’s
unidirectional configuration
substantially reduces the dose delivered
to neighboring radiosensitive structures.
The applicant further stated that other
forms of radiation delivery do not have
these capabilities, and no other shielded
low-dose radiation (LDR) sources are
currently available on the market.
According to the applicant, external
beam radiation generally cannot be
delivered intra-operatively, partly
because dosage requirements make this
impractical and potentially risky and
because appropriate aiming cannot be
computed in the timeframe of a
performed surgery.
The applicant believed that, in the
absence of the use of the CivaSheet®
device, a patient requiring radiation
therapy to accompany surgery would
most likely receive radiation therapy as
an outpatient service following the
inpatient hospitalization after surgery.
Moreover, the applicant stated that not
only does this typically require
multiple, fractionated treatments, in
some cases, outpatient external beam
radiation may not be possible due to
excessive toxicity to normal
surrounding tissues. According to the
applicant, radiation therapy can be
delivered intra-operatively directly to
surgical margins through use of a linear
accelerator. However, the applicant
stated that these technologies deliver
radiation in a single ‘‘flash,’’ whereas
the CivaSheet® device enables the
delivery of radiation over time,
increasing the efficacy of the radiation
therapy.
Further, the applicant stated that
external beam radiation devices have a
fixed ball or cone-shaped applicator,
which does not necessarily conform
well to the irregular shapes of surgical
cavities or permit effective screening of
adjacent tissues. Additionally, the
applicant stated that this form of
radiation therapy requires a specialized
linear accelerator and a specially
shielded operating room, which the
applicant believes restricts its use to
IPPS-exempt cancer centers.
The applicant further stated that, in
the past, cylindrical brachytherapy
seeds have been used with various mesh
products as a form of intra-operative
radiation therapy (IORT). However,
according to the applicant, the use of
cylindrical brachytherapy seeds used
with various mesh products has not
developed as part of standard clinical
practice. According to the applicant,
patients treated with previous
cylindrical brachytherapy seeds faced
considerable challenges with toxicity
from the unfocused, unshielded seed
sources when placed in proximity of
sensitive organs.49 Additionally the
surgical meshes previously used were
not designed to maximize source
orientation and spacing, and also ran
the risk of source dispersion as the mesh
degraded.50
The applicant maintains that the
CivaSheet® is the first low-dose
radiation (LDR) brachytherapy device
designed specifically for the delivery of
IORT. CivaSheet®’s individual
brachytherapy sources are flat with a
gold shielding on one side of the seed,
a design that focuses radiation in one
direction, in contrast to the cylindrical
shape of LDR brachytherapy seeds,
which emit radiation in all directions.
According to the applicant, properties of
the flat, gold-shielded sources and the
bioabsorbable polymer encapsulation
make the CivaSheet® uniquely suited
for intra-operative delivery. As such, the
applicant asserted that the CivaSheet®
does not have a similar mechanism of
action when compared to existing LDR
brachytherapies.
With regard to the second criterion,
whether a product is assigned to the
same or similar MS–DRG, the applicant
48 Bhadrasain, M.D., Vikram, Shivaji, Ph.D.,
Deore, Beitler, M.D., Jonathan J., Sood, M.D., Brij,
Mullokandov, Ph.D., Eduard, Kapulsky, Ph.D.,
Alexander, Fontenla, Ph,d, Doracy P, ‘‘The
relationship between dose heterogeneity (‘‘hot’’
spots) and complications following high-dose rate
brachytherapy,’’ Int. J. Radiation Oncology Biol.
Phys., 1999, vol. 43, no. 5, pp. 983–987.
49 Rivard, Mark J., ‘‘Low energy brachytherapy
sources for pelvic sidewall treatment,’’ abstract
presented at the ABS 2016 Annual Meeting.
50 Seneviratne, Danushka, et al., ‘‘The CivaSheet:
The new frontier of intraoperative radiation therapy
or a pricer alternative to LDR brachytherapy,’’
Advances in Radiation Oncology, 2018, vol. 3, pp.
87–91.
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asserted that patients who may be
eligible for treatment using the
CivaSheet® include hospitalized
patients having tumors removed from
the pancreas, colon and anus, pelvic
area, head and neck, soft tissue
sarcomas, non-small-cell lung cancer,
ocular melanoma, atypical meningioma
MS–DRG
MS–DRG title
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12 .........................
13 .........................
129 .......................
130 .......................
133 .......................
134 .......................
326 .......................
327 .......................
328 .......................
329 .......................
330 .......................
331 .......................
332 .......................
334 .......................
405 .......................
406 .......................
407 .......................
576 .......................
577 .......................
578 .......................
653 .......................
654 .......................
734 .......................
735 .......................
736 .......................
739 .......................
740 .......................
741 .......................
826 .......................
827 .......................
828 .......................
Tracheostomy for Face, Mouth and Neck Diagnoses or Laryngectomy with MCC.
Tracheostomy for Face, Mouth and Neck Diagnoses or Laryngectomy with CC.
Tracheostomy for Face, Mouth and Neck Diagnoses or Laryngectomy without CC/MCC.
Major Head and Neck Procedures with CC/MCC or Major Device.
Major Head and Neck Procedures without CC/MCC.
Other Ear, Nose, Mouth and Throat O.R. Procedures with CC/MCC.
Other Ear, Nose, Mouth and Throat O.R. Procedures without CC/MCC.
Stomach, Esophageal and Duodenal Procedures with MCC.
Stomach, Esophageal and Duodenal Procedures with CC.
Stomach, Esophageal and Duodenal Procedures without CC/MCC.
Major Small and Large Bowel Procedures with MCC.
Major Small and Large Bowel Procedures with CC.
Major Small and Large Bowel Procedures without CC/MCC.
Rectal Resection with MCC.
Rectal Resection without CC/MCC.
Pancreas, Liver and Shunt Procedures with MCC.
Pancreas, Liver and Shunt Procedures with CC.
Pancreas, Liver and Shunt Procedures without CC/MCC.
Skin Graft Except for Skin Ulcer or Cellulitis with MCC.
Skin Graft Except for Skin Ulcer or Cellulitis with CC.
Skin Graft Except for Skin Ulcer or Cellulitis without CC/MCC.
Major Bladder Procedures with MCC.
Major Bladder Procedures with CC.
Pelvic Evisceration, Radical Hysterectomy and Radical Vulvectomy with CC/MCC.
Pelvic Evisceration, Radical Hysterectomy and Radical Vulvectomy without CC/MCC.
Uterine and Adnexa Procedures for Ovarian or Adnexal Malignancy with MCC.
Uterine, Adnexa Procedures for Non-Ovarian/Adnexal Malignancy with MCC.
Uterine, Adnexa Procedures for Non-Ovarian/Adnexal Malignancy with CC.
Uterine, Adnexa Procedures for Non-Ovarian/Adnexal Malignancy without CC/MCC.
Myeloproliferative Disorders or Poorly Differentiated Neoplasms with Major O.R. Procedure with MCC.
Myeloproliferative Disorders or Poorly Differentiated Neoplasms with Major O.R. Procedure with CC.
Myeloproliferative Disorders or Poorly Differentiated Neoplasms with Major O.R. Procedure without CC/MCC.
We believe that cases involving the
use of existing technologies would be
assigned to these same MS–DRGs listed
above.
With regard to the third criterion,
whether the use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population, according to
the applicant, clinical conditions that
may require use of the CivaSheet®
include treatment of the same patient
population as those who have been
diagnosed with a variety of types of
cancer, including pancreatic cancer,
colorectal cancer, anal cancer, pelvic
area/gynecological cancer,
retroperitoneal sarcoma and head and
neck cancers.
The applicant asserted that the
CivaSheet® device is not substantially
similar to any existing technology
because it uses a unique mechanism of
action, when compared to existing LDR
brachytherapy technologies, to achieve a
therapeutic outcome and, therefore,
meets the newness criterion.
We are inviting public comments on
whether the CivaSheet® device meets
the newness criterion.
VerDate Sep<11>2014
and retroperitoneum and that cases
involving the use of the CivaSheet®
would map primarily into the following
MS–DRGs:
17:51 May 02, 2019
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With regard to the cost criterion, the
applicant conducted the following
analysis to demonstrate that the
technology meets the cost criterion. To
determine the MS–DRGs that potential
cases representing patients who may be
eligible for treatment involving
CivaSheet® would map to, the applicant
identified all MS–DRGs for cases that
included ICD–10–CM diagnosis codes
for either pancreatic cancer, colorectal
cancer, anal cancer, pelvic area/
gynecological cancer, retroperitoneal
sarcoma and head and neck cancers as
a primary or secondary diagnosis. Based
on the FY 2017 MedPAR Hospital
Limited Data Set (LDS), the applicant
identified a total of 22,835 potential
cases. The applicant limited its analyses
to the most relevant 32 MS–DRGs,
which represented 80 percent of all the
cases. The applicant excluded the
following cases: Statistical outliers
which the applicant defined as 3
standard deviations from the geometric
mean, HMO cases and claims submitted
only for graduate medical education
payments and cases at hospitals that
were not included in the FY 2019 IPPS/
LTCH PPS final rule impact file (the
PO 00000
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Sfmt 4702
applicant noted that these are
predominately cancer hospitals not
subject to the IPPS). After applying the
trims above, the applicant identified
17,173 remaining cases.
Using the 17,173 cases, the applicant
determined an average case-weighted
unstandardized charge per case of
$122,565. The applicant standardized
the charges for each case and inflated
each case’s charges from FY 2017 to FY
2019 by applying the outlier charge
inflation factor of 1.085868 from the FY
2019 IPPS/LTCH PPS proposed rule (83
FR 20581). The applicant indicated that
the current average cost of the
CivaSheet® device is $24,132.86. The
applicant then added charges for
CivaSheet® by taking the cost of the
device and converting it to a charge by
dividing the costs by the national
average CCR of 0.309 for implants from
the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41273). The applicant calculated
an average case-weighted standardized
charge per case of $188,897 using the
percent distribution of MS–DRGs as
case weights. Based on this analysis, the
applicant determined that the final
inflated average case-weighted
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standardized charge per case for
CivaSheet® exceeded the average caseweighted threshold amount of $87,446
by $101,451.
We note that the inflation factor used
by the applicant was the proposed 2year inflation factor, which was
discussed in the FY 2019 IPPS/LTCH
PPS final rule summation of the
calculation of the FY 2019 IPPS outlier
charge inflation factor for the proposed
rule (83 FR 41718 through 41722). The
final 2-year inflation factor published in
the FY 2019 IPPS/LTCH PPS final rule
was 1.08864 (83 FR 41722), which was
revised in the FY 2019 IPPS/LTCH PPS
final rule correction notice to 1.08986
(83 FR 49844). However, we note that
even when using either the final rule
values or the corrected final rule values
published in the correction notice to
inflate the charges, the final inflated
average case-weighted standardized
charge per case for CivaSheet® would
exceed the average case-weighted
threshold amount. We are inviting
public comments on whether the
CivaSheet® meets the cost criterion.
With regard to the substantial clinical
improvement criterion, the applicant
asserted that CivaSheet® represents a
substantial clinical improvement over
existing technologies because it
provides the following: (1) Improved
local control of different cancers; 51 (2)
reduced rate of device-related
complications; 52 (3) reduced rate of
radiation toxicity; 53 (4) decreased future
hospitalizations; 54 (5) decreased rate of
subsequent therapeutic interventions; 55
(6) improvement in back pain and
appetite in pancreatic cancer patients 56
and (7) improved local control for
pancreatic cancer patients.57
51 Castaneda SA, Emrich J, Bowne WB, Kemmerer
EJ, Sangani R, Khalili M, Rivard MJ, Poli J. ‘‘Clinical
outcomes using a novel directional Pd-103
brachytherapy device: 20-month report of a patient
with leiomyosarcoma of the pelvic sidewall.’’
ACRO 2018 Annual Meeting.
52 Seneviratne, D., McLaughlin, C., Todor, D.,
Kaplan, B., Fields, E., ‘‘The CivaSheet: The new
frontier of intraoperative radiation therapy or a
pricier alternative to LDR brachytherapy?,’’
Advances in Radiation Oncology, 2018, vol. 3, pp.
87–91.
53 Howell, K.J., Meyer, J.E., Rivard, M.J., et al.,
‘‘Initial Clinical Experience with Directional LDR
Brachytherapy for Retroperitoneal Sarcoma,’’
submitted Int J of Rad Onc Biol Phys, 2018.
54 Cavanaugh, S.X., Rothley, D.J., Richman, C.,
‘‘Directional LDR Intraoperative Brachytherapy for
Head and Neck Cancer,’’ Presented at ABS 2017
Annual Meeting.
55 On file at CivaTech.
56 Ibid.
57 Yoo, S.S., Todor, D.A., Myers, J.M., Kaplan,
B.J., Fields, E.C., ‘‘Widening the therapeutic
window using an implantable, uni-directional LDR
brachytherapy sheet as a boost in pancreatic
cancer,’’ ASTRO 2018 Annual Meeting San
Antonio, TX.
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With regard to improved local control
of different cancers, the applicant
provided the clinical outcomes results
of a 20-month report of a patient who
had been diagnosed with
leiomyosarcoma of the pelvic
sidewall.58 According to the report, the
purpose of the report was to document
the experience of using the CivaSheet®
implant as adjuvant intraoperative
treatment in a patient who had been
diagnosed with locally advanced
leiomyosarcoma of the lateral pelvic
sidewall. The patient analyzed in this
report is a 62-year-old African American
male who was found to have a mass
incidentally in the left pelvic sidewall.
The patient presented with lower
abdominal pain, hematuria, and lower
left flank pain radiating to the left groin.
A CT scan revealed a mass in the left
pelvic sidewall that measured 8.1 x 6.4
x 3.7 cm, with encasement of the left
common iliac vein and no distant
metastasis. A biopsy revealed a highgrade leiomyosarcoma. Given his
advanced clinical stage and iliac vein
encasement, neoadjuvant pelvic
radiotherapy with IMRT, surgical
resection with reconstruction, and a
boost with intraoperative LDR
brachytherapy were performed. The
patient was treated with pelvic IMRT
(50.4 Gy/28 fractions). The patient then
underwent gross total resection and the
CivaSheet® was implanted
intraoperatively. The patient recovered
well from the interventions, according
to the report. At 20 months after
implantation of the LDR brachytherapy
device, clinical evaluations and CT
imaging surveillance demonstrated no
evidence of residual disease, according
to the report.
With regard to reducing the rate of
device-related complications, the
applicant summarized four case series.
In the four case series, the CivaSheet®
device was used to treat: (1) Axillary
squamous cell carcinoma; 59 (2)
retroperitoneal sarcoma; 60 61 62 (3)
58 Castaneda, S.A., Emrich, J., Bowne, W.B.,
Kemmerer, E.J., Sangani, R., Khalili, M., Rivard,
M.J., Poli, J., ‘‘Clinical outcomes using a novel
directional Pd-103 brachytherapy device: 20-month
report of a patient with leiomyosarcoma of the
pelvic sidewall,’’ ACRO 2018 Annual Meeting.
59 Seneviratne, D., McLaughlin, C., Todor, D.,
Kaplan, B., Fields, E., ‘‘The CivaSheet: The new
frontier of intraoperative radiation therapy or a
pricier alternative to LDR brachytherapy?,’’
Advances in Radiation Oncology, 2018, vol. 3, pp.
87–91.
60 Zhen, H., Turian, J.V., Sen, N., et al.,’’Initial
clinical experience using a novel Pd-103 surface
applicator for the treatment of retroperitoneal and
abdominal wall malignancies,’’ Advances in
Radiation Oncology, 2018, vol. 3, pp. 216–220.
61 Howell, K.J., Meyer, J.E., Rivard, M.J., et al.,
‘‘Initial Clinical Experience with Directional LDR
Brachytherapy for Retroperitoneal Sarcoma,’’
submitted Int J of Rad Onc Biol Phys, 2018.
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19297
gastric signet ring adenocarcinoma; (4)
pancreatic cancer; and (5) other
abdominal malignancies. There were 13
patients associated with these 4 case
series.
Seneviratne, et al.’s case series report
documented experience with the use of
the CivaSheet® device in a 78 year old
male patient who had been diagnosed
with axillary squamous cell carcinoma.
According to the case series report, prior
to surgery a dose of 58 Gy, prescribed
to the 95 percent isodose line (±5
percent), was delivered in 2 Gy fractions
with 3-dimensional conformal EBRT
with concurrent weekly administration
of cisplatin 40 mg/m2 at an outside
facility. Magnetic resonance imaging
scans obtained 3 months post-treatment
revealed that the mass had decreased in
size to 3.8 cm x 2.5 cm x 3.9 cm, but
maintained encasement of the axillary
artery, axillary vein, and several inferior
branches of the brachial plexus.
Concerns with regard to increased
toxicity to the axillary structures
discouraged further EBRT, and the
CivaSheet® device was implanted
immediately post tumor resection.
Given that microscopic disease within
formerly irradiated tissue was being
treated, a prescription dose of 20 Gy at
5 mm from the surface of the mesh was
considered adequate because of its
delivery of a biologically effective dose
(BED)-10 of 39.8 Gy and equivalent dose
(EQD)-2 of 33.2 Gy to the tumor bed,
while limiting the D2cc for the brachial
plexus to a BED3 of 27.9 Gy and EQD2
of 16.7 Gy, based on post implant
analysis. According to the Seneviratne,
et al. analysis, this approach allowed for
a significantly limited dose to be
delivered to the brachial plexus. A
composite dose constraint of D2cc of 75
Gy was selected on the basis of recent
data showing elevated clinical brachial
plexopathy rates beyond this threshold.
This constraint was met with an
estimated composite EQD2 of 74.7 Gy,
which, according to the applicant,
would not have been obtainable with
EBRT to a tumor bed EQD2 of greater
than or equal to 30 Gy. The patient was
discharged on the same day with
instructions on wound care and
radiation safety. According to the
applicant, the incision healed well, with
no signs of infection, seroma, or
lymphadenopathy during monthly
follow-up visits. At the 8-month followup visit, the patient was documented to
only have minor shoulder pain.
Seneviratne, et al., also discussed their
views on the advantages of the use of
62 Turian, J.V., ‘‘Emerging Technologies for IORT:
Unidirectional Planar Brachytherapy Sources,’’
Presented at AAPM 2017 Annual Meeting.
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the CivaSheet® device, which include
its bio-absorbability, ease of
visualization with imaging, potential for
intra-operative customization, ability to
complement various treatment
approaches including EBRT and
surgical resection, and ease of
implantation with minimal training.
To further substantiate its assertions
of a reduced rate of device-related
complications regarding the CivaSheet®
device, the applicant stated that its
malleability is likely to be particularly
useful in treating irregularly shaped
surgical cavities, such as those created
after breast lumpectomies or pelvic side
wall resections. According to the
applicant, the CivaSheet® device also
overcomes several shortcomings
observed even among those LDR mesh
devices that use the same isotope.
According to the applicant, as the vicryl
sutures of traditional LDR mesh devices
bend and curve around irregular
surfaces during placement, the spacing
and orientation of the radioactive seeds
may be altered, leading to unpredictable
variations in isodose geometry. The
applicant stated that, in contrast, the
polymer encapsulation of the Pd-103
Civa seeds before embedding within the
membrane allows the sources to
maintain their orientation in space and
deliver radiation in accordance with the
predetermined geometry. According to
the applicant, additionally, unlike older
LDR mesh devices that run the risk of
source dispersion after mesh
degradation, the polymer encapsulation
allows the seeds to maintain their
placement even as the membrane is
absorbed over time. In this same case
study, Seneviratne, et al., stated that a
3-month post implantation imaging of
the CivaSheet® device demonstrated
that the radioactive source geometry had
remained stable since the initial
implantation.
The applicant also provided Howell,
et al.’s case series results of six patients
diagnosed with recurrent retroperitoneal
sarcoma who had been treated with the
use of the CivaSheet® device to support
its claims of reduced rate of toxicity and
improved local control. Similar to the
Seneviratne, et al. case series report,
Howell, et al.’s case series’ report also
noted concerns regarding prior EBRT,
costs associated with intra-operative
radiation therapy both for the patient
and the hospital, and concerns of at-risk
surrounding anatomic structures. Given
these concerns, Howell, et al.’s case
series report also investigated LDR
brachytherapy using CivaSheet®.
Amongst the six patients observed, five
patients had diagnoses of recurrent
disease in the retroperitoneum or pelvic
side wall; one patient had a diagnosis of
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locally-advanced leiomyosarcoma with
no previous treatment. Regarding prior
treatment, two patients had prior EBRT
at first diagnosis. Four patients received
neoadjuvant EBRT prior to surgery in
addition to treatment involving
CivaSheet® brachytherapy. The LDR
brachytherapy dose was determined
using radiobiological calculations of
biological effective dose (BED) based on
the linear-quadratic model and EQD2
values. An LDR brachytherapy dose of
20 to 60 Gy (36 Gy mean) was
administered, corresponding to BED
values of 15 to 53 Gy (29 Gy mean) and
EQD2 values of 12 to 43 Gy (23 Gy
mean). Because the goal was to provide
a conformal radiation boost for an
additional 15 to 20 Gy EQD2, the
prescribed absorbed doses were
considered appropriate. All patients
were followed by CT scan to assess
implant migration, observed radiationrelated toxicities, and evidence for local
recurrence between 2.5 weeks and 3
months. No evidence of implant
migration or radiation-related toxicities
was found. Based on these results, the
study concluded that LDR directional
brachytherapy delivered a targeted dose
distribution that was successfully used
to treat retroperitoneal sarcoma, and
that the utilized device is an important
option for the treatment of patients who
have been diagnosed with
retroperitoneal sarcoma having close/
positive surgical margins and/or in
combination with EBRT to optimize
local control.
Two other case series, by Zhen, H. et
al.,63 and Turian, et al.,64 were
submitted by the applicant to support
the assertion of reduced rate of devicerelated complications. Both case series
assessed the use of LDR brachytherapy
using the CivaSheet® device in the
tumor bed given the same clinical
challenges outlined in case series
observed and investigated in the
Seneviratne, et al., and Howell, et al.
analyses in patients previously treated
with chemoradiation protocols and in
patients who had been diagnosed with
recurrent tumors close to important
functional tissues. Both case series
assessed LDR brachytherapy using the
CivaSheet® device in the treatment of
different cancers like retroperitoneal
sarcomas, pancreatic cancers, and
gastric singnet ring adenocarcinoma or
other abdominal carcinomas. Both case
63 Zhen, H., Turian, J.V., Sen, N., et al.,’’Initial
clinical experience using a novel Pd-103 surface
applicator for the treatment of retroperitoneal and
abdominal wall malignancies’’, Advances in
Radiation Oncology, 2018, vol. 3, pp. 216–220.
64 Turian, J.V., ‘‘Emerging Technologies for IORT:
Unidirectional Planar Brachytherapy Sources,’’
Presented at AAPM 2017 Annual Meeting.
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series followed the patients with CT
imaging sometime between 2.5 weeks
and 86 weeks. Both case series’ study
concluded that LDR brachytherapy with
the use of the CivaSheet® device was a
feasible alternative treatment modality
for the cancers treated in each case
series. According to Zhen, et al., an
advantage of using the CivaSheet®
device is that the CivaDot sheets can be
easily cut to any size and shape at the
time of implant. The author further
stated that the CivaDot sheet is
malleable and can conform to curved
surfaces. This device characteristic,
according to the author, gives the
physician more flexibility to treat tumor
beds with irregular shapes and surface
curvatures compared with electron
beam cylindrical applicators, thereby
reducing the rate of device-related
complications. However, the analysis by
Zhen, et al. also indicated that a
limitation in dosimetric evaluation
using CT imaging is related to the
inability to identify the orientation of
the individual CivaDot mainly because
of limited resolution and metal artifact
caused by the gold plating. CivaDot
orientation is inferred from the fact that
all dots are embedded in a membrane
that is sutured to the tumor bed and
because the post-implant CT scan shows
the shape of the CivaSheet® seeds being
maintained. Also, Zhen, et al. noted that
surgical clips could be mistakenly
identified as CivaDots. The analysis by
Zhen, et al. recommended that the use
of surgical clips should be minimized.
With regard to the reduced rate of
toxicity, the applicant provided a
clinical case series by Howell, et al.65 to
show that shielding healthy tissues
while irradiating the tumor bed after
surgical resection was achieved by
providing a conformal radiotherapy, a
novel Pd-103 low-dose rate (LDR)
brachytherapy device. Methods and
materials of the case include the
following: The LDR brachytherapy
device was considered for patients who
had been diagnosed with recurrent
retroperitoneal sarcoma, had received
prior radiotherapy to the area, and/or
had anatomy concerning for high-risk
margins predicted for recurrence after
resection. The case series included the
clinical conclusions for five patients
who had been diagnosed with recurrent
disease in the retroperitoneum or pelvic
side wall, one patient who had been
diagnosed with locally-advanced
leiomyosarcoma with no previous
treatment, two patients who had prior
65 Howell, K.J., Meyer, J.E.,Rivard, M.J. et al.,
‘‘Initial Clinical Experiences with Directional LDR
Brachytherapy for Retroperitoneal Sarcomo,
submitted to Int J of Rad Onc Biol Phys, 2018.
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EBRT at first diagnosis, and four
patients who received neoadjuvant
EBRT prior to surgery in combination
with brachytherapy. The LDR
brachytherapy dose was determined
using radiobiological calculations of
biological effective dose (BED) based on
the linear-quadratic model and EQD2
values. An LDR brachytherapy dose of
20 to 60 Gy (36 Gy mean) was
administered, corresponding to BED
values of 15 to 53 Gy (29 Gy mean) and
EQD2 values of 12 to 43 Gy (23 Gy
mean). Because the goal was to provide
a conformal radiation boost for an
additional 15 to 20 Gy EQD2, the
prescribed absorbed doses were
considered appropriate. According to
the applicant, results showed that
radiation was delivered to the at-risk
tissues with minimal irradiation of
adjacent healthy structures or structures
occupying the surgical cavity after
tumor resection. According to the
applicant, clinical outcomes indicated
feasibility for surgical implantation and
promising results in comparison to
current standards-of-care. The device
did not migrate over the course of
follow-up and there were no observed
radiation-related toxicities.
The Howell, et al. clinical case series
concluded that LDR directional
brachytherapy delivered a targeted dose
distribution that was successfully used
to treat retroperitoneal sarcoma and that
the utilized device is an important
option for the treatment of patients who
have been diagnosed with
retroperitoneal sarcoma having close/
positive surgical margins and/or in
combination with EBRT to optimize
local control.
The applicant also cited three
additional case series to support their
assertions of reduced rate of devicerelated complications and reduced rate
of radiation toxicity. The first is on file
at CivaTech in which they indicated
that more than 60 patients, since 2015,
had CivaSheet® implanted with no
reported device-related toxicity in
patients previously treated with
maximal EBRT. No other details were
provided by the applicant. The second
case series by Taunk, et al.66 assessed
the use of CivaSheet® in three patients
who had been diagnosed with colorectal
adenocarcinoma who had undergone
prior induction chemotherapy and
neoadjuvant chemoradiation.
CivaSheet® was placed in the tumor bed
and patients were followed with CT
imaging to assess implant migration, 3066 Taunk, N.K., Cohen, G., Taggar, A.S., et al.,
‘‘Preliminary Clinical Experience from a Phase I
Feasibility Study of a Novel Permanent
Unidirectional Intraoperative Brachytherapy
Device,’’ ABS 2017 Annual Meeting.
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and 90-day radiation toxicity and local
recurrence. One patient was deemed not
a feasible candidate because the
CivaSheet® could not be uniformly
opposed to the sacrum due to the degree
of concavity. The other two patients
underwent successful CivaSheet®
implantation, and at 30 days showed
stability of the device and no apparent
toxicity. In the final additional case
series from Rivard, et al.,67 a single
patient who had been diagnosed with
pelvic side wall cancer (type not
indicated) was implanted with
CivaSheet® and the CivaSheet® dose
distributions were compared to those of
conventional low-dose rate, low-energy
photon-emitting brachytherapy seeds
(that is, palladium 103, Iodine-125, and
Cesium-131). According to the
applicant, results suggest gold-shielding
CivaDots attenuate radiation for
directional brachytherapy and
CivaSheet® provides a therapeutic target
dose, while substantially minimizing
critical structure doses. In this specific
case study, the applicant stated that the
use of CivaSheet® showed decreased
radiation to adjacent organs, such as the
bowel and the bladder.
With regard to decreasing the number
of future hospital visits, the applicant
provided a poster presentation
presented at the American
Brachytherapy Society 2017 Annual
Meeting. The purpose of this study was
to investigate the feasibility of using
intra-operative directional
brachytherapy for the treatment of
squamous cell carcinoma of the
oropharynx. The study included a single
patient who had received a prior course
of external beam radiation therapy of 70
Gy in 2015. Due to positive margins
near the carotid after the resection, and
the increased risk of additional external
radiation, brachytherapy was
considered as a treatment option.
CivaSheet® was used for the implant.
The Pd-103 sources were spaced 8 mm
apart on a rectangular grid.
Unidirectional dose was achieved by a
0.05 mm thick gold disk-shaped foil on
the reverse side of each source. A dose
of 120 Gy at 5 mm depth was
prescribed. After the resection, the
entire polymer sheet was placed on the
treatment area to determine the needed
dimensions. The CivaSheet® device was
then removed and cut to size with
scissors leaving 26 Pd-103 sources
remaining. The surgeon used 3.0 vicryl
sutures for attachment in a concave
shape over the carotid artery, where
there was a positive margin. The gold
67 Rivard, M.J., ‘‘Low-energy brachytherapy
sources for pelvic sidewall treatment,’’ Presented at
ABS 2016 Annual Meeting.
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foil was positioned to protect the neck
flap and closure. The surgical team
completed the procedure and the
patient recovered without any
complications.
Results of the study showed that the
sources remained in position in a
concave array pattern. Due to the dose
fall-off of Pd-103, the calculated dose to
critical structures was minimized.
Because the surgical implant of the
CivaDot sheet proceeded as expected
with no complications and the postimplant plan indicated that the
CivaSheet® remained in position with
the radioactive side contacting the
treatment area, the applicant asserts that
future hospital visits will be decreased
because the patient will not return for
EBRT.
With regard to decreases in the rate of
subsequent therapeutic interventions,
the applicant stated that the standard-ofcare for most patients undergoing
surgery is typically preceded or
followed by a form of external beam
radiation therapy. A typical course of
intensity modulated radiation therapy
(IMRT) is 25 to 30 fractions (separate
treatments) delivered over the course of
3 to 6 weeks. The applicant stated that,
for some patients, CivaSheet® will be
the only form of radiation therapy they
will receive. CivaSheet® is implanted in
one procedure and radiation is locally
delivered over the course of several
weeks, while the sources provide a
continuous dose and later decay. The
device is not removed and no additional
follow-up visits are required for the
patient to receive therapeutic
intervention. According to the
applicant, use of CivaSheet® can avoid
the time and expense of dozens of
radiation therapy visits over the course
of several weeks as compared to EBRT.
The applicant further stated that the
published clinical data provided with
its application 68 shows that the use of
CivaSheet® is an effective and safe
combinational treatment to external
beam radiation therapy. According to
the applicant, radiation oncologists can
use CivaSheet® to increase the dose of
radiation that can be delivered to a
tumor margin, without increasing
toxicity and that this may reduce the
odds that a patient experiences cancer
recurrence.69 70 71 The applicant also
68 Taunk, N.K., Cohen, G., Taggar, A.S., et al.,
‘‘Preliminary Clinical Experience from a Phase I
Feasibility Study of a Novel Permanent
Unidirectional Intraoperative Brachytherapy
Device,’’ ABS 2017 Annual Meeting.
69 Rivard, Mark J., ‘‘Low energy brachytherapy
sources for pelvic sidewall treatment,’’ abstract
presented at the ABS 2016 Annual Meeting.
70 Yoo, S.S., Todor, D.A., Myers, J.M., Kaplan,
B.J., Fields, E.C., ‘‘Widening the therapeutic
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asserted that the targeted radiation
approach has demonstrated no toxic
effects for patients. The applicant
further stated that other forms of
radiation have a known rate of
complications and toxicity that result in
the need for additional therapies and
interventions (for example, topical
creams for skin reddening, and
medicine for pain). The applicant
indicated that there has been no change
in concomitant medications prescribed
because of the use of the CivaSheet®
implant either on or off trial. The
applicant did not link these claims to
any of the studies provided with its
application. In addition, the applicant
asserts that, of the case studies they
provided, there have been no instances
of therapeutic interventions to resolve
an issue that was induced by the use of
the CivaSheet® device to deliver
radiation.72 73 74
With regard to improvement in back
pain and appetite (compared to
baseline) in pancreatic cancer patients,
the applicant asserted that patients
answered standardized, international
questionnaire EORTC QLQ–C30 and
PANC26 and that these results are on
file at CivaTech. The applicant provided
the baseline, 70 days post-operative and
98 days postoperative patient responses
to ‘‘Have you ever had back pain?’’
Baseline response: 1.5; 70 days postoperative response: 1.0 and 98 days
post-operative response: 1.0. The
applicant also provided baseline, 70
days post-operative and 98 days postoperative patient responses to ‘‘Were
you restricted in the amounts of food
you could eat as a result of your disease
or treatment?’’ Baseline response: 2.5;
70 days postoperative response: 1.0 and
98 days postoperative response: 1.0.
(Response Values: 1.0 = ‘‘Not at all’’; 2.0
= ‘‘A little’’; 3.0 = ‘‘Quite a bit’’; 4.0 =
‘‘Very much’’).
With regard to improved local control
for pancreatic cancer patients, the
applicant provided the results of a
dosimetric study entitled, ‘‘Widening
the Therapeutic Window Using an
window using an implantable, uni-directional LDR
brachytherapy sheet as a boost in pancreatic
cancer,’’ ASTRO 2018 Annual Meeting San
Antonio, TX.
71 Howell, K.J., Meyer, J.E., Rivard, M.J., et al.,
‘‘Initial Clinical Experience with Directional LDR
Brachytherapy for Retroperitoneal Sarcoma,’’
submitted Int J of Rad Onc Biol Phys, 2018.
72 Ibid.
73 Rivard, Mark J., ‘‘Low energy brachytherapy
sources for pelvic sidewall treatment,’’ abstract
presented at the ABS 2016 Annual Meeting.
74 Yoo, S.S., Todor, D.A., Myers, J.M., Kaplan,
B.J., Fields, E.C., ‘‘Widening the therapeutic
window using an implantable, uni-directional LDR
brachytherapy sheet as a boost in pancreatic
cancer,’’ ASTRO 2018 Annual Meeting San
Antonio, TX.
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Implantable, Uni-directional LDR
Brachytherapy Sheet as a Boost in
Pancreatic Cancer Case Series,’’ a poster
presented at the ASTRO 2018 Annual
Meeting. According to background
information in the applicant’s poster,
pancreatic patients often undergo
neoadjuvant chemotherapy and
chemoradiation in preparation for
surgical resection of the tumor. In
addition, oftentimes after neoadjuvant
therapy there are inflammatory changes
that, unfortunately, hinder pre-operative
imaging and create the potential for
unreliable determination of tumor
resection. Accompanying the potentially
unreliable determination of tumor
resectability are patient concerns when
positive retroperitoneal margins have
close proximity to major vasculature.
The applicant noted that additional
EBRT boost, initiated post operatively,
is an option, but difficult given bowel
constraints and the difficulty in
identifying the area at highest risk.
Given these constraints associated with
treating pancreatic cancers, the purpose
of this study was to demonstrate the
ability of the LDR brachytherapy
CivaSheet® device to deliver a focal
high-dose boost, targeted to the area at
highest risk in patients who received
neoadjuvant chemoradiation. This
dosimetric case series consisted of four
patients who had been diagnosed with
borderline resectable pancreatic cancer
who received neoadjuvant FOLFIRINOX
followed by gemcitabine-based
chemoradiotherapy (chemoRT) to 50.4
Gy in 28 fractions with dose prescribed
to the gross tumor plus a 1 cm margin.
According to the poster provided by the
applicant, after neoadjuvant therapy, the
multidisciplinary team was concerned
for close or positive margin resection.
Using the CivaSheet® device, a 38 Gy
EQD2 dose to 5 mm depth was
implanted in these patients and a total
dose of 88.4 Gy was delivered to the
targeted tissue. Post-operatively,
patients had a CT scan to identify the
tumor bed contour, as well as the
contour of surrounding at-risk organs;
the small bowel (SB) was contoured as
the bowel bag and included the entire
peritoneal cavity. Following the CT
scan, brachytherapy plans, as well as
EBRT boost plans, were created for each
patient. A dose-volume histogram
(DVH) from initial 3D treatment plans
for all patients showed the SB volume
receiving 45 Gy (V45) was a median of
78.2 cc (range 61.7–107.1 ccs) and
maximum bowel doses were a median
of 53.2 Gy, range 53.1–53.6 Gy.
According to the applicant, the V45 for
SB should be less than 195 cc, with a
maximum of less than or equal to 58 Gy
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to prevent SB obstruction, fistula and
perforation. According to the applicant,
with the CivaSheet® device, the boost
dose was dramatically increased while
SB exposure was marginal at about 1/
10th of the prescription dose. For the
target, the CivaSheet® delivered the
prescription dose to 5 mm depth with
a large inhomogeneous dose throughout
the tumor bed with the minimum dose
of 38 Gy. Dosimetric comparison of a
CivaSheet® tumor bed boost and a
Stereotactic Body Radiation Therapy
(SBRT) tumor bed boost to the SB was
9.6 Gy compared to 24 Gy for external
beam plan. According to the applicant,
the conclusions from this case series are
that applying a brachytherapy unidirectional source to the area at highest
risk can serve to improve the
therapeutic index by improving the
local control and minimizing toxicities
in pancreatic cancer patients after
neoadjuvant therapy.
With regard to whether CivaSheet®
represents a substantial clinical
improvement relative to other
brachytherapy technologies currently
available, we are concerned that all of
the supporting data appear to be
feasibility studies substantiating the use
of the CivaSheet® in different cancers
and difficult anatomic locations. We
also are concerned that there do not
appear to be any comparisons to other
current treatments, nor any long-term
follow-up with comparisons to currently
available therapies. We are inviting
public comments on whether
CivaSheet® meets the substantial
clinical improvement criterion.
We did not receive any written
comments in response to the New
Technology Town Hall meeting notice
published in the Federal Register
regarding the substantial clinical
improvement criterion for the
CivaSheet® or at the New Technology
Town Hall meeting.
d. CONTEPOTM (Fosfomycin for
Injection)
Nabriva Therapeutics U.S., Inc.
submitted an application for new
technology add-on payments for
CONTEPOTM for FY 2020. CONTEPOTM
is intended to treat complicated urinary
tract infections (cUTIs) caused by multidrug resistant (MDR) pathogens in
hospitalized patients. CONTEPOTM has
not yet received FDA approval. The
FDA has accepted the applicant’s New
Drug Application (NDA) using its
Priority Review expedited program.
Complicated urinary tract infections
are characterized by chills, rigors, or
fever (temperature of greater than or
equal to 38.0 °C); elevated white blood
cell count (greater than 10,000/mm3), or
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left shift (greater than 15 percent
immature PMNs); nausea or vomiting;
dysuria, increased urinary frequency, or
urinary urgency; and lower abdominal
pain or pelvic pain. A related condition,
acute pyelonephritis (AP), is
characterized by chills, rigors, or fever
(temperature of greater than or equal to
38.0 °C); elevated white blood cell count
(greater than 10,000/mm3), or left shift
(greater than 15 percent immature
PMNs); nausea or vomiting; dysuria,
increased urinary frequency, or urinary
urgency; flank pain; and costo-vertebral
angle tenderness on physical
examination. Risk factors for infection
with drug-resistant organisms do not, on
their own, indicate a cUTI.75 The
applicant stated that CONTEPOTM
would offer a new potential first-line
treatment for patients with cUTIs
suspected to be caused by MDR
pathogens in the United States.
The applicant stated that
CONTEPOTM is an epoxide intravenous
antibiotic that eradicates bacteria by
inhibiting the bacteria’s ability to form
cell walls, which are critical for a cell’s
survival and growth. The applicant
asserted that CONTEPOTM offers a broad
spectrum of bactericidal Gram-negative
and Gram-positive activity, including
activity against Extended-spectrum blactamase (ESBL)-producing
Enterobacteriaceae, as well as other
contemporary MDR organisms.
The applicant noted that there are
currently no ICD–10–PCS procedure
codes that could be used to uniquely
identify the use of CONTEPOTM.
However, the applicant stated that
potential cases representing patients
who may be eligible to receive treatment
through the administration of
CONTEPOTM could be identified with
ICD–10–PCS codes 3E03329
(Introduction of Other Anti-infective
into Peripheral Vein, Percutaneous
Approach) or 3E04329 (Introduction of
Other Anti-infective into Central Vein,
Percutaneous Approach). The applicant
has submitted a request for approval for
a new ICD–10–PCS procedure code to
uniquely identify CONTEPOTM
administration in FY 2020.
The applicant has recommended that
CONTEPOTM be administered as
follows: 6 g every 8 hours by
intravenous (IV) infusion over 1 hour for
up to 14 days for patients 18 years of age
or older, with an estimated creatinine
clearance (CrCl) greater than or equal to
50 mL/min. Dosage adjustment is
75 Hooton, T. and Kalpana, G., 2018, ‘‘Acute
complicated urinary tract infection (including
pyelonephritis) in adults,’’ In A. Bloom (Ed.),
UpToDate. Available at: https://www.uptodate.com/
contents/acute-complicated-urinary-tractinfectionincluding-pyelonephritis-in-adults.
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required for patients whose creatinine
clearance is 50 mL/min or less.
As discussed earlier, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and would not be
considered ‘‘new’’ for purposes of new
technology add-on payments.
With regard to the first criterion,
whether the product uses a similar
mechanism of action, the applicant
stated that CONTEPOTM’s mechanism of
action differentiates it from other
approved injectable antibiotics. The
applicant reports that CONTEPOTM, as
an injectable epoxide and sole antibiotic
class member, inhibits an early step in
peptidoglycan biosynthesis by
covalently binding to MurA, an enzyme
that catalyzes the first committed
critical step in a bacteria’s ability to
form a cell wall and, therefore, the cell’s
survival and growth. The applicant
indicated that CONTEPOTM’s
mechanism of action is unique in
comparison to all other injectable
antibiotics by working at a different and
earlier stage of cell wall synthesis
inhibition, such that the cell wall lacks
suitable integrity and the bacteria die
quickly. The applicant further stated
that because of this unique mechanism
of action, CONTEPOTM lacks cross
resistance with other existing classes of
intravenous antibiotics.
With respect to the second criterion,
whether the product is assigned to the
same or a different MS–DRG, the
applicant asserted that patients who
may be eligible to receive treatment
involving CONTEPOTM include
hospitalized patients who have been
diagnosed with a cUTI. The applicant
noted that the relevant existing ICD–10–
PCS procedure codes (3E3329 and
3E04329) map to many existing MS–
DRGs. The applicant lists the most
common of these MS–DRGs as MS–DRG
871 (Septicemia or Severe Sepsis
without MV >96 Hours with MCC); MS–
DRG 690 (Kidney and Urinary Tract
Infections without MCC); MS–DRG 698
(Other Kidney and Urinary Tract
Diagnoses with MCC); MS–DRG 872
(Septicemia or Severe Sepsis without
MV >96 hours without MCC); MS–DRG
689 (Kidney and Urinary Tract
Infections with MCC); MS–DRG 699
(Other Kidney and Urinary Tract
Diagnoses with CC); MS–DRG (683
Renal Failure with CC); MS–DRG 682
(Renal Failure with MCC); MS–DRG 853
(Infectious and Parasitic Diseases with
O.R. Procedure with MCC); and MS–
DRG 291 (Heart Failure and Shock with
MCC). Cases involving the use of
CONTEPOTM would likely be assigned
to the same MS–DRGs to which cases
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involving treatment with comparator
drugs are assigned.
With respect to the third criterion,
whether the use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population, the applicant
asserted that the use of CONTEPOTM
would treat a different patient
population than existing and currently
available treatment options. While many
drugs treat the broad population of
patients who have been diagnosed with
cUTIs, the applicant asserts that
increasing rates of Enterobacteriaceae
resistance to fluoroquinolones and
ESBLs have limited both classes use as
first-line therapies among inpatients
with infections caused by suspected or
confirmed MDR pathogens. The
applicant cited a study, which estimates
the prevalence of drug resistance among
uropathogens isolated from hospitalized
patients in the United States. According
to the study, there is a more than a twofold increase in ESBL-producing E. coli
(from 3.3 percent to 8 percent), ESBLproducing K. pneumoniae (from 9.1
percent to 18.6 percent), and CRE (from
0 percent to 2.3 percent) causing UTIs
in the period between 2000 and 2009.76
The applicant further asserts that the
use of CONTEPOTM will also treat a
different diseased patient population
than the currently available therapies.
According to the applicant,
CONTEPOTM’s unique mechanism of
action amongst injectable antibiotics
and novel class allows the use of
CONTEPOTM to reach different and
expanded patient populations,
particularly those patients who have
been diagnosed with a cUTI that may
have pathogens resistant or suspected
resistance to ESBL and CRE, or
fluoroquinolone resistance. Further, the
applicant stated that CONTEPOTM’s
stewardship value to clinicians is as a
carbapenem-sparing potential therapy
that may result in real world reductions
in CRE resistance, further sparing a lastline of defense for critically ill patient
populations, which due to unique
resistance profiles, the applicant asserts
constitute a different population than is
currently treated.
Based on the applicant’s statements as
summarized above, the applicant
believes that CONTEPOTM is not
substantially similar to any existing
intravenous antibiotic treatment.
However, we are concerned with respect
to the first criterion as to whether the
mechanism of action described by the
76 Shorr, A.F., Zilberberg, M.D., Micek, S.T.,
Kollef, M.H., ‘‘Prediction of Infection Due to
Antibiotic-Resistant Bacteria by Select Risk Factors
for Health Care-Associated Pneumonia,’’ Arch
Intern Med, 2008, vol. 168(20), pp. 2205–10.
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applicant is unique to CONTEPOTM or
whether it may be similar to other drugs
that inhibit cell wall development,
including penicillins, cephalosporins,
and carbapenems. With respect to the
second criterion, we believe that
potential cases involving the use of
CONTEPOTM would be assigned to the
same MS–DRGs as cases involving
comparator antibiotics. Finally, with
respect to the third criterion, we are
concerned whether CONTEPOTM treats
a unique patient population, as the
applicant asserts. While the variety of
antibiotic resistance patterns certainly
warrants a varied armamentarium for
clinicians, there are many existing
antimicrobials that are approved to
generally treat cUTIs and MDR
pathogens. We are concerned as to
whether hospitalized patients who have
been diagnosed with cUTIs, including
those with MDR pathogens, would
constitute a unique patient population,
given that there are existing treatment
options for these patients. This concern
as to whether the technology may be
considered to treat a new patient
population seems particularly relevant
for an antibiotic due to the evolving
nature of global bacterial resistance
patterns, and, specifically, the
applicant’s assertion that the use of
CONTEPOTM would be a new tool in the
growing battle against MDR bacteria
infections. We are inviting public
comments on whether CONTEPOTM is
substantially similar to any existing
technologies and whether it meets the
newness criterion, including with
respect to the concerns we have raised.
With regard to the cost criterion, the
applicant used the FY 2017 MedPAR
Limited Data Set (LDS) to assess the
MS–DRGs to which potential cases
representing hospitalized patients who
may be eligible for treatment involving
CONTEPOTM would most likely be
mapped. According to the applicant,
CONTEPOTM is anticipated to be
indicated for the treatment of
hospitalized patients who have been
diagnosed with cUTIs. The applicant
identified 199 ICD–10–CM diagnosis
code combinations that identify
hospitalized patients who have been
diagnosed with a cUTI. Searching the
FY 2017 MedPAR data file for these
ICD–10–CM diagnosis codes resulted in
a total of 508,821 potential cases that
span 559 unique MS–DRGs, 510 of
which contained more than 10 cases.
The applicant excluded MS–DRGs with
minimal volume (that is, 10 cases or
less) from the cohort of the analysis (a
total of 201 cases and 49 MS–DRGs),
and this resulted in a total of 508,620
cases across 461 MS–DRGs.
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Using 100 percent of the potential
cases (508,620), the applicant
determined an average case-weighted
unstandardized charge per case of
$59,009. The applicant standardized the
charges for each case and inflated each
case’s charges by applying the FY 2019
IPPS/LTCH PPS final rule outlier charge
inflation factor of 1.08864 (83 FR
41722). (We note that the 2-year
inflation factor was revised in the FY
2019 IPPS/LTCH PPS final rule
correction notice to 1.08986 (83 FR
49844). However, we further note that
even when using the corrected final rule
values to inflate the charges, the average
case-weighted standardized charge per
case for each scenario exceeded the
average case-weighted threshold
amount.) The applicant examined
associated charges per MS–DRG and
removed charges for potential
antibiotics that may be replaced by the
use of CONTEPOTM. Specifically, the
applicant identified 5 antibiotics
currently used for the treatment of
patients who have been diagnosed with
a cUTI and calculated the cost of each
of these drugs for administration over a
14-day inpatient hospitalization.
Because patients who have been
diagnosed with a cUTI would typically
only be treated with one of these
antibiotics at a time, the applicant
estimated an average of the 14-day cost
for the 5 antibiotics. The applicant then
took this cost and converted it to a
charge by dividing the costs by the
national average CCR of 0.191 for drugs
from the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41273). The applicant
calculated an average case-weighted
standardized charge per case of $71,333
using the percent distribution of MS–
DRGs as case-weights. Based on this
analysis, the applicant determined that
the final inflated average case-weighted
standardized charge per case for
CONTEPOTM exceeded the average caseweighted threshold amount of $52,203
by $19,130.
Because of the large number of cases
included in this cost analysis, the
applicant conducted sensitivity
analyses. In these analyses, the
applicant repeated the cost analysis
above using only the top 75 percent of
cases, the top 20 MS–DRGs, and the top
10 MS–DRGs. In these three additional
sensitivity analyses, the final inflated
average case-weighted standardized
charge per case for CONTEPOTM
exceeded the average case-weighted
threshold amount by $14,949, $14,230,
and $13,620, respectively. We are
inviting public comments on whether
CONTEPOTM meets the cost criterion.
With regard to the substantial clinical
improvement criterion, the applicant
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asserted that the results from the
CONTEPOTM clinical trial clearly
establish that CONTEPOTM represents a
substantial clinical improvement in the
treatment of antibiotic resistant
infections as compared to currently
available treatments. Specifically, the
applicant asserted that the use of
CONTEPOTM offers a treatment option
for a patient population unresponsive
to, or ineligible for, currently available
treatments, and the use of CONTEPOTM
significantly improves clinical outcomes
for this patient population compared to
currently available treatments. The
applicants cited the ZEUS Study, a
multi-center, randomized, parallelgroup, double-blind Phase II/III trial of
464 patients designed to evaluate safety,
tolerability, efficacy and
pharmacokinetics of the use of
CONTEPOTM in the treatment of
hospitalized adults who have been
diagnosed with a cUTI or AP at 92
global sites in 16 countries. Hospitalized
adults who have been diagnosed with
suspected or microbiologically
confirmed cUTI/AP were randomized
1:1 to receive treatment with either
CONTEPOTM or piperacillin-tazobactam
(PIP–TAZ) for a fixed 7-day course (no
oral switch); patients who had been
diagnosed with concomitant bacteremia
could receive up to 14 days. Diagnosis
was based on pyuria and cUTI or AP
with at least two of the following signs
and symptoms: Chills, rigors, or warmth
associated with fever, nausea or
vomiting, dysuria, lower abdominal
pain or pelvic pain, or acute flank pain.
Patients who had been diagnosed with
a cUTI had at least one of the following:
Use of intermittent or indwelling
bladder catheterization, functional or
anatomical abnormality of urogenital
tract, complete or partial obstructive
uropathy, azotemia or chronic urinary
retention in men. Baseline urine culture
specimen was obtained within 48 hours
prior to randomization. Indwelling
bladder catheters were required to be
removed or replaced, unless considered
unsafe or contraindicated, before or
within 24 hours after randomization.
The applicant stated that the primary
endpoint of the ZEUS Study was to
demonstrate that CONTEPOTM was noninferior to PIP–TAZ in overall success
based on clinical cure (complete
resolution or significant improvement of
signs and symptoms such that no
further antimicrobial therapy is
warranted) and microbiologic
eradication (baseline pathogen was
reduced to <104 CFU/mL on urine
culture and if applicable, negative on
repeat blood culture) in the
microbiologic modified intent-to-treat
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(m-MITT) population at the test-of-cure
visit (TOC), which occurred on the 19th
to 21st day after completion of a fixed
7 days of treatment with the study drug,
or up to 14 days of treatment for
patients diagnosed with concurrent
bacteremia to comply with current
treatment guidelines in these patients.
Patients with any missing or
presumed eradications post-baseline
urine sample were classified as
indeterminates, and conservatively
deemed as failures in overall success
analysis.77 78 The applicant also reported
that the study had two secondary
endpoints. Secondary objectives were to
compare: (1) Clinical cure rates in the
two treatment groups in the MITT, mMITT, Clinical Evaluable (CE), and
Microbiologic Evaluable (ME)
populations at TOC, and (2)
microbiological eradication rates in mMITT and ME populations at TOC.
The applicant also included evidence
from a post-hoc study wherein all
pathogens isolated from patients who
had a baseline and TOC pathogen
underwent blinded, post-hoc, pulsedfield gel electrophoresis (PFGE)
molecular typing analysis.
Microbiologic outcome was also defined
utilizing the PFGE results, whereby
microbiologic persistence required the
same genus and species of baseline and
post-baseline pathogens, as well as
PFGE-confirmed genetic identity.
The applicant stated that the ZEUS
Study met its primary objective of
showing non-inferiority of CONTEPOTM
compared to PIP–TAZ with overall
success rates (that is, clinical cure and
microbiological eradication of baseline
pathogen) of 64.7 percent (119/184
CONTEPOTM patients) versus 54.5
percent (97/178 PIP–TAZ patients) in
the m-MITT population at TOC
(treatment difference 10.2 percent, 95
percent CI: ¥0.4, 20.8). We note that,
based on the 95 percent confidence
interval reported at the primary
endpoint, CONTEPOTM’s success rates
were not found to be different from PIP–
TAZ in a statistically significant
manner. The applicant reports that the
identity and frequency of pathogens
recovered at baseline from patients in
the ZEUS Study were similar in both the
77 Eckburg, et al., ‘‘Phenotypic Antibiotic
Resistance in ZEUS: Multi-center, Randomized,
Double-Blind Phase II/III Study of ZTI–01 versus
Piperacillin-Tazobactam (P–T) in the Treatment of
Patients with Complicated Urinary Tract Infections
(cUTI) including Acute Pyelonephritis (AP) Poster,’’
2017.
78 Kaye, et al., ‘‘Intravenous Fosfomycin (ZTI–01)
for the Treatment of Complicated Urinary Tract
Infections (cUTI) including Acute Pyelonephritis
(AP): Results from a Multi-center, Randomized,
Double-Blind Phase II/III Study in Hospitalized
Adults (ZEUS),’’ 2017.
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CONTEPOTM and PIP–TAZ treatment
groups. The most common pathogens
identified were Enterobacteriaceae,
identified in 96.2 percent of the
CONTEPOTM patients and 94.9 percent
of the PIP–TAZ patients, including E.
coli, identified in 72.3 percent of the
CONTEPOTM patients and 74.7 percent
of the PIP–TAZ patients; K.
pneumoniae, identified in 14.7 percent
of the CONTEPOTM patients and 14.0
percent of the PIP–TAZ patients;
Enterobacter cloacae species complex,
identified in 4.9 percent of the
CONTEPOTM patients and 1.7 percent of
the PIP–TAZ patients; and Proteus
mirabilis, identified in 4.9 percent of the
CONTEPOTM patients and 2.8 percent of
the PIP–TAZ patients. Gram-negative
aerobes other than Enterobacteriaceae
included Pseudomonas aeruginosa,
which was identified in 4.3 percent of
the CONTEPOTM patients and 5.1
percent of the PIP–TAZ patients, and
Acinetobacter baumannii-calcoaceticus
species complex, identified in 1.1
percent of the CONTEPOTM patients and
none of the PIP–TAZ patients. The
applicant indicated that these pathogens
are representative of the pathogens that
have been recovered in other studies of
patients who have been diagnosed with
a cUTI or AP.
In terms of secondary endpoints, the
applicant stated that clinical cure rates
were greater than 90 percent in both
treatment groups at TOC in the MITT,
m-MITT, CE, and ME analysis groups. In
addition to the findings discussed
above, with the post-hoc analysis
adjusting for PFGE results in both
treatment arms, CONTEPOTM
demonstrated a 10.5 percent treatment
difference compared to PIP–TAZ with a
microbiological response rate of 70.7
percent versus 60.1 percent,
respectively, in the m-MITT population
at TOC (95 percent CI: 0.2, 20.8). The
applicant indicated that by specifying
the genus and species of the bacteria
present at the start of treatment, the
post-hoc PFGE analysis shows that
when measuring microbiological
eradication rates CONTEPOTM
demonstrated a positive difference
significant at the 95 percent confidence
level.79
With respect to safety, the applicant
reports that in the ZEUS Study a total
of 42.1 percent of the CONTEPOTM
patients and 32.0 percent of the PIP–
TAZ patients experienced at least one
79 Skarinsky, et al., ‘‘Per Pathogen Outcomes from
the ZEUS study, a Multi-center, Randomized,
Double-Blind Phase II/III Study of ZTI–01
(fosfomycin for injection) versus PiperacillinTazobactam (P–T) in the Treatment of Patients with
Complicated Urinary Tract Infections (cUTI)
including Acute Pyelonephritis (AP),’’ 2017.
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treatment-emergent adverse event, or
TEAE. Most TEAEs were mild or
moderate in severity, and severe TEAEs
were uncommon (2.1 percent of the
CONTEPOTM patients and 1.7 percent of
the PIP–TAZ patients). The most
common TEAEs in both treatment
groups were transient, asymptomatic
laboratory abnormalities and
gastrointestinal events. Treatmentemergent serious adverse events, or
SAEs, were uncommon in both
treatment groups. There were no deaths
in the study and one SAE in each
treatment group was deemed related to
the study drug (hypokalemia in a
CONTEPOTM patient and renal
impairment in a PIP–TAZ patient),
leading to study drug discontinuation in
the PIP–TAZ patient. Study drug
discontinuations due to TEAEs were
infrequent and similar between
treatment groups (3.0 percent of
CONTEPOTM patients and 2.6 percent of
PIP–TAZ patients). The applicant
further stated that the most common
laboratory abnormality TEAEs were
increases in the levels of alanine
aminotransferase (8.6 percent of
CONTEPOTM patients and 2.6 percent of
PIP–TAZ patients) and aspartate
transaminase (7.3 percent of
CONTEPOTM patients and 2.6 percent of
PIP–TAZ patients). None of the
aminotransferase elevations were
symptomatic or treatment-limiting, and
none of the patients met the criteria for
Hy’s Law (a method of assessing a
patient’s risk of fatal drug-induced liver
injury). Outside of the United States,
elevated liver aminotransferases are
listed among undesirable effects in
labeling for the use of IV fosfomycin.
Finally, the applicant stated that
hypokalemia occurred in 71 of the 232
(30.6 percent) CONTEPOTM patients and
29 of the 230 (12.6 percent) PIP–TAZ
patients. Most decreases in potassium
levels were mild to moderate in
severity. Shifts in potassium levels from
normal at baseline to hypokalemia, as
determined by worst post-baseline
hypokalemia values, were more frequent
in the patients in the CONTEPOTM
group than the patients in the PIP–TAZ
group for mild (17.7 percent compared
to 11.3 percent), moderate (11.2 percent
compared to 0.9 percent), and severe
(1.7 percent compared to 0.4 percent)
categories of hypokalemia. Hypokalemia
was deemed a TEAE in 6.4 percent of
the patients receiving CONTEPOTM and
1.3 percent of the patients receiving
PIP–TAZ, and all cases were transient
and asymptomatic. The applicant noted
that post-baseline QT intervals
calculated using Fridericia’s formula, or
QTcF, of greater than 450 to less than
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or equal to 480 msec (baseline QTcF of
less than or equal to 450 msec) occurred
at a higher frequency in CONTEPOTM
patients (7.3 percent) compared to PIP–
TAZ patients (2.5 percent). In the
CONTEPOTM arm, these results appear
to be associated with the hypokalemia
associated with the salt load of the IV
formulation. Only 1 patient in the PIP–
TAZ group had a baseline QTcF of less
than or equal to 500 msec and a postbaseline QTcF of greater than 500 msec.
In addition to the assertions of
clinical improvement based on its
pivotal study, the applicant stated that
CONTEPOTM provides a broad spectrum
of in vitro activity against a variety of
clinically important MDR Gramnegative pathogens, including ESBLproducing Enterobacteriaceae, CRE, and
Gram-positive pathogens, including
methicillin-resistant Staphylococcus
aureus, or MRSA, and vancomycinresistant enterococci.80 81 82 83 The
applicant also believes that
CONTEPOTM, due to its unique
mechanism of action, has demonstrated
synergistic or additive activity in in
vitro studies when used in combination
with other antibiotic classes in
preclinical studies.84 85 86 The applicant
further stated that the use of
CONTEPOTM has the potential to spare
the use of carbapenems and other lastline therapies and, thereby, has the
potential to reduce the development of
resistance to existing antibiotic
classes.87 Additionally, the applicant
80 Flamm, R., et al., ‘‘Activity of fosfomycin when
tested against US contemporary bacterial isolates,’’
Diagnostic Microbiology and Infectious Disease,
2018.
81 Mendes, R.E., et al., ‘‘Molecular
Characterization of Clinical Trial Isolates Exhibiting
Increased MIC Results during Fosfomycin (ZTI–01)
Treatment in a Phase II/III Clinical Trial for
Complicated Urinary Tract Infections (ZEUS),’’
2018.
82 Rhomberg, P., et al., ‘‘Evaluation of Fosfomycin
Activity When Combined with Selected
Antimicrobial Agents and Tested against Bacterial
Isolates Using Checkerboard Methods,’’ 2017.
83 Falagas, M., et al., ‘‘Antimicrobial
susceptibility of multidrug-resistant (MDR) and
extensively drug-resistant (XDR) Enterobacteriaceae
isolates to fosfomycin,’’ International Journal of
Antimicrobial Agents, 2010.
84 Flamm, R., et al., ‘‘Time Kill Analyses of
Concerning Gram-Negative Bacteria with
Fosfomycin Alone and in Combination with Select
Antimicrobial Agents,’’ 2017.
85 Avery & Nicolau, ‘‘In Vitro Synergy of
Fosfomycin and Parenteral Antimicrobials Against
Carbapenem-Nonsusceptible Pseudomonas
aeruginosa,’’ 2018.
86 Albiero, J., et al., ‘‘Pharmacodynamic
Evaluation of the Potential Clinical Utility of
Fosfomycin and Meropenem in Combination
Therapy against KPC–2-Producing Klebsiella
pneumonia,’’ Antimicrobial Agents and
Chemotherapy, 2016.
87 Hayden, M.K. & Won, S.Y., ‘‘CarbapenemSparing Therapy for Extended-Spectrum bLactamase–Producing E coli and Klebsiella
pneumoniae Bloodstream Infection,’’ JAMA, 2018.
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believes that the use of CONTEPOTM
has the potential to reduce patients’
hospital lengths of stay and patient
morbidity due to the ability to provide
early appropriate therapy in patients
who have been diagnosed with
suspected or confirmed MDR
pathogens.88 89 The applicant also stated
that the submitted literature provides
cases wherein the use of CONTEPOTM
could provide an important treatment
option for patients who have been
diagnosed with infections caused by
pathogens resistant to all other available
IV antibiotics.90 91 Finally, the applicant
asserted that the use of CONTEPOTM
has immunomodulating activities that
potentially may improve outcomes for
serious infections,92 and may protect
against gentamicin induced
nephrotoxicity.93
We have several concerns regarding
whether CONTEPOTM meets the
substantial clinical improvement
criterion. First, we are concerned that
we are unable to identify if any of the
patients enrolled in the ZEUS Study
were from the United States. As we have
noted in previous rulemaking (83 FR
41309), given the geographic variability
of antibiotic resistance, we are unsure to
what extent results from studies
utilizing an international cohort of
patients generate inferences that are
applicable to the U.S. context and, in
particular, to the Medicare-eligible
population.
Second, we are unsure if PIP–TAZ is
the only proper comparator for
CONTEPOTM, or if other treatments
should have been considered as well.
There are a number of additional
antimicrobials with similar indications
that are available for patients who have
been diagnosed with cUTIs. Such
treatments might include meropenemvaborbactam or plazomicin. Prior
88 Mocarski, et al., ‘‘Economic Burden Associated
with Key Gram-negative Pathogens among Patients
with Complicated Urinary Tract Infections across
US Hospitals,’’ 2014.
89 Lodise, et al., ‘‘Carbapenem-resistant
Enterobacteriaceae (CRE) or Delayed Appropriate
Therapy (DAT)—Does One Affect Outcomes More
Than the Other Among Patients With Serious
Infections Due to Enterobacteriaceae?,’’ 2017.
90 Chen, L., et al., ‘‘Pan-Resistant New Delhi
Metallo-Beta-Lactamase-Producing Klebsiella
pneumonia—Washoe County, Nevada, 2016,’’ 2017.
91 Rios, P., et al., ‘‘Extensively drug-resistant
(XDR) Pseudomonas aeruginosa identified in Lima,
Peru co-expressing a VIM–2 metallo-blactamase,
OXA–1 b-lactamase and GES–1 extended-spectrum
b-lactamase,’’ JMM Case Reports, 2018.
92 Zeitlinger, et al., ‘‘Immunomodulatory effects
of fosfomycin in an endotoxin model in human
blood.’’ Journal of Antimicrobial Chemotherapy,
2007.
93 Yanagida, et al., ‘‘Protective effect of
fosfomycin on gentamicin-induced lipid
peroxidation of rat renal tissue,’’ Chem Biol
Interact, 2004.
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studies include a meta-analysis of 10
studies (7 randomized) comparing the
clinical efficacy of IV fosfomycin against
other antibiotics including sulbenicillin,
sulbactam/cefoperazone, cefotaxime,
fosfomycin/colistin, and minocycline/
cefuzonam. This meta-analysis did not
observe a difference in clinical efficacy
between fosfomycin and respective
comparators (odds ratio (OR) 1.44, 95
percent CI (0.96, 2.15)) irrespective of
monotherapy (OR 1.41, 95 percent CI
(0.83, 2.39)) or combination therapy (OR
1.48, 95 percent CI (0.81, 2.71.)). The
same results were obtained when
studies with poor quality were excluded
(OR 1.45, 95 percent CI (0.94, 2.24)).94
Third, we have two methodological
concerns regarding the applicant’s
assertions based on the ZEUS Study.
There does not appear to be any
statistical comparison of the patients in
each arm in terms of demographics and,
therefore, it is difficult to assess whether
the two intervention arms are balanced
as the applicant inferred. We
acknowledge that use of a doubleblinded, randomized study design
(which was used in the ZEUS Study)
should minimize bias and control for
unmeasured variables between
treatment arms. However, we are
concerned about a lack of detail on the
different dropout rates of patients
within each arm of the ZEUS Study,
including data on causes and treatment
of patients that dropped out and any
bias that might introduce. We also are
concerned that the ZEUS Study did not
demonstrate a superior clinical outcome
with statistical significance in its
primary endpoint. Rather, the applicant
is asserting the technology represents a
substantial clinical improvement on the
basis of meeting a secondary endpoint,
the cure rates based on additional PFGE
analysis. In addition, we are concerned
that the use of m-MITT, rather than ITT,
may have biased the results upwards by
focusing on a subset of the treatment
group, rather than the entire random
sample.95
Finally, we are concerned that many
of the assertions the applicant has made
regarding the efficacy of CONTEPOTM
on MDR gram-negative pathogens and
broader public health benefits come
from in vitro studies or may be
speculative in nature. It may be helpful
94 Grabien, et al., ‘‘Intravenous fosfomycin—Back
to the Future; Systematic Review and Meta-analysis
of the Clinical Literature,’’ Clinical Microbiology
and Infection, 2017.
95 Beckett, R.D., Loeser, K.C., Bowman, K.R.,
Towne, T.G., ‘‘Intention-to-treat and transparency of
related practices in randomized, controlled trials of
anti-infectives,’’ BMC Med Res Methodol, 2016, vol.
16(1), pp. 106, Published August 24, 2016,
doi:10.1186/s12874–016–0215–2.
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to have further evidence, particularly
prospectively collected and tested
clinical data, to support the assertions
that the use of CONTEPOTM reduces
hospital lengths of stay and patient
morbidity, and enhances antibiotic
stewardship.
We are inviting public comments on
whether CONTEPOTM meets the
substantial clinical improvement
criterion.
Below we summarize and respond to
a written public comment received in
response to the New Technology Town
Hall meeting notice published in the
Federal Register regarding the
substantial clinical improvement
criterion for CONTEPOTM.
Comment: In response to a question
presented at the New Technology Town
Hall meeting, the applicant explained
why the post-hoc reanalysis of the
primary endpoint (overall success, a
composite of clinical cure and
microbiologic eradication) from the
ZEUS Study using pulse-field gel
electrophoresis, which the applicant
asserted demonstrated a statistically
significant difference between
CONTEPOTM and PIP–TAZ, is clinically
important. The applicant stated that the
post-hoc analysis was able to
differentiate the patients who had
eradication of the identified and treated
baseline pathogen from those patients
who developed or were likely to
develop another infection from a newly
acquired pathogen (different strain)
following the ∼2-week period between
the end of IV therapy and the test-ofcure evaluation. However, the applicant
indicated that there are many reasons
why patients may acquire another
pathogen and/or develop new infections
after completing IV therapy, including
indwelling urinary catheters or
instrumentation (for example,
nephrostomy tubes, ureteric stents, etc.)
or anatomical abnormalities. The
applicant stated that because of these
confounding factors, the PFGE
reanalysis allowed for the
differentiation of the true persistence of
the same pathogen that was present at
baseline from a different pathogen that
might look the same, but was clearly
genetically distinct.
Response: We appreciate the
applicant’s further explanation of the
PFGE analysis. We will take this
information into consideration when
deciding whether to approve new
technology add-on payments for
CONTEPOTM.
e. DuraGraft® Vascular Conduit Solution
Somahlution, Inc. submitted an
application for new technology add-on
payments for DuraGraft® for FY 2020.
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(We note that the applicant previously
submitted applications for new
technology add-on payments for
DuraGraft® for FY 2018 and FY 2019,
which were withdrawn.) According to
the applicant, DuraGraft® is designed to
protect the endothelium of the vein graft
by mitigating ischemic reperfusion
injury (IRI), the basis of vein graft
disease (VGD) and vein graft failure
(VGF), both of which are intimately
linked to graft and patient
outcomes.96 97 98 According to the
applicant, specific VGD and VGF
clinical outcomes affected by the use of
DuraGraft® include reductions in
myocardial infarction (MI), repeat
revascularization and major adverse
cardiovascular events (MACE). The
applicant stated that DuraGraft® is a
preservation solution, not a storage
solution, used during standard graft
handling, flushing, and bathing steps.
The applicant indicated that vein graft
endothelial damage is the principal
mediator of VGD following grafting in
bypass surgeries.99 100 According to the
applicant, the endothelium can be
destroyed or damaged intraoperatively
through the acute physical stress of
harvesting, storage, and handling, and
through more insidious processes such
as those associated with ischemic
injury, metabolic stress and oxidative
damage. The applicant also noted that
vein graft solutions can independently
damage the endothelium during the
harvesting and storage stages prior to
vein grafting. The applicant also
referred to more recent information to
depict that damage associated with the
use of graft storage solutions has the
highest correlation with the
development of 12-month VGF
96 Salvadori, M., Rosso, G., and Bertoni, E.,
‘‘Update on Ischemia-reperfusion Injury in Kidney
Transplantation: Pathogenesis and Treatment,’’
World Transplant, June 24, 2015, vol. 5(2), pp. 52–
67.
97 Osgood, M.J., Hocking, K.M., Voskresensky,
I.V., et al., ‘‘Surgical vein graft preparation
promotes cellular dysfunction, oxidative stress, and
intimal hyperplasia in human saphenous vein,’’ J
Vasc Surg, 2014, vol. 60, pp. 202–211.
98 Shuhaiber, J.H., Evans, A.N., Massad, M.G., and
Geha, A.S., ‘‘Mechanisms and Future Directions for
Prevention of Vein Graft Failure in Coronary Bypass
Surgery,’’ European Journal of Cardio-Thoracic
Surgery, vol. 22, Issue 3, September 1, 2002, pp.
387–396.
99 Harskamp, R.E., Alexander, J.H., Schulte, P.J.,
Brophy, C.M., Mack, M.J., Peterson, E.D., Williams,
J.B., Gibson, C.M., Califf, R.M., Kouchoukos, N.T.,
Harrington, R.A., Ferguson, Jr., T.B., Lopes, R.D.,
‘‘Vein Graft Preservation Solutions, Patency, and
Outcomes After Coronary Artery Bypass Graft
Surgery Follow-up From PREVENT IV Randomized
Clinical Trial,’’ JAMA Surg., 2014, vol. 149(8), pp.
798–805.
100 Testa, L., Bedogni, F., ‘‘Treatment of
Saphenous Vein Graft Disease: Never Ending Story
of the Eternal Return,’’ Res Cardiovasc Med., 2014,
vol. 3(3), e21092.
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19305
following coronary artery bypass
grafting (CABG).101 More specifically
regarding vein graft solutions, the
applicant asserted that there are two
processes associated with current vein
graft solutions that lead to IRI and
ultimately VGD: (1) Current vein graft
solutions cause ‘‘solution damage;’’ and
(2) current vein graft solutions do not
protect against IRI, the basis for
VGD.102 103 104 105 106 107 108 According
to the applicant, current vein graft
solutions are used to flush and store
vascular grafts during the ex vivo
ischemic interval of the surgical
procedure. However, these solutions do
not protect the graft from ischemia
reperfusion injury and have no
preservation ability. Further, the
applicant asserted that some of the
solutions are incompatible with graft
tissue resulting in ischemic damage that
is compounded by ‘‘solution
damage’’.109 110 111
The applicant explained that there are
two mechanisms leading to VGD: (1)
Endothelial damage associated with the
101 Ibid.
102 Shinjo, H., et al., ‘‘Effect of irrigation solutions
for arthroscopic surgery on intraarticular tissue:
comparison in human meniscus-derived primary
cell culture between lactate Ringer’s solution and
saline solution,’’ Journal of Orthopaedic Research,
2002, vol. 20, pp. 1305–1310.
103 Breborowicz, A. and Oreopoulos, D.G., ‘‘Is
normal saline harmful to the peritoneum?’’, Perit
Dial Int., 2005 Apr; 25 Suppl 4:S67–70.
104 Pusztaszeri, M.P., Seelentag, Walter, Bosman,
F.T., ‘‘Immunohistochemical Expression of
Endothelial Markers CD31, CD34, von Willebrand
Factor, and Fli-1 in Normal Human Tissues,’’
Journal of Histochemistry & Cytochemistry, 2006,
vol. 54(4), pp. 385–395.
105 Polubinska, A., et al., ‘‘Normal Saline induces
oxidative stress in peritoneal mesoyhelial cells,’’
Journel of Pediatric Surgery, 2008, vol. 43, pp.
1821–1826.
106 Sengupta, S., Prabhat, K., Gupta, V., Vij, H.,
Vij, R., Sharma, V., ‘‘Artefacts Produced by Normal
Saline When Used as a Holding Solution for Biopsy
Tissues in Transit,’’ J. Maxillofac. Oral Surg., (Apr–
June 2014), vol. 13(2), pp. 148–151.
107 Wilbring, M., Tugtekin, S.M., Zatschler, B.,
Ebner, A., Reichenspurner, H., Matschke, K.,
Deussen, A., ‘‘Even short-time storage in
physiological saline solution impairs endothelial
vascular function of saphenous vein grafts,’’ Eur J
Cardiothorac Surg., 2011 Oct, vol. 40(4), pp. 811–
815.
108 Weiss, D.R., et al., ‘‘Extensive
deendothelialization and thrombogenicity in
routinely prepared vein grafts for coronary bypass
operations: facts and remedy,’’ Int J Clin Exp Med,
2009, vol. 2, pp. 95–113.
109 Weiss, D.R., et al., ‘‘Extensive
deendothelialization and thrombogenicity in
routinely prepared vein grafts for coronary bypass
operations: facts and remedy,’’ Int J Clin Exp Med,
2009, vol. 2, pp. 95–113.
110 Ibid.
111 Thatte, H.S., Biswas, K.S., Najjar, S.F.,
Birjiniuk, V., Crittenden, M.D., Michel, T., and
Khuri, S.F., ‘‘Multi-Photon Microscopic valuation of
Saphenous Vein Endothelium and Its Preservation
With a New Solution, GALA,’’ Annals Thoracic
Surgery, 2003, vol. 75, pp. 1145–52.
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harvesting and storage processes; and
(2) VGD pathophysiological changes
that occur in damaged vein grafts
following reperfusion at the time of graft
anastomosis. According to the
applicant, these changes are apparent
within minutes to hours of grafting and
are manifested as endothelial
dysfunction, death and/or denudation
and include pro-inflammatory, prothrombogenic and aberrant proliferative
changes within the graft. The applicant
further characterized these changes as
initial endothelial reperfusion phase
responses, which set in motion a
damage-response domino-like effect
thereby perpetuating a cycle of
prolonged reperfusion phase injury with
subsequent VGD.
The applicant further noted that
endothelial dysfunction and
inflammation results not only in the
diminished ability of the graft to
respond appropriately to new blood
flow patterns, but also may thwart
positive adaptive vein graft remodeling.
According to the applicant, this is
because proper vein graft remodeling is
dependent upon a functional
endothelial response to shear stress that
involves the production of remodeling
factors by the endothelium including
nitro vasodilators, prostaglandins,
lipoxyoxygenases, hyperpolarizing
factors and other growth factors.112
Therefore, damaged, missing and/or
dysfunctional endothelial cells prevent
graft adaption, which makes the graft
susceptible to shear mediated
endothelial damage. The applicant
explained that the collective damage
results in intimal hyperplasia or graft
wall thickening that is the basis for
atheroma development, stenosis and
subsequent lumen narrowing leading to
the end state of VGD, VGF.113 The
applicant also noted that the pathologic
changes leading to VGD, occlusion and
loss of vasomotor function, are well
documented.114 115 116 117 118 119 120
112 Owens, C.D., ‘‘Adaptive changes in
autogenous vein grafts for arterial reconstruction:
Clinical Implications,’’ J Vasc Surg., 2010 March;
vol. 51(3), pp. 736–746.
113 Murphy, G.J. and Angelini, G.D., ‘‘Insights into
the pathogenesis of vein graft disease: lessons from
intravascular ultrasound,’’ Cardiovascular
Ultrasound, 2004, 2:8.
114 Verrier, E.D., Boyle, E.M., ‘‘Endothelial cell
injury in cardiovascular surgery: an overview,’’
AnnThorac Surg, 1996, vol. 64, pp. S2–S8.
115 Harskamp, R.E., Lopes, R.D., Baisden, C.E., et
al., ‘‘Saphenous vein graft failure after coronary
artery bypass surgery: pathophysiology,
management, and future directions,’’ Ann Surg.,
2013 May, vol. 257(5), pp. 824–33.
116 Sellke, F.W., Boyle, E.M., Verrier, E.D., ‘‘The
pathophysiology of vasomotor dysfunction,’’ Ann
Thorac Surg, 1996, vol. 64, pp. S9–S15.
117 Motwani, J.G., Topol, E.J., ‘‘Aortocoronary
saphenous vein graft disease: pathogenesis,
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Presenting an intact functional
endothelial layer at the time of grafting
is, therefore, critical to protecting the
graft and its associated endothelium
from damage that occurs post-grafting,
in turn conferring protection against
graft failure.121 The applicant stated that
given the low success rate of VGF
intervention after surgery (for example,
percutaneous coronary intervention and
saphenous vein graft intervention 122),
addressing graft endothelial protection
at the time of surgery is critical.
With respect to the newness criterion,
DuraGraft® has not received FDA
approval as of the time of the
development of this proposed rule. The
applicant indicated that it anticipates
FDA approval of its premarket
application by July 1, 2019. The
applicant also indicated that ICD–10–
PCS code XY0VX83 (Extracorporeal
introduction of endothelial damage
inhibitor to vein graft, New Technology
Group 3) would identify procedures
involving the use of the DuraGraft®
technology.
As discussed earlier, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and would,
therefore, not be considered ‘‘new’’ for
purposes of new technology add-on
payments.
With regard to the first criterion,
whether a product uses the same or
similar mechanism of action to achieve
a therapeutic outcome, according to the
applicant, there are currently no other
treatment options available with the
same mechanism of action as that of
DuraGraft®. According to the applicant,
the currently available vein graft
solutions, which consist of saline,
buffered saline, blood, and electrolyte
solutions, are not preservation solutions
but ‘‘storage’’ solutions that do not
protect the graft vascular endothelium
nor mitigate IRI, the basis of
predisposition and prevention,’’ Circulation, 1998,
vol. 97(9), pp. 916–31.
118 Mills, N.L., Everson, C.T., ‘‘Vein graft failure,’’
Curr Opin Cardiol, 1995, vol. 10, pp. 562–8.
119 Davies, M.G., Hagen, P.O., ‘‘Pathophysiology
of vein graft failure: a review,’’ Eur J Vasc Endovasc
Surg, 1995, vol. 9, pp. 7–18.
120 Edmunds, L.H., ‘‘Techniques of myocardial
revascularization. In: Edmunds LH, ed. Cardiac
surgery in the adult,’’ New York: McGraw-Hill,
1997, pp. 481–534.
121 Kim FY, Marhefka G, Ruggiero NJ, et al.
Saphenous vein graft disease: review of
pathophysiology, prevention, and treatment.
Cardiol Rev, 2013;21(2):101–9.
122 Testa, L., Bedogni, F., ‘‘Treatment of
Saphenous Vein Graft Disease: Never Ending Story
of the Eternal Return,’’ Res Cardiovasc Med., 2014,
vol. 3(3), e21092.
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Sfmt 4702
VGD.123 124 125 126 The applicant stated
that these solutions are used merely to
keep grafts wet from the time they are
harvested until the time they are used
in CABG. According to the applicant,
exposure of saphenous vein grafts to
these solutions has been shown to cause
significant damage to the graft within
minutes.127 128 129 130
The applicant explained that
DuraGraft® is a formulated
‘‘preservation’’ solution that can be used
during handling, flushing, and bathing
steps without changing standard
surgical practice. According to the
applicant, the handling step includes
using an atraumatic surgical technique,
avoiding over pressurization and
checking for leakage, excessive handling
and distortion. The applicant further
noted that vascular segments (that
become vascular grafts) are comprised of
a number of different cell types that
function together in an integrated
manner post-grafting and, therefore,
protection of all cell types during graft
flushing and storage is critical for
maintenance of graft viability and
normal graft functioning.
The applicant indicated that
DuraGraft® separates itself from current
vein graft solutions through its unique
123 Salvadori, M., Rosso, G., and Bertoni, E.,
‘‘Update on Ischemia-reperfusion Injury in Kidney
Transplantation: Pathogenesis and Treatment,’’
World Transplant, June 24, 2015, vol. 5(2), pp. 52–
67.
124 Lee, J.C. and Christie, J.D., ‘‘Primary Graft
Dysfunction,’’ Proc Am Thorac Soc., 2009, vol. 6,
pp 39–46.
125 Osgood, M.J., Hocking, K.M., Voskresensky,
I.V., et al., ‘‘Surgical vein graft preparation
promotes cellular dysfunction, oxidative stress, and
intimal hyperplasia in human saphenous vein,’’ J
Vasc Surg, 2014, vol. 60, pp. 202–211.
126 Shuhaiber, J.H., Evans, A.N., Massad, M.G.,
and Geha, A.S., ‘‘Mechanisms and Future
Directions for Prevention of Vein Graft Failure in
Coronary Bypass Surgery,’’ European Journal of
Cardio-Thoracic Surgery, vol. 22, Issue 3,
September 1, 2002, pp. 387–396.
127 Weiss, D.R., et al., ‘‘Extensive
deendothelialization and thrombogenicity in
routinely prepared vein grafts for coronary bypass
operations: facts and remedy,’’ Int J Clin Exp Med,
2009, vol. 2, pp. 95–113.
128 Wilbring, M., Tugtekin, S.M., Zatschler, B.,
Ebner, A., Reichenspurner, H., Matschke, K.,
Deussen, A., ‘‘Even short-time storage in
physiological saline solution impairs endothelial
vascular function of saphenous vein grafts,’’ Eur J
Cardiothorac Surg., 2011 Oct, vol. 40(4), pp. 811–
815.
129 Tsakok, M., Montgomery-Taylor, S. and
Tsakok, T., ‘‘Storage of saphenous vein grafts prior
to coronary artery bypass grafting: is autologous
whole blood more effective than saline in
preserving graft function?’’ Inter Cardiovasc Thorac
Surg, 2012, vol. 15, pp. 720–25.
130 Thatte, H.S., Biswas, K.S., Najjar S.F.,
Birjiniuk, V., Crittenden, M.D., Michel, T., and
Khuri, S.F., ‘‘Multi-Photon Microscopic valuation of
Saphenous Vein Endothelium and Its Preservation
With a New Solution, GALA.’’ Annals Thoracic
Surgery, 2003, vol. 75, pp. 1145–52.
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composition of ingredients, a
physiologic saline solution that
combines free radical scavengers and
antioxidants (glutathione, ascorbic acid)
and nitric oxide synthase substrate (Larginine), as discussed later in this
section. According to a summary of ex
vivo performance data and studies
provided by the applicant, the use of
DuraGraft® has been shown to preserve
vascular graft viability, as well as graft
functional and structural integrity
during ex vivo storage and
flushing.131 132 133 The applicant noted
that these studies evaluated graft
cellular viability and structural integrity
and assessed molecular and biochemical
markers of normal endothelial
functioning. Specifically, endothelial
and smooth muscle cells were assessed.
All veins used in these studies were
collected from patients undergoing
cardiac bypass surgery at the Boston VA
or Saint Joseph’s Hospital of Atlanta.
Veins were harvested using the ‘‘Open
Saphenous Vein Harvest’’ (OSVH)
technique.134 135 136 Segments of the
collected veins not being used for the
bypass surgery were used for the
performance bench studies.
According to the applicant, viability
studies conducted in conjunction with
multi-photon microscopy demonstrated
a protective effect from the use of
DuraGraft® on vascular endothelial
viability and graft structural integrity for
storage times of up to 5 hours at room
temperature (21 °C).137 The applicant
also stated that, conversely, vascular
segments were not able to be maintained
in a viable condition when stored for as
short a time as 15 minutes in standardof-care solutions consistent with what
has been published by others.
According to the applicant, DuraGraft®
demonstrated its ability to preserve the
viability, structure and function of
endothelium in radial and internal
mammary arteries, as well as saphenous
veins for extended periods.138
According to the information
submitted by the applicant, the
ingredients found in DuraGraft® play a
primary role in DuraGraft® exhibiting a
different mechanism of action from
other solutions that are commonly used
to treat the same disease process and
patient population. According to the
study cited by the applicant, the rapid
loss of endothelial cell structural and
functional integrity in saphenous veins
stored in standard storage solutions can
be avoided by incorporating a
physiologic saline solution that
combines free radical scavengers and
antioxidants (glutathione, ascorbic acid)
and nitric oxide synthase substrate (Larginine) providing a favorable
environment and cellular support
during ex vivo storage.139 The same
study also indicated that these three
ingredients were chosen because of their
putative effect on endothelial cell
function and that their use may act
synergistically to enhance the cell
preservation properties of the solution.
The authors of the study asserted that
glutathione increases L-arginine
transport in endothelial cells and may
lead to the formation of biologically
active S-nitrosoglutathione and to the
stimulation of endothelial nitric oxide
synthase (eNOS) activity, nitric oxide
generation, and coronary vasodilatation.
According to the authors, ascorbic acid
also increases eNOS activity by
preserving endothelium-derived nitric
oxide bioactivity by possibly scavenging
superoxide anions and preventing
oxidative destruction of
tetrahydrobiopterin, an eNOS cofactor.
Furthermore, according to the study, the
presence of ascorbic acid in a
physiologic saline solution may prevent
the oxidation of this eNOS cofactor
during vessel storage and help maintain
eNOS function and nitric oxide
generation in vascular endothelium. The
study authors also noted that ascorbic
acid, by its reducing property, may
assist sustained long-term release of
nitric oxide from these compounds in
vessels preserved in a physiologic saline
solution and, therefore, help maintain
the patency and tone of the vessels
during storage. Additionally, according
to the authors of the study, ascorbic acid
mediated reversal of endothelial
dysfunction, reduced platelet activation
and leukocyte adhesion, inhibited
smooth muscle cell proliferation and
lipid peroxidation, and increased
prostacyclin production which have
been demonstrated in numerous
cardiovascular pathologies. Finally, the
authors stated that L-arginine is a
known substrate of nitric oxide synthase
and has been shown to decrease
neutrophil-endothelial cell interactions
in inflamed vessels.140
Regarding the second criterion,
whether a product is assigned to the
same or different MS–DRG, according to
the applicant, cases involving patients
who may be eligible to receive treatment
involving DuraGraft® would be assigned
to the same MS–DRGs as patients who
received treatment involving
heparinized blood, saline, and
electrolyte solutions.
Regarding the third criterion, whether
the new use of the technology involves
the treatment of the same or similar type
of disease and the same or similar
patient population, the applicant
indicated that heparinized blood, saline
and electrolyte solutions involve
treatment of the same disease process
and the same patient population as
DuraGraft®.
Based on the applicant’s statements
presented above, we are concerned that
the mechanism of action of DuraGraft®
may be the same or similar to other vein
graft storage solutions. Specifically, we
are concerned that current solutions
used in vein graft surgical procedures
may be similar to DuraGraft® in
composition and treatment indication
and, therefore, have the same or similar
mechanism of action. We are inviting
public comments on whether the
DuraGraft® meets the newness criterion.
With regard to the cost criterion, the
applicant conducted the following
analysis to demonstrate that the
technology meets the cost criterion. In
order to identify the range of MS–DRGs
that cases representing potential
patients who may be eligible for
treatment using DuraGraft® may map to,
the applicant identified all MS–DRGs
for patients who underwent CABG.
Specifically, the applicant searched the
FY 2017 MedPAR file for Medicare feefor-service inpatient hospital claims
submitted between October 1, 2016 and
September 30, 2017, and identified
potential cases that may be eligible for
treatment using DuraGraft® by the
following ICD–10–PCS procedure codes:
131 Thatte, H.S., Biswas, K.S., Najjar S.F.,
Birjiniuk, V., Crittenden, M.D., Michel, T., and
Khuri, S.F., ‘‘Multi-Photon Microscopic valuation of
Saphenous Vein Endothelium and Its Preservation
With a New Solution, GALA.’’ Annals Thoracic
Surgery, 2003, vol. 75, pp. 1145–52.
132 Hussaini, B.E., Lu, X.G., Wolfe, A., Thatte,
H.S., ‘‘Evaluation of Endoscopic Vein extraction on
Structural and Functional Viability of Saphenous
Vein Endothelium,’’ J Cardothorac Surg, 2011, vol.
6, pp. 82–89.
133 Rousou, L.J., Taylor, K.B., Lu, X.G., et al.,
‘‘Saphenous vein conduits harvested by endoscopic
technique exhibit structural and functional
damage,’’ Ann Thorac Surg, 2009, vol. 87, pp. 62–
70.
134 Ibid.
135 Hussaini, B.E., Lu, X.G., Wolfe, A., Thatte,
H.S., ‘‘Evaluation of Endoscopic Vein extraction on
Structural and Functional Viability of Saphenous
Vein Endothelium,’’ J Cardothorac Surg, 2011, vol.
6, vol. 82–89.
136 Thatte, H.S., Biswas, K.S., Najjar, S.F.,
Birjiniuk, V., Crittenden, M.D., Michel, T., and
Khuri, S.F., ‘‘Multi-Photon Microscopic valuation of
Saphenous Vein Endothelium and Its Preservation
With a New Solution, GALA.’’ Annals Thoracic
Surgery, 2003, vol. 75, pp. 1145–52.
137 Ibid.
138 Ibid.
139 Thatte, H.S., Biswas, K.S., Najjar, S.F.,
Birjiniuk, V., Crittenden, M.D., Michel, T., and
Khuri, S.F., ‘‘Multi-Photon Microscopic valuation of
Saphenous Vein Endothelium and Its Preservation
With a New Solution, GALA.’’ Annals Thoracic
Surgery, 2003, vol. 75, pp. 1145–52.
140 Ibid.
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ICD–10–PCS
procedure code
021009W
02100AW
021049W
02104AW
021109W
02110AW
021149W
02114AW
021209W
02120AW
021249W
02124AW
021309W
02130AW
021349W
..............
.............
..............
.............
..............
.............
..............
.............
..............
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02134AW .............
Code description
Bypass coronary artery, one artery from aorta with autologous venous tissue, open approach.
Bypass coronary artery, one artery from aorta with autologous arterial tissue, open approach.
Bypass coronary artery, one artery from aorta with autologous venous tissue, percutaneous endoscopic approach.
Bypass coronary artery, one artery from aorta with autologous arterial tissue, percutaneous endoscopic approach.
Bypass coronary artery, two arteries from aorta with autologous venous tissue, open approach.
Bypass coronary artery, two arteries from aorta with autologous arterial tissue, open approach.
Bypass coronary artery, two arteries from aorta with autologous venous tissue, percutaneous endoscopic approach.
Bypass coronary artery, two arteries from aorta with autologous arterial tissue, percutaneous endoscopic approach.
Bypass coronary artery, three arteries from aorta with autologous venous tissue, open approach.
Bypass coronary artery, three arteries from aorta with autologous arterial tissue, open approach.
Bypass coronary artery, three arteries from aorta with autologous venous tissue, percutaneous endoscopic approach.
Bypass coronary artery, three arteries from aorta with autologous arterial tissue, percutaneous endoscopic approach.
Bypass coronary artery, four or more arteries from aorta with autologous venous tissue, open approach.
Bypass coronary artery, four or more arteries from aorta with autologous arterial tissue, open approach.
Bypass coronary artery, four or more arteries from aorta with autologous venous tissue, percutaneous endoscopic approach.
Bypass coronary artery, four or more arteries from aorta with autologous arterial tissue, percutaneous endoscopic approach.
This resulted in potential eligible
cases spanning 100 MS–DRGs, with
approximately 93 percent of all of these
MS–DRG
MS–DRG title
MS–DRG 003 ............
Extracorporeal Membrane Oxygenation (ECMO) or Tracheostomy with Mechanical Ventilation >96 Hours or Principal Diagnosis Except Face,
Mouth & Neck with Major Operating Room Procedure.
Cardiac Valve and Other Major Cardiothoracic Procedures with Cardiac Catheterization with MCC.
Cardiac Valve and Other Major Cardiothoracic Procedures without Cardiac Catheterization with MCC.
Cardiac Valve and Other Major Cardiothoracic Procedures without Cardiac Catheterization with CC.
Other Cardiothoracic Procedures with MCC.
Other Cardiothoracic Procedures without CC.
Coronary Bypass with Cardiac Catheterization with MCC.
Coronary Bypass with Cardiac Catheterization without MCC.
Coronary Bypass without Cardiac Catheterization with MCC.
Coronary Bypass without Cardiac Catheterization without MCC.
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
potential cases, 66,553, mapping to the
following 10 MS–DRGs:
216
219
220
228
229
233
234
235
236
............
............
............
............
............
............
............
............
............
Using the 66,553 identified cases, the
average case-weighted unstandardized
charge per case was $212,885. The
applicant then standardized the charges.
The applicant did not remove charges
for any current treatment because the
applicant indicated that there are no
other current treatment options
available. The applicant noted that it
did not provide an inflation factor to
project future charges. The applicant
added $2,751 in charges for the costs of
the DuraGraft® technology. This charge
was created by assuming the DuraGraft®
technology will cost $850 per unit as
estimated by the applicant, and by
applying the national average CCR for
implantable devices of 0.309 from the
FY 2019 IPPS/LTCH PPS final rule (83
FR 41273) to the cost of the device.
According to the applicant, no further
charges or related charges were added.
Based on the FY 2019 IPPS/LTCH PPS
final rule correction notice data file
thresholds, the average case-weighted
threshold amount was $172,965. The
final average case-weighted
standardized charge per case was
$195,799. Because the final average
case-weighted standardized charge per
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case exceeds the average case-weighted
threshold amount, the applicant
maintained that the technology meets
the cost criterion. We are inviting public
comments on whether DuraGraft® meets
the cost criterion.
With respect to the substantial
clinical improvement criterion, the
applicant asserted that the use of
DuraGraft® significantly reduces clinical
complications, such as MI, repeat
revascularization and MACE, associated
with VGF following CABG surgery. The
applicant cited the following studies
and report, each of which is
summarized below, to substantiate its
assertions regarding substantial clinical
improvement: (1) Project of Ex-vivo
Vein Graft Engineering via Transfection
(PREVENT IV) Subanalysis; (2)
European Retrospective Pilot Study
(unpublished); (3) U.S. Department of
Veterans Affairs (USDVA) Hospital
Retrospective Study; and (4) the
SWEDEHEART 2016 Annual Report.
PREVENT IV is a prospective study
that enrolled 3,000 patients and
included protocol driven angiograms at
12 months post-CABG, as opposed to
clinically-driven angiograms to evaluate
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the true incidence of VGF following
CABG surgery where standard-of-care
solutions were used.141 Harskamp, et al.
conducted subanalyses of the study data
and found from dozens of factors
evaluated for impact on the
development of 12-month VGF (VGF
was defined as a stenosis of the vein
graft diameter of 75 percent or greater)
that exposure to solutions used in
PREVENT IV (saline, blood, or buffered
saline) for intra-operative graft wetting
and storage have the largest correlation
with the development of VGF.142 143
141 Alexander, J.H., Hafley, G., Harrington, R.A.,
et al., ‘‘Efficacy and safety of Edifoligide, an E2F
Transcription Factor Decoy, for Prevention of Vein
Graft Failure Following Coronary Artery Bypass
Graft Surgery: PREVENT IV: A Randomized
Controlled Trial,’’ JAMA, 2005, vol. 294, pp. 2446–
54.
142 Harskamp, R.E., Alexander, J.H., Schulte, P.J.,
Brophy, C.M., Mack, M.J., Peterson, E.D., Williams,
J.B., Gibson, C.M., Califf, R.M., Kouchoukos, N.T.,
Harrington, R.A., Ferguson, Jr., T.B., Lopes, R.D.,
‘‘Vein Graft Preservation Solutions, Patency, and
Outcomes After Coronary Artery Bypass Graft
Surgery Follow-up From PREVENT IV Randomized
Clinical Trial,’’ JAMA Surg., 2014, vol. 149(8), pp.
798–805.
143 Hess, C.N., Lopes, R.D., Gibson, C.M., et al.,
‘‘Saphenous vein graft failure after coronary artery
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According to the applicant, short-term
exposure of free vascular grafts to these
solutions is routine in CABG operations,
where 10 minutes to 3 hours may elapse
between the vein harvest and
reperfusion.144 145 According to
Harskamp, et al., the results of the
PREVENT IV study showed that the
majority of patients had grafts preserved
in saline, 1,339 patients (44.4 percent),
followed by 971 patients (32.2 percent)
with grafts preserved in blood, and 507
patients (16.8 percent) with grafts
preserved in buffered saline. One-year
VGF rates were much lower in the
patients who were treated in the
buffered saline group than in the
patients who were treated in the saline
group (patient-level odds ratio [OR],
0.59 [95 percent CI, 0.45–0.78; P<.001];
graft-level OR, 0.63 [95 percent CI, 0.49–
0.79; P<.001]) or in the patients who
were treated in the blood group (patientlevel OR, 0.62 [95 percent CI, 0.46–0.83;
P=.001]; graft-level OR, 0.63 [95 percent
CI, 0.48–0.81; P<.001]), and the use of
buffered saline solution also tended to
be associated with a lower 5-year risk
for death, MI or subsequent
revascularization compared with saline
(hazard ratio, 0.81 [95 percent CI, 0.46–
0.83; P=.001]; graft-level OR, 0.63 [95
percent CI, 0.48–0.81; P<.001]).146 The
applicant asserted that the results from
the PREVENT IV subanalyses support
the notion that unlike DuraGraft®,
standard-of-care solutions heparinized
saline and heparinized autologous blood
used for intra-operative graft wetting
and storage, were never designed to
protect vascular grafts and have also
demonstrated an inability to protect
against ischemic injury, actively
harming the graft endothelium as
well.147 148 149 150
bypass surgery: insights from PREVENT IV,’’
Circulation, 2014 Oct 21, vol. 130(17), pp. 1445–51.
144 Motwani, J.G., Topol, E.J., ‘‘Aortocoronary
saphenous vein graft disease: pathogenesis,
predisposition and prevention,’’ Circulation, 1998,
vol. 97(9), pp. 916–31.
145 Mills, N.L., Everson, C.T., ‘‘Vein graft failure,’’
Curr Opin Cardiol, 1995, vol. 10, pp. 562–8.
146 Harskamp, R.E., Alexander, J.H., Schulte, P.J.,
Brophy, C.M., Mack, M.J., Peterson, E.D., Williams,
J.B., Gibson, C.M., Califf, R.M., Kouchoukos, N.T.,
Harrington, R.A., Ferguson, Jr., T.B., Lopes, R.D.,
‘‘Vein Graft Preservation Solutions, Patency, and
Outcomes After Coronary Artery Bypass Graft
Surgery Follow-up From PREVENT IV Randomized
Clinical Trial,’’ JAMA Surg., 2014, vol. 149(8), pp.
798–805.
147 Ibid.
148 Weiss, D.R., et al., ‘‘Extensive
deendothelialization and thrombogenicity in
routinely prepared vein grafts for coronary bypass
operations: facts and remedy,’’ Int J Clin Exp Med,
2009; vol. 2, pp. 95–113.
149 Wilbring, M., Tugtekin, S.M., Zatschler, B.,
Ebner, A., Reichenspurner, H., Matschke, K.,
Deussen, A., ‘‘Even short-time storage in
physiological saline solution impairs endothelial
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In order to assess clinical outcomes
associated with the use of DuraGraft®,
the applicant opted to use readily
available databases associated with two
hospitals that had noncommercial
access to the product through hospital
pharmacies and, therefore, had real
world use of DuraGraft® treatment. The
two retrospective cohort studies, the
European Retrospective Pilot Study and
the USDVA Hospital Retrospective
Study, used these data bases to evaluate
the effectiveness and safety of the use of
DuraGraft® during CABG surgical
procedures for post-CABG clinical
complications associated with VGF,
including MI, repeat revascularization
and MACE.
The European Retrospective Pilot
Study (which was a feasibility study)
was a retrospective study conducted to
assess the safety and efficacy of
DuraGraft® treatment on both short (less
than 30 days) and long-term (greater
than or equal to 30 days and up to 5
years) clinical outcomes. This study
became the basis for the design of a
larger retrospective study conducted at
the USDVA Hospital, discussed below.
The feasibility study is unpublished.
The European Retrospective Pilot
study is a single-center clinical study of
CABG patients to evaluate the potential
benefits of DuraGraft® treatment as
compared to a no-treatment control
group (saline). The investigator, who
prepared the analysis, remained blinded
to individual patient data. A total of 630
patients who underwent elective and
isolated CABG surgery with at least one
saphenous vein graft between January
2002 and December 2008 were
included. Eligibility criteria were: (1)
Patients with first-time CABG surgery in
which at least one vein graft was used;
and (2) patients with in-situ internal
mammary artery (IMA) graft(s) only (no
saphenous vein or free arterial grafts).
The single patient exclusion criteria
were concomitant valve surgery and/or
aortic aneurysm repair. The institutional
review board of the University Health
Alliance (UHA) approved the protocol,
and patients gave written informed
consent for their follow-up. The notreatment control group (saline)
included 375 patients who underwent
CABG surgery from January 2002 to May
2005, and the DuraGraft® treatment
group included 255 patients who
vascular function of saphenous vein grafts,’’ Eur J
Cardiothorac Surg., 2011 Oct, vol. 40(4), pp. 811–
815.
150 Thatte, H.S., Biswas, K.S., Najjar, S.F.,
Birjiniuk, V., Crittenden, M.D., Michel, T., and
Khuri, S.F., ‘‘Multi-Photon Microscopic valuation of
Saphenous Vein Endothelium and Its Preservation
With a New Solution, GALA.’’ Annals Thoracic
Surgery, 2003, vol. 75, pp. 1145–52.
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underwent CABG surgery from June
2005 to December 2008. During longterm follow-up, 5 patients were lost to
follow-up, and 10 patients died before
the 30-day follow-up. Therefore, a total
of 247 patients from the DuraGraft®
treatment group (97 percent) and 368
patients from the no-treatment control
group (saline) (98 percent) were
available for the long-term analysis.
Patients undergoing CABG surgery
whose vascular grafts were treated intraoperatively with DuraGraft®
demonstrated no statistically significant
differences in MACE within the first 30
days following CABG surgery.
According to the applicant, these data
suggest that DuraGraft® treatment is at
least as safe as the standard-of-care used
in CABG surgeries. Long-term outcomes
between the two groups were not
statistically different. However, also
according to the applicant, a consistent
numerical trend toward improved
clinical outcomes for the DuraGraft®
treatment group compared to the notreatment control (saline) group was
clearly identified. Although statistically
insignificant, there was a consistent
reduction observed in the rates for
multiple endpoints such as all-cause
death, MI, MACE, and revascularization.
This study found reductions in
DuraGraft®-treated grafts relative to
saline for revascularization (57 percent),
MI (70 percent), MACE (37 percent), and
all-cause death (23 percent) compared to
standard-of-care (heparinized saline/
blood) through 5 years follow-up.
According to the applicant, based on the
small sample size for this evaluation of
less than 630 patients and the known
frequencies of these events following
CABG surgeries, statistical differences
were not expected. A subsequent posthoc analysis also was performed by the
researchers at CHU Angers to evaluate
whether any long-term clinical variables
(such as dual antiplatelet therapy, betablockers, angiotensin receptor-blockers,
statins, diabetes, lifestyle and other
factors) had any impact on the clinical
outcomes of the study. The conclusions
of the post-hoc analyses were that the
assessed long-term clinical variables did
not impact the clinical study outcomes.
The second study, the USDVA
Hospital Retrospective Study, was an
unpublished, independent PI initiated,
single-center, multi-surgeon,
retrospective, comparative (DuraGraft®
vs. Saline) clinical trial, which was
conducted to assess the safety and
impact of DuraGraft® treatment on both
short and long-term clinical outcomes in
patients who underwent isolated CABG
surgery with saphenous vein grafts
(SVGs) at the Boston (West Roxbury) VA
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Medical Center between 1996 and 2004.
From 1996 through 1999, DuraGraft®
treatment was not available and
heparinized saline was routinely used to
wet and store grafts. From 2001 through
2004, the Boston VA Medical Center
began exclusively using DuraGraft®,
which was prepared by the hospital’s
pharmacy. The applicant highlighted
that 2000 data was omitted from this
analysis by the PI due to the transition
into the use of DuraGraft® and the
uncertainty of whether DuraGraft® or
heparinized saline was used in CABG
patients during the transition period.
Short-term clinical outcomes were
defined as perioperative and early postoperative events occurring within the
first 30 days after CABG including
perioperative MI, prolonged ventilation
time (greater than 48 hours), prolonged
time in a coma (greater than 24 hours),
renal failure, and death. Long-term
clinical outcomes were defined as
events occurring greater than 30 days
after CABG including the need for
repeat revascularization (that is, repeat
CABG or percutaneous coronary
intervention [PCI]), non-fatal acute MI
(NFMI), all-cause death, and a
composite of these MACE. The primary
study outcome was repeat
revascularization, and the secondary
outcomes included MACE, NFMI, and
all cause death.
According to the applicant, although
the study represents the noncontemporaneous use of saline and
DuraGraft®, the potential effect of ‘‘time
of CABG’’ on outcomes was minimized
in large part by the fact that this was a
single-center study in which the same
surgeons performed surgeries
throughout the timeframe of this study.
Additionally, the applicant explained
that published evidence (including
evidence collected from the same
center) indicates that outcomes from
CABG surgery such as mortality, MI,
and repeat revascularization have not
changed significantly between the time
of this study and the present day,
suggesting that surgical and medical
improvements, differences in patient
selection, and other factors which may
have occurred over the timeframe of the
study likely had little influence over the
study results and, therefore, the
statistically significant differences that
were observed are due to ‘‘study article’’
effect.151 152 153
Data were extracted from a total of
2,436 patients who underwent a CABG
procedure with at least 1 SVG from 1996
through 1999 (saline control n=1,400
patients) and 2001 through 2004
(DuraGraft® treatment n=1,036 patients).
Patients were excluded from the study
if they had a prior history of CABG, had
no use of SVG, or underwent additional
procedures during the CABG surgery.
Review of patient characteristics
between the two treatment arms found
the median age for the control group
was 66 years old and 67 years old for
the DuraGraft® treatment group. Mean
follow-up in the control treatment group
was 9.9±5.6 years and 8.5±4.2 years for
the DuraGraft® treatment group.
Short-term clinical outcomes showed
frequencies for individual outcomes
were low, at less than 5 percent for both
treatment groups. However, according to
the applicant, there was a statistically
significant 77 percent reduction of
perioperative MI in the DuraGraft®
group compared to the saline group,
which may have indicated a potential
short-term benefit related to preserving
the endothelium.
Long-term clinical outcomes for
patients treated with DuraGraft®
compared to saline showed DuraGraft®
patients with significantly lower risk of
repeat revascularization (primary
endpoint), non-fatal MI, and MACE
outcomes. According to the applicant,
the frequency of repeat
revascularization was significantly
lower after DuraGraft® treatment
starting at 1,000 days onwards with a
statistically significant adjusted 35
percent risk reduction. Additionally, the
applicant noted that the use of
DuraGraft® was associated with
significantly lower risk for non-fatal MI
beginning at 30 days post CABG with an
adjusted risk reduction of 36 percent
(HR:0.687; 95 percent CI: 0.499, 0.815;
p=0.0003). This effect was even more
profound at 1,000 days onward, with a
statistically significant risk reduction of
up to 45 percent. Finally, the applicant
noted that the occurrence of MACE was
significantly reduced after DuraGraft®
treatment, with an adjusted risk
reduction of 19 percent starting at 1,000
days after CABG. Both crude and
inverse probability weighting (IPW)
adjusted models for these long-term
outcomes were summarized. Long-term
mortality was comparable between
151 Goldman, S., Zadina, K., Mortiz, T., et al.,
‘‘Long-term patency of saphenous vein and left
internal mammary grafts after coronary artery
bypass surgery: results from a Department of
Veterans Affairs Cooperative Study,’’ J Am Coll
Cardiol, 2004, vol. 44, pp. 2149–2156.
152 Granger, D.N. and Kvietys, P.R., ‘‘Reperfusion
Injury and Reactive Oxygen Species: The Evolution
of a Concept.’’ Redox Biol. 2015 Dec; 6: 524–551.
Published online 2015 Oct 8. doi: 10.1016/
j.redox.2015.08.020.
153 Guibert, E.E., Petrenko, A.Y., Balaban, C.L.,
Somov, A.Y., Rodriguez, J.V., and Fuller, B.J.,
‘‘Organ Preservation: Current Concepts and New
Strategies for the Next Decade,’’ Transfus Med
Hemother, 2011, vol. 38, pp. 125–142.
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treatment groups: neither the crude nor
IPW-adjusted model showed a
significant association between
DuraGraft® exposure and time to death,
either beginning 30 days or 1,000 days
after initial CABG surgery. According to
the applicant, this study supports not
only safety, but also improved long-term
clinical outcomes in DuraGraft®-treated
CABG patients.
According to the applicant, the data
collected from this statistically-powered
USDVA Hospital Retrospective Study
are consistent with data collected in the
European Retrospective Pilot Study in
which trend toward reductions of MI,
repeat revascularization, and MACE
were observed in the DuraGraft®
treatment group, lending confidence
that the observed trends in this study,
as well as the European Retrospective
Pilot Study, represent real differences
associated with DuraGraft® use.
The applicant also referenced data
from the SWEDEHEART 2016 Annual
Report, a report on data extracted from
the Swedish Cardiac Surgery Registry,
to assess whether changes in the
surgical procedure and post-op
medications over the timeline of the
USDVA Hospital Retrospective Study
could have impacted the clinical
outcomes. The applicant believed that
these mortality data, which overlapped
with the timeframe of the USDVA
Hospital Retrospective Study, would
provide an indication of whether such
changes in the CABG procedure
occurred over the relevant time period.
The applicant stated that the
SWEDEHEART 2016 Annual Report was
published in 2017 and documented a
fairly constant mortality rate between
1995 and 2005 (we refer readers to the
table below), which overlapped the
timeframe of the USDVA Hospital
Retrospective Study (1996 through
2004). The applicant noted that the data
from the SWEDEHEART 2016 Annual
Report was extracted from the Swedish
Cardiac Surgery Registry, which collects
data from all centers that are
performing, or have been performing,
cardiac surgery in Sweden since 1992
and maintains 100 percent of the data
covering the number of adult cardiac
surgery procedures. The applicant
indicated that mortality data are derived
from the Swedish national population
registry and, therefore, are considered
100 percent complete and accurate. The
applicant noted that the 30-day
mortality rate between 1996 and 2004
(the timeframe of the USDVA Hospital
Retrospective Study) remained fairly
constant, even with CABG procedures
performed by several different hospitals
and surgeons. According to the
applicant, these data indicate that
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changes in the CABG procedure itself
over the USDVA Hospital Retrospective
Study time period were not significant
enough to impact post-op mortality.
30-DAY MORTALITY RATE (%) BETWEEN 1995 AND 2005 BASED ON SWEDEHEART 2016 ANNUAL REPORT
Isolated CABD
volume
Year
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
..........................................................................................................................................................................................................
..........................................................................................................................................................................................................
..........................................................................................................................................................................................................
..........................................................................................................................................................................................................
..........................................................................................................................................................................................................
..........................................................................................................................................................................................................
..........................................................................................................................................................................................................
..........................................................................................................................................................................................................
..........................................................................................................................................................................................................
..........................................................................................................................................................................................................
..........................................................................................................................................................................................................
According to the applicant, the
European Retrospective Pilot Study and
the USDVA Hospital Study
demonstrated an association of reduced
risk of non-fatal MI, repeat
revascularization, and MACE with
DuraGraft® treatment. However, we
have a number of concerns relating to
whether these results support a finding
of substantial clinical improvement. We
note that these studies are unpublished
and consist of a retrospective design,
which may contribute to potential
sources of error such as confounding
and bias. Moreover, the studies do not
account for other variables that may
affect vein integrity such as method of
vein harvest, vein distention pressure,
and controlling for the use of
glycoprotein (GP) IIb/IIIa
inhibitors.154 155
With regard to the European
Retrospective Pilot study, specifically,
we are concerned that there are no
defined primary and secondary longterm outcomes, no statistical plans to
incorporate adjustments for multiple
comparisons, and no power calculations
for the expected differences in
endpoints that would be biologically
important. Furthermore, we are
concerned that saline was used as the
control, as opposed to buffered saline,
which at the time was considered to be
more effective than saline and,
therefore, may have been a more
optimal comparator.156 We also are
amozie on DSK9F9SC42PROD with PROPOSALS2
154 King,
S., Short, M., Harmon, C., ‘‘Glycoprotein
IIb/IIIa inhibitors: the resurgence of tirofiban,’’
Vascul Pharmacol, 2016 March; vol. 78, pp. 10–16.
155 Harskamp, R.E., Hoedemaker, N., Newby, L.K.,
Woudstra, P., Grundeken, M.J., Beijk, M.A., Piek,
J.J., Tijssen, J.G., Mehta, R.H., de Winter, R.J.,
‘‘Procedural and clinical outcomes after use of the
glycoprotein IIb/IIIa inhibitor abciximab for
saphenous vein graft interventions,’’ Cardiovasc
Revasc Med, 2016 Jan–Feb, vol. 17(1), pp. 19–23.
Epub 2015 Oct 31. PMID: 26626961.
156 Williams, J.B., Harskamp, R.E., Bose, S.,
Lawson, J.H., Alexander, J.H., Smith, P.K., Lopes,
R.D., ‘‘The Preservation and Handling of Vein Grafts
in Current Surgical Practice: Findings of a Survey
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17:51 May 02, 2019
Jkt 247001
concerned that certain information was
not available, including mean followup, patient-years follow-up and loss-tofollow-up. Finally, the study did not
appear to convey any statistical
differences for any of the short-term or
long-term endpoints.
With regard to the USDVA Hospital
Retrospective Study, we note that this
study used heparinized saline as the
comparator rather than buffered saline.
According to a survey published in 2015
of 90 major U.S. medical centers, 40
percent were using buffered saline.157
Also, we are concerned that the study
population was limited to USDVA
hospital patients and was
overwhelmingly white (95 percent)
males (99 percent), due to the
demographics available through the
USDVA hospital data source. We are
concerned that this may affect the
completeness of the study and raise
questions as to whether the data and
results are generalizable to other patient
groups, to include, as acknowledged by
the applicant, nonveterans, women, and
other racial/ethnic groups. We also note
that patients in the heparinized saline
arm appeared to have more
comorbidities, more vein grafts, fewer
arterial grafts and more time on
cardiopulmonary bypass as compared to
the DuraGraft® treatment arm suggesting
there may have been differences in the
health of the patients in the two
treatment arms prior to participation in
the study. Without more context
explaining the cause of each of these
characteristics it may be difficult to
substantiate the validity of the study
results. We also believe that it would
have been helpful to include coronary
imaging studies with the results of the
USDVA Hospital Retrospective Study to
Among Cardiovascular Surgeons of Top-Ranked US
Hospitals,’’ JAMA Surg, 2015 Jul, vol. 150(7), pp.
681–3. PMID: 25970819.
157 Ibid.
PO 00000
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Fmt 4701
Sfmt 4702
6,001
6,283
5,076
5,797
5,504
5,478
5,696
5,645
5,245
4,868
4,264
30-day
mortality rate
(%)
1.9
2.2
1.7
2
1.9
2.2
1.8
1.9
1.9
2
1.7
correlate MI and revascularizations with
vein grafts. Without data from such
studies, it is more difficult to associate
the solutions with the repeat
revascularization outcomes.
Furthermore, in the FY 2019 IPPS/
LTCH PPS proposed rule (83 FR 20308)
we noted our concern regarding the
timeframe differences in the saline and
DuraGraft® arms in the USDVA Hospital
Retrospective Study. As discussed
earlier in this section, the applicant
expressed that, although the USDVA
Hospital Retrospective Study represents
the non-contemporaneous use of saline
and DuraGraft®, the potential effect of
‘‘time of CABG’’ on outcomes was
minimized in large part by the fact that
this was a single-center study in which
the same surgeons performed surgeries
throughout the timeframe of this study.
The applicant also expressed that
outcomes from CABG surgery such as
mortality, MI, and repeat
revascularization have not changed
significantly between the time of the
USDVA Hospital Retrospective Study
and the present day, suggesting that
surgical and medical improvements that
may have occurred over the timeframe
of the study likely had little influence
over the study results and, therefore, the
statistically significant differences that
were observed are due to ‘‘study article’’
effect.158 159 160 We appreciate the
158 Goldman, S., Zadina, K., Mortiz, T., et al.,
‘‘Long-term patency of saphenous vein and left
internal mammary grafts after coronary artery
bypass surgery: results from a Department of
Veterans Affairs Cooperative Study,’’ J Am Coll
Cardiol, 2004, vol. 44, pp. 2149–2156.
159 Granger, D.N. and Kvietys, P.R., ‘‘Reperfusion
Injury and Reactive Oxygen Species: The Evolution
of a Concept,’’ Redox Biol, 2015 Dec, vol. 6, pp.
524–551. Published online 2015 Oct 8. doi:
10.1016/j.redox.2015.08.020.
160 Guibert, E.E., Petrenko, A.Y., Balaban, C.L.,
Somov, A.Y., Rodriguez, J.V., and Fuller, B.J.,
‘‘Organ Preservation: Current Concepts and New
Strategies for the Next Decade,’’ Transfus Med
Hemother, 2011, vol. 38, pp. 125–142.
E:\FR\FM\03MYP2.SGM
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applicant identifying and speaking to
this concern, as it was raised by CMS in
the FY 2019 IPPS/LTCH PPS proposed
rule. However, we remain concerned
that the timeframe differences between
the saline and DuraGraft® arms in the
USDVA Hospital Retrospective Study
were not accounted for in the analysis
of the retrospective data taken from the
study.
Additionally, although the applicant
provided an explanation about how to
match patients via propensity scores, we
are concerned that the statistical plan
did not include adjustments for
multiple comparisons nor did it include
power calculations for the expected
differences in endpoints that would be
biologically important.
The applicant also provided
information from the USDVA Hospital
Retrospective Study that suggested there
are a significant number of MACE-type
events in the first 3 years after CABG.
However, much of the long-term data for
the control group was missing, in
particular, data related to the first 30 to
999 days post-CABG. Finally, regarding
the secondary long-term-outcome of
MACE, we are concerned the study did
not appear to include coronary cardiac
mortality, non-coronary cardiac
mortality, and other cardiac morbidity
within the definition of MACE.
Also, as discussed above, the
applicant referenced data from the
SWEDEHEART 2016 Annual Report,
which noted a decline in the number of
CABG procedures (by approximately 1⁄3)
between 1996 and 2005. It is unclear
what contributed to the decline in
CABG procedures during this time
period, particularly because, as the
applicant indicated, mortality rates
remained fairly constant throughout this
timeframe. We believe the decline in the
number of CABG procedures may also
reflect time-related differences in
surgical management.
We are inviting public comments on
whether DuraGraft® meets the
substantial clinical improvement
criterion. We did not receive any
written comments in response to the
New Technology Town Hall meeting
notice published in the Federal Register
regarding the substantial clinical
improvement criterion for DuraGraft® or
at the New Technology Town Hall
meeting.
in the femoropopliteal arteries, received
FDA premarket approval (PMA) on
September 18, 2018.
According to the applicant, the
EluviaTM system is a sustained-release
drug-eluting stent indicated for
improving luminal diameter in the
treatment of peripheral artery disease
(PAD) with symptomatic de novo or
restenotic lesions in the native
superficial femoral artery (SFA) and or
proximal popliteal artery (PPA) with
reference vessel diameters (RVD)
ranging from 4.0 to 6.0 mm and total
lesion lengths up to 190 mm.
The applicant stated that PAD is a
circulatory condition in which
narrowed arteries reduce blood flow to
the limbs, usually in the legs. Symptoms
of PAD may include lower extremity
pain due to varying degrees of ischemia,
claudication which is characterized by
pain induced by exercise and relieved
with rest. According to the applicant,
risk factors for PAD include individuals
who are age 70 years old and older;
individuals who are between the ages of
50 years old and 69 years old with a
history of smoking or diabetes;
individuals who are between the ages of
40 years old and 49 years old with
diabetes and at least one other risk
factor for atherosclerosis; leg symptoms
suggestive of claudication with exertion,
or ischemic pain at rest; abnormal lower
extremity pulse examination; known
atherosclerosis at other sites (for
example, coronary, carotid, renal artery
disease); smoking; hypertension,
hyperlipidemia, and
homocysteinemia.161 PAD is primarily
caused by atherosclerosis—the buildup
of fatty plaque in the arteries. PAD can
occur in any blood vessel, but it is more
common in the legs than the arms.
Approximately 8.5 million people in the
United States have PAD, including 12 to
20 percent of individuals who are age 60
years old and older.162
A diagnosis of PAD is established
with the measurement of an anklebrachial index (ABI) less than or equal
to 0.9. The ABI is a comparison of the
resting systolic blood pressure at the
ankle to the higher systolic brachial
pressure. Duplex ultrasonography is
commonly used, in conjunction with
f. EluviaTM Drug-Eluting Vascular Stent
System
Boston Scientific Corporation
submitted an application for new
technology add-on payments for the
EluviaTM Drug-Eluting Vascular Stent
System for FY 2020. EluviaTM, a drugeluting stent for the treatment of lesions
161 Neschis, David G. & MD, Golden, M., ‘‘Clinical
features and diagnosis of lower extremity peripheral
artery disease.’’ Available at: https://
www.uptodate.com/contents/clinical-features-anddiagnosis-of-lower-extremity-peripheral-arterydisease.
162 Centers for Disease Control and Prevention,
‘‘Peripheral Arterial Disease (PAD) Fact Sheet,’’
2018, Retrieved from https://www.cdc.gov/DHDSP/
data_statistics/fact_sheets/fs_PAD.htm.
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the ABI, to identify the location and
severity of arterial obstruction.163
Management of the disease is aimed at
improving symptoms, improving
functional capacity, and preventing
amputations and death. Management of
patients who have been diagnosed with
lower extremity PAD may include
medical therapies to reduce the risk for
future cardiovascular events related to
atherosclerosis, such as myocardial
infarction, stroke, and peripheral
arterial thrombosis. Such therapies may
include antiplatelet therapy, smoking
cessation, lipid-lowering therapy, and
treatment of diabetes and hypertension.
For patients with significant or
disabling symptoms unresponsive to
lifestyle adjustment and pharmacologic
therapy, intervention (percutaneous,
surgical) may be needed. Surgical
intervention includes angioplasty, a
procedure in which a balloon-tip
catheter is inserted into the artery and
inflated to dilate the narrowed artery
lumen. The balloon is then deflated and
removed with the catheter. For patients
with limb-threatening ischemia (for
example, pain while at rest and or
ulceration), revascularization is a
priority to reestablish arterial blood
flow. According to the applicant,
treatment of the SFA is problematic due
to multiple issues including high rate of
restenosis and significant forces of
compression.
The applicant describes EluviaTM
Drug-Eluting Vascular Stent System as a
sustained-release drug-eluting selfexpanding, nickel titanium alloy
(nitinol) mesh stent used to reestablish
blood flow to stenotic arteries.
According to the applicant, the EluviaTM
stent is coated with the drug paclitaxel,
which helps prevent the artery from
restenosis. The applicant stated that
EluviaTM’s polymer-based drug delivery
system is uniquely designed to sustain
the release of paclitaxel beyond 1 year
to match the restenotic process in the
SFA. According to the applicant, the
EluviaTM Stent System is comprised of:
(1) The implantable endoprosthesis; and
(2) the stent delivery system (SDS). On
both the proximal and distal ends of the
stent, radiopaque markers made of
tantalum increase visibility of the stent
to aid in placement. The tri-axial
designed delivery system consists of an
outer shaft to stabilize the stent delivery
system, a middle shaft to protect and
constrain the stent, and an inner shaft
to provide a guide wire lumen. The
delivery system is compatible with
163 Berger, J. & Davies, M., ‘‘Overview of lower
extremity peripheral artery disease,’’ Retrieved
October 29, 2018, from https://www.uptodate.com/
contents/overview-of-lower-extremity-peripheralartery-disease.
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0.035 in (0.89 mm) guide wires. The
EluviaTM stent is available in a variety
of diameters and lengths. The delivery
system is offered in 2 working lengths
(75 cm and 130 cm).
As discussed previously, if a
technology meets all three of the
substantial similarity criteria, it would
be considered substantially similar to an
existing technology and would,
therefore, not be considered ‘‘new’’ for
purposes of new technology add-on
payments.
With regard to the first criterion,
whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome, according to the
applicant, EluviaTM uses a unique
mechanism of action which has not
been utilized by previously available
medical devices for treating stenotic
lesions in the SFA. The applicant
asserted that the EluviaTM Drug-Eluting
Vascular Stent System is a device/drug
combination product composed of an
implantable stent, combined with a
polybutyl methacrylate (PBMA) primer
layer, a paclitaxel/polyvinylidene
difluoride (PVDF) polymer, and a stent
delivery system. According to the
applicant, the polymer carries and
protects the drug before and during the
procedure and ensures that the drug is
released into the tissue in a controlled,
sustained manner to prevent restenosis
of the vessel. According to the
applicant, the EluviaTM system
continues to deliver paclitaxel to
combat restenosis for 12 to 15 months,
which involves a novel and distinct
mechanism of action different than
other drug-coated balloons or drugcoated stents that only deliver the drug
to the artery for about 2 months.
According to the applicant, the PBMA
polymer is clinically proven to permit
the sustained release of paclitaxel to
achieve a therapeutic outcome. We note
that, the applicant submitted a request
for consideration for approval at the
March 2019 ICD–10 Coordination and
Maintenance Committee Meeting for a
unique ICD–10–PCS procedure code to
describe procedures which use the
EluviaTM stent system.
With regard to the second criterion,
whether a technology is assigned to the
same or a different MS–DRG, the
applicant asserted that patients who
may be eligible for treatment using the
EluviaTM system include hospitalized
amozie on DSK9F9SC42PROD with PROPOSALS2
ICD–10–CM
diagnosis code
I70.201 .................
I70.202 .................
I70.203 .................
I70.208 .................
I70.209 .................
I70.211 .................
I70.212 .................
I70.213 .................
I70.218 .................
I70.219 .................
I70.221 .................
I70.222 .................
I70.223 .................
I70.228 .................
I70.229 .................
I70.231 .................
I70.232 .................
I70.233 .................
I70.234 .................
I70.235 .................
I70.238 .................
I70.239 .................
I70.241 .................
I70.242 .................
I70.243 .................
I70.244 .................
I70.245 .................
I70.248 .................
I70.249 .................
I70.25 ...................
I70.261 .................
I70.262 .................
I70.263 .................
I70.268 .................
I70.269 .................
I70.291 .................
I70.292 .................
I70.293 .................
VerDate Sep<11>2014
patients who have been diagnosed with
PAD. According to the applicant, these
potential cases may map to multiple
MS–DRGs, the most likely being MS–
DRGs 252 (Other Vascular Procedures
With MCC), 253 (Other Vascular
Procedures With CC) and 254 (Other
Vascular Procedures Without CC/MCC).
Potential cases representing patients
who may be eligible for treatment using
the EluviaTM system would be assigned
to the same MS–DRGs as cases
representing hospitalized patients who
have been diagnosed with PAD and
treated with currently available
technologies.
With regard to the third criterion,
whether the new use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population when
compared to an existing technology,
according to the applicant, clinical
conditions that may require use of the
EluviaTM stent system include treatment
of the same patient population as cases
identified with a variety of diagnosis
codes from the ICD–10–CM category I70
(Atherosclerosis) as listed in the table
below:
Code description
Unspecified atherosclerosis of native arteries of extremities, right leg.
Unspecified atherosclerosis of native arteries of extremities, left leg.
Unspecified atherosclerosis of native arteries of extremities, bilateral legs.
Unspecified atherosclerosis of native arteries of extremities, other extremity.
Unspecified atherosclerosis of native arteries of extremities, unspecified extremity.
Atherosclerosis of native arteries of extremities with intermittent claudication, right leg.
Atherosclerosis of native arteries of extremities with intermittent claudication, left leg.
Atherosclerosis of native arteries of extremities with intermittent claudication, bilateral legs.
Atherosclerosis of native arteries of extremities with intermittent claudication, other extremity.
Atherosclerosis of native arteries of extremities with intermittent claudication, unspecified extremity.
Atherosclerosis of native arteries of extremities with rest pain, right leg.
Atherosclerosis of native arteries of extremities with rest pain, left leg.
Atherosclerosis of native arteries of extremities with rest pain, bilateral legs.
Atherosclerosis of native arteries of extremities with rest pain, other extremity.
Atherosclerosis of native arteries of extremities with rest pain, unspecified extremity.
Atherosclerosis of native arteries of right leg with ulceration of thigh.
Atherosclerosis of native arteries of right leg with ulceration of calf.
Atherosclerosis of native arteries of right leg with ulceration of ankle.
Atherosclerosis of native arteries of right leg with ulceration of heel and midfoot.
Atherosclerosis of native arteries of right leg with ulceration of other part of foot.
Atherosclerosis of native arteries of right leg with ulceration of other part of lower right leg.
Atherosclerosis of native arteries of right leg with ulceration of unspecified site.
Atherosclerosis of native arteries of left leg with ulceration of thigh.
Atherosclerosis of native arteries of left leg with ulceration of calf.
Atherosclerosis of native arteries of left leg with ulceration of ankle.
Atherosclerosis of native arteries of left leg with ulceration of heel and midfoot.
Atherosclerosis of native arteries of left leg with ulceration of other part of foot.
Atherosclerosis of native arteries of left leg with ulceration of other part of lower left leg.
Atherosclerosis of native arteries of left leg with ulceration of unspecified site.
Atherosclerosis of native arteries of other extremities with ulceration.
Atherosclerosis of native arteries of extremities with gangrene, right leg.
Atherosclerosis of native arteries of extremities with gangrene, left leg.
Atherosclerosis of native arteries of extremities with gangrene, bilateral legs.
Atherosclerosis of native arteries of extremities with gangrene, other extremity.
Atherosclerosis of native arteries of extremities with gangrene, unspecified extremity.
Other atherosclerosis of native arteries of extremities, right leg.
Other atherosclerosis of native arteries of extremities, left leg.
Other atherosclerosis of native arteries of extremities, bilateral legs.
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ICD–10–CM
diagnosis code
amozie on DSK9F9SC42PROD with PROPOSALS2
I70.298 .................
I70.299 .................
Code description
Other atherosclerosis of native arteries of extremities, other extremity.
Other atherosclerosis of native arteries of extremities.
The applicant asserted that the
EluviaTM stent is not substantially
similar to any existing technology
because it uses a unique mechanism of
action, when compared to existing
technologies, to achieve a therapeutic
outcome and, therefore, meets the
newness criterion.
We are concerned as to whether the
polymer drug carrier system that the
EluviaTM system uses is, in fact, a new
mechanism of action as compared to
stents that contain paclitaxel without
the carrier polymer. We are concerned
that the EluviaTM device may have a
mechanism of action similar to the
paclitaxel-coated Zilver® Drug-Eluting
Peripheral Stent, which is indicated for
improving luminal diameter for the
treatment of de novo or restenotic
symptomatic lesions in native vascular
disease of the above-the-knee
femoropopliteal arteries having
reference vessel diameter from 4 mm to
7 mm and total lesion lengths up to 300
mm per patient. We are inviting public
comments on whether the EluviaTM
system is substantially similar to
existing technology and whether it
meets the newness criterion, including
with respect to the concerns we have
raised. With regard to the cost criterion,
the applicant conducted the following
analysis to demonstrate that the
technology meets the cost criterion.
As noted earlier, the applicant
asserted that cases involving the
treatment of PAD, involving treatment
of lesions in the femoropopliteal arteries
typically, map to MS–DRGs 252, 253,
and 254. The applicant searched the FY
2017 MedPAR data file in MS–DRGs
252, 253 and 254 for cases reporting an
ICD–10–PCS procedure code for the
treatment of Peripheral BMS or DES,
which the applicant believed would
represent cases potentially eligible for
the use of the EluviaTM stent system.
The applicant identified 109,747 claims
for cases representing patients who may
be eligible for treatment involving the
EluviaTM stent system. The applicant
applied the following trims: Claims paid
under GHO (that is, Medicare
beneficiaries enrolled in a Medicare
Advantage managed care plan), claims
for CAHs, IPFs, IRFs, LTCHs,
Children’s, Cancer, and RHNCI
hospitals excluding Maryland acute-care
hospitals, claims with total charges or
lengths-of-stay of less than or equal to
zero, claims with total charge differing
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17:51 May 02, 2019
Jkt 247001
from sum of charges of the 19 cost
groups by greater than $30, providers
that do not have charges greater than $0
for at least 14 of the 19 cost groups,
claims with total charges for the MS–
DRG +/¥3 standard deviations from the
log mean total charges or charges per
day, ‘‘IME only’’ claims submitted by a
teaching hospital on behalf of a
beneficiary enrolled in a Medicare
Advantage plan, claims with claim
types ‘‘61 to 64’’ (that is, claim types
that refer to encounter claims, Medicare
Advantage IME, and HMO no-pay
claims), and claims for which the
applicant was unable to calculate
standardized charges (because the
Provider Number associated with the
claim does not appear in the FY 2017
impact file). This resulted in 73,861
claims across MS–DRGs 252, 253, and
254.
Using the 73,861 claims, the applicant
determined an average case-weighted
unstandardized charge per case of
$96,232. The applicant removed all
device-related charges and then
standardized the charges for each case
and inflated each case’s charges by
applying the FY 2019 IPPS/LTCH PPS
final rule outlier charge inflation factor
of 1.08864 (83 FR 41722). (We note that
the 2-year charge inflation factor was
revised in the FY 2019 IPPS/LTCH PPS
final rule correction notice to 1.08986
(83 FR 49844). We further note that even
when using the corrected final rule
values to inflate the charges, the average
case-weighted standardized charge per
case for each scenario exceeded the
average case-weighted threshold
amount.) The applicant then added
charges for EluviaTM by taking the cost
of the device and converting it to a
charge by dividing the costs by the
national average CCR of 0.309 for
devices from the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41273). The
applicant calculated an average caseweighted standardized charge per case
of $86,950 using the percent
distribution of MS–DRGs as caseweights. Based on this analysis, the
applicant determined that the final
inflated average case-weighted
standardized charge per case for
EluviaTM exceeded the average caseweighted threshold of $81,518 by
$5,432.
The applicant conducted additional
analyses to demonstrate it meets the
cost criterion. In these analyses, the
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applicant repeated the cost analysis
above with one analysis of cases
reporting the ICD–10–PCS procedures
codes for Peripheral DES procedures
and the other analysis with cases
reporting the ICD–10–PCS procedures
codes for Peripheral BMS procedures. In
each of these additional sensitivity
analyses, the final inflated average caseweighted standardized charge per case
exceeded the average case-weighted cost
threshold amount. We are inviting
public comments on whether EluviaTM
meets the cost criterion.
With regard to the substantial clinical
improvement criterion, the applicant
asserted that the EluviaTM Drug-Eluting
Vascular Stent System represents a
substantial clinical improvement over
existing technologies because it
achieves superior primary patency;
reduces the rate of subsequent
therapeutic interventions; decreases the
number of future hospitalizations or
physician visits; reduces hospital
readmission rates; reduces the rate of
device-related complications; and
achieves similar functional outcomes
and EQ–5D index values while
associated with half the rate of target
lesion revascularizations (TLRs).
The applicant submitted the results of
the MAJESTIC study, a single-arm, firstin-human study of EluviaTM. The
MAJESTIC 164 study is a prospective,
multi-center, single-arm, open-label
study. According to the applicant, the
MAJESTIC study demonstrated longterm treatment durability among
patients whose femoropopliteal arteries
were treated with the EluviaTM stent.
The applicant asserts that the
MAJESTIC study demonstrates the
sustained impact of the EluviaTM stent
on primary patency. The MAJESTIC
study enrolled 57 patients who had
been diagnosed with symptomatic lower
limb ischemia and lesions in the
superficial femoral artery or proximal
popliteal artery. Efficacy measures at 2
years included primary patency, defined
as duplex ultrasound peak systolic
velocity ratio of less than 2.5 and the
absence of target lesion
revascularization (TLR) or bypass.
Safety monitoring through 3 years
included adverse events and TLR. The
164 Mu
¨ ller-Hu¨lsbeck, S., et al., ‘‘Long-Term
Results from the MAJESTIC Trial of the Eluvia
Paclitaxel-Eluting Stent for Femoropopliteal
Treatment: 3-Year Follow-up,’’ Cardiovasc Intervent
Radiol, December 2017, vol. 40(12), pp. 1832–1838.
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24-month clinic visit was completed by
53 patients; 52 had Doppler ultrasound
evaluable by the core laboratory, and 48
patients had radiographs taken for stent
fracture analysis. The 3-year follow-up
was completed by 54 patients. At 2
years, 90.6 percent (48/53) of the
patients had improved by 1 or more
Rutherford categories as compared with
the pre-procedure level without the
need for TLR (when those with TLR
were included, 96.2 percent sustained
improvement); only 1 patient exhibited
a worsening in level, 66.0 percent (35/
53) of the patients exhibited no
symptoms (category 0) and 24.5 percent
(13/53) had mild claudication (category
1) at the 24-month visit. Mean ABI
improved from 0.73 ± 0.22 at baseline to
1.02 ± 0.20 at 12 months and 0.93 ± 0.26
at 24 months. At 24 months, 79.2
percent (38/48) of the patients had an
ABI increase of at least 0.1 compared
with baseline or had reached an ABI of
at least 0.9. The applicant also noted
that at 12 months the Kaplan–Meier
estimate of primary patency was 96.4
percent.
With regard to the EluviaTM stent
achieving superior primary patency, the
applicant submitted the results of the
IMPERIAL 165 study in which the
EluviaTM stent is compared, head-tohead, to the Zilver® PTX Drug-Eluting
stent. The IMPERIAL study is a global,
multi-center, randomized controlled
trial consisting of 465 subjects. Eligible
patients were aged 18 years old or older
and had a diagnosis of symptomatic
lower-limb ischaemia, defined as
Rutherford Category 2, 3, or 4 and
stenotic, restenotic (treated with a drugcoated balloon greater than 12 months
before the study or standard
percutaneous transluminal angioplasty
only), or occlusive lesions in the native
superficial femoral artery or proximal
popliteal artery, with at least 1
infrapopliteal vessel patent to the ankle
or foot. Patients had to have stenosis of
70 percent or more (via angiographic
assessment), vessel diameter between 4
mm and 6 mm, and total lesion length
between 30 mm and 140 mm.
Patients who had previously stented
target lesion/vessels treated with drugcoated balloon less than 12 months
prior to randomization/enrollment and
patients who had undergone prior
surgery of the SFA/PPA in the target
limb to treat atherosclerotic disease
were excluded from the study. Two
concurrent single-group (EluviaTM only)
165 Gray, W.A., et al., ‘‘A polymer-coated,
paclitaxel-eluting stent (Eluvia) versus a polymerfree, paclitaxel-coated stent (Zilver PTX) for
endovascular femoropopliteal intervention
(IMPERIAL): A randomised, non-inferiority trial,’’
Lancet, September 24, 2018.
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sub-studies were done: A non-blinded,
non-randomized pharmacokinetic substudy and a non-blinded, nonrandomized study of patients who had
been diagnosed with long lesions
(greater than 140 mm in diameter). The
IMPERIAL study is a prospective, multicenter, single-blinded randomized,
controlled (RCT) non-inferiority trial.
Patients were randomized (2:1) to
implantation of either a paclitaxeleluting polymer stent (EluviaTM) or a
paclitaxel-coated stent (Zilver® PTX)
after the treating physician had
successfully crossed the target lesion
with a guide wire. The primary
endpoints of the study are Major
Adverse Events defined as all causes of
death through 1 month, Target Limb
Major Amputation through 12 months
and/or Target Lesion Revascularization
(TLR) through 12 months and primary
vessel patency at 12 months postprocedure. Secondary endpoints
included the Rutherford categorization,
Walking Impairment Questionnaire, and
EQ–5D assessments at 1 month and 6
months post-procedure. Patient
demographic and characteristics were
balanced between EluviaTM stent and
Zilver® PTX stent groups.
The applicant noted that lesion
characteristics for the patients in the
EluviaTM stent versus the Zilver® PTX
stent arms were comparable. Clinical
follow-up visits related to the study
were scheduled for 1 month, 6 months,
and 12 months after the procedure, with
follow-up planned to continue through
5 years, including clinical visits at 24
months and 5 years and clinical or
telephone follow-up at 3 and 4 years.
The applicant asserted that in the
IMPERIAL study the EluviaTM stent
demonstrated superior primary patency
over the Zilver® PTX stent, 86.8 percent
versus 77.5 percent, respectively
(p=0.0144). The non-inferiority primary
efficacy endpoint was also met. The
applicant asserts that the SFA presents
unique challenges with respect to
maintaining long-term patency. There
are distinct pathological differences
between the SFA and coronary arteries.
The SFA tends to have higher levels of
calcification and chronic total
occlusions when compared to coronary
arteries. Following an intervention
within the SFA, the SFA produces a
healing response which often results in
restenosis or re-narrowing of the arterial
lumen. This cascade of events leading to
restenosis starts with inflammation,
followed by smooth muscle cell
proliferation and matrix formation.166
166 Forrester, J.S., Fishbein, M., Helfant, R., Fagin,
J., ‘‘A paradigm for restenosis based on cell biology:
clues for the development of new preventive
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Because of the unique mechanical forces
in the SFA, this restenotic process of the
SFA can continue well beyond 300 days
from the initial intervention. Results
from the IMPERIAL study showed that
primary patency at 12 months, by
Kaplan-Meier estimate, was
significantly greater for EluviaTM than
for Zilver® PTX, 88.5 percent and 79.5
percent, respectively (p=0.0119).
According to the applicant, these results
are consistent with the 96.4 percent
primary patency rate at 12 months in
the MAJESTIC study.
The IMPERIAL study included two
concurrent single-group (EluviaTM only)
sub-studies: A non-blinded, nonrandomized pharmacokinetic sub-study
and a non-blinded, non-randomized
study of patients with long lesions
(greater than 140 mm in diameter). For
the pharmacokinetic sub-study, patients
had venous blood drawn before stent
implantation and at intervals ranging
from 10 minutes to 24 hours post
implantation, and again at either 48
hours or 72 hours post implantation.
The pharmacokinetics sub-study
confirmed that plasma paclitaxel
concentrations after EluviaTM stent
implantation were well below
thresholds associated with toxic effects
in studies in patients who had been
diagnosed with cancer (0.05 mM or ∼43
ng/mL).
The IMPERIAL sub-study long lesion
subgroup consisted of 50 patients with
average lesion length of 162.8 mm that
were each treated with two EluviaTM
stents. According to the applicant, 12month outcomes for the long lesion
subgroup are 87 percent primary
patency and 6.5 percent Target Lesion
Revascularization (TLR). According to
the applicant, in a separate subgroup
analysis of patients 65 years old and
older (Medicare population), the
primary patency rate in the EluviaTM
stent group is 92.6 percent, compared to
75.0 percent for the Zilver® PTX stent
group (p=0.0386).
With regard to reducing the rate of
subsequent therapeutic interventions,
secondary outcomes in the IMPERIAL
study included repeat re-intervention on
the same lesion, target lesion
revascularization (TLR). The rate of
subsequent interventions, or TLRs, in
the EluviaTM stent group was 4.5
percent compared to 9.0 percent in the
Zilver® PTX stent group. The applicant
asserted that the TLR rate in the
EluviaTM group represents a substantial
reduction in re-intervention on the
target lesion compared to that of the
Zilver® PTX stent group.
therapies,’’ J Am Coll Cardiol, March 1, 1991, vol.
17(3), pp. 758–69.
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With regard to decreasing the number
of future hospitalizations or physician
visits, the applicant asserted that the
substantial reduction in the lesion
revascularization rate led to a reduced
need to provide additional intensive
care, distinguishing the EluviaTM group
from the Zilver® PTX stent group. In the
IMPERIAL study, EluviaTM-treated
patients required fewer days of rehospitalization. Patients in the EluviaTM
group averaged 13.9 days of rehospitalization for all adverse events
compared to 17.7 days of rehospitalization for patients in the
Zilver® PTX stent group. Patients in the
EluviaTM group were re-hospitalized for
2.8 days for TLR/Total Vessel
Revascularization (TVR) compared to
7.1 days in the Zilver® PTX stent group.
And lastly, patients in the EluviaTM
group were re-hospitalized for 2.7 days
for procedure/device-related adverse
events compared to 4.5 days from the
Zilver® PTX stent group.
With regard to reducing hospital
readmission rates, the applicant asserted
that patients treated in the EluviaTM
group experienced reduced rates of
hospital readmission following the
index procedure compared to those in
the Zilver® PTX stent group. Hospital
readmission rates at 12 months were 3.9
percent for the EluviaTM group
compared to 7.1 percent for the Zilver®
PTX stent group. Similar results were
noted at 1 and 6 months; 1.0 percent
versus 2.6 percent and 2.4 percent
versus 3.8 percent, respectively.
With regard to reducing the rate of
device-related complications, the
applicant asserted that while the rates of
adverse events were similar in total
between treatment arms in the
IMPERIAL study, there were measurable
differences in device-related
complications. Device-related adverseevents were reported in 8 percent of the
patients in the EluviaTM group
compared to 14 percent of the patients
in the Zilver® PTX stent group.
Lastly, with regard to achieving
similar functional outcomes and EQ–5D
index values, while associated with half
the rate of TLRs, the applicant asserted
that narrowed or blocked arteries within
the SFA can limit the supply of oxygenrich blood throughout the lower
extremities, causing pain or discomfort
when walking (claudication). The
applicant further asserted that
performing physical activities is often
challenging because of decreased blood
supply to the legs, typically causing
symptoms to become more challenging
over time unless treated. While
functional outcomes appear similar
between the EluviaTM and Zilver® PTX
stent groups at 12 months, these
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improvements for the Zilver® PTX stent
group are associated with twice as many
TLRs to achieve similar EQ–5D index
values.167 Secondary endpoints
improved after stent implantation and
were generally similar between the
groups. At 12 months, of the patients
with complete Rutherford assessment
data, 241 (86 percent) of 281 patients in
the EluviaTM group and 120 (85 percent)
of 142 patients in the Zilver® PTX group
had symptoms reported as Rutherford
Category 0 or 1 (none to mild
claudication). The mean ankle-brachial
index was 1.0 (SD 0.2) in both groups
at 12 months (baseline mean anklebrachial index 0.7 [SD 0.2] for EluviaTM;
0.8 [0.2] for Zilver® PTX), with
sustained hemodynamic improvement
for approximately 80 percent of the
patients in both groups. Walking
function improved significantly from
baseline to 12 months in both groups, as
measured with the Walking Impairment
Questionnaire and the 6-minute walk
test. In both groups, the majority of
patients had sustained improvement in
the mobility dimension of the EQ–5D
and roughly half had sustained
improvement in the pain or discomfort
dimension. No significant betweengroup differences were observed in the
Walking Impairment Questionnaire, 6minute walk test, or EQ–5D. Secondary
endpoint results for the EluviaTM stent
and Zilver® PTX stent groups are as
follows:
• Hemodynamic improvement in
walking—80.8 percent versus 78.7
percent;
• Walking impairment questionnaire
scores (change from baseline)—40.8
(36.5) versus 35.8 (39.5);
• Distance (change from baseline)—
33.2 (38.3) versus 29.5 (38.2);
• Speed (change from baseline)—18.3
(29.5) versus 18.1 (28.7);
• Stair climbing (change from
baseline)—19.4 (36.7) versus 21.1 (34.6);
and
• 6-Minute walk test distance (m)
(change from baseline)—44.5 (119.5)
versus 51.8 (130.5).
We are concerned that the IMPERIAL
study, which showed significant
differences in primary patency at 12
months, was designed for noninferiority and not superiority. We also
note the results of a recently published
meta-analysis of randomized controlled
trials of the risk of death associated with
167 Gray, W.A., Keirse, K., Soga, Y., et al., ‘‘A
polymer-coated, paclitaxel-eluting stent (Eluvia)
versus a polymer-free, paclitaxel-coated stent
(Zilver PTX) for endovascular femoropopliteal
intervention (IMPERIAL): a randomized, noninferiority trial,’’ Lancet, 2018, published online
Sept 22, https://dx.doi.org/10.1016/S01406736(18)32262-1.
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the use of paclitaxel-coated balloons
and stents in the femoropopliteal artery
of the leg, which found that there is
increased risk of death following
application of paclitaxel-coated balloons
and stents in the femoropopliteal artery
of the lower limbs and that further
investigations are urgently warranted,168
although the EluviaTM system was not
included in the meta-analysis. We are
inviting public comments on whether
the EluviaTM system meets the
substantial clinical improvement
criterion, including the implications of
the conclusion of the meta-analysis
results with respect to a finding of
substantial clinical improvement for
EluviaTM.
Below we summarize and respond to
a written public comment we received
in response to the New Technology
Town Hall meeting notice published in
the Federal Register regarding the
substantial clinical improvement
criterion for EluviaTM.
Comment: With regard to the
applicant’s assertion that the EluviaTM
stent achieves statistically superior
primary patency over the Zilver® PTX
stent, the commenter noted that the
non-inferior primary patency of
EluviaTM as compared to the Zilver®
PTX stent was the primary efficacy
endpoint of the IMPERIAL study. The
commenter stated that the authors of the
IMPERIAL study published a paper in
The Lancet that noted a post-hoc
analysis that suggested that EluviaTM’s
primary patency was superior to Zilver®
PTX stent. The commenter further noted
that in the FY 2020 New Technology
Add-On Payment Town Hall
presentation, the EluviaTM Drug-Eluting
Vascular Stent System’s presenter used
this analysis as a predicator to
substantiate the substantial clinical
improvement provided by the use of the
EluviaTM stent. The commenter
questioned the basis of the applicant’s
assertion of substantial clinical
improvement contingent upon this
rationale because, according to the
commenter, primary patency in this
study was measured by duplex
ultrasound obtained on each enrollee at
12 months. The commenter indicated
that this is an endpoint based on
imaging, and in and of itself, may not
have any direct clinical significance.
The commenter suggested that a loss of
patency alone, without an associated
recurrence or increase of clinical signs
or symptoms (pain, walking
impairment, ulcer development, etc.,) is
168 Katsanos, K., et al., ‘‘Risk of Death Following
Application of Paclitaxel-Coated Balloons and
Stents in the Femoropopliteal Artery of the Leg: A
Systematic Review and Meta-Analysis of
Randomized Controlled Trials,’’ JAHA, vol. 7(24).
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not a clinically-relevant measure. As
such, the commenter believed that the
rationale used in that post-hoc analysis
to determine superiority in primary
patency does not offer support for an
assertion of clinical improvement. The
commenter noted that it is an interesting
finding, but as discussed further below,
the commenter does not believe this
translates into a representation of
substantial clinical improvement. The
commenter further stated that ‘‘the prespecified primary endpoint of the study
indicated non-inferiority of primary
patency of EluviaTM when compared to
the Zilver® PTX stent, with a nonsignificant difference of 5.3 percent (95
percent confidence interval: ¥2.5
percent, 13.1 percent); and this
information was not included in the
New Technology Town Hall
presentation’’.
With regard to the applicant’s
assertion that the EluviaTM stent reduces
the rate of subsequent therapeutic
interventions by 50 percent, the
commenter noted that ‘‘Subsequent
Therapeutic Interventions’’ was not
further defined in the New Technology
Town Hall presentation nor in the
IMPERIAL study. The commenter stated
that it would appear from the
presentation materials, however, that it
is referring specifically to ‘‘target lesion
revascularizations (TLR)’’.
The commenter referred to the
EluviaTM New Technology Town Hall
presentation slide deck, and stated that
the presenter displayed graphs showing
‘‘Clinically-driven TLR Rates’’ for both
the EluviaTM stent and the Zilver® PTX
stent. The commenter stated that the
graph showed a TLR rate for EluviaTM
of 4.5 percent, and a corresponding TLR
rate of 9.0 percent for the Zilver® PTX
stent, with that slide also displaying a
p-value of 0.0672. The commenter
explained that because a p-value of less
than 0.05 is widely accepted in the
scientific and clinical communities as a
threshold to establish a statistically
significant difference, a p-value of
0.0672 suggests that the difference
between the devices’ TLR rates is not
statistically significant. The commenter
believed that, given that the difference
in TLR rates is not statistically
significant, no conclusions can or
should be drawn regarding substantial
clinical improvement based on these
TLR rates. The commenter stated that
the Lancet study paper itself reported a
TLR rate of 4.5 percent for EluviaTM and
8.7 percent for the Zilver® PTX stent,
with an even higher p-value of
0.0746,169 and the commenter believes
169 Gray,
W.A., et al., ‘‘A polymer-coated,
paclitaxel-eluting stent (Eluvia) versus a polymer-
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that the difference in TLR rates is more
questionably meaningful. With regard to
the applicant’s assertion that EluviaTM
achieves similar functional outcomes
with half as many TLRs (repeat
procedures) at 1 year, the commenter
stated that based on the data presented
during the New Technology Town Hall
presentation and discussed at length in
the Lancet study paper, ‘‘functional’’
clinical outcomes between the EluviaTM
and the Zilver® PTX patients were
similar. These clinical outcome
measures included walking function
(assessed with the Walking Impairment
Questionnaire and 6-minute walk test),
Rutherford scores, EQ–5D quality of life
scores, and ankle-brachial index
measures. The commenter believed that
these similar results dispute the
conclusion that EluviaTM represents a
substantial clinical improvement
compared to the Zilver® PTX stent.
Further, the commenter stated that this
section of the presentation once again
references and is based on the difference
in TLR rates. As noted above, the
commenter believed that this difference
in rates was not demonstrated to be
significant and, therefore, should not be
the basis for a conclusion of clinical
improvement. Additionally, the
commenter also noted that, although not
described in the New Technology Town
Hall presentation, the Lancet
publication indicates that the
calculations of clinical improvement
and hemodynamic improvement already
account for TLR as a failure. Therefore,
the commenter believed that stating that
the outcomes are similar with half as
many TLRs is misleading. The
commenter further stated that similar
clinical outcomes and TLR rates do
support the study’s conclusions of noninferiority, but should not form the basis
for an assertion of superiority.
With regard to the applicant’s
assertion that the use of the EluviaTM
stent reduces hospital readmission rates,
the commenter noted that during the
New Technology Town Hall
presentation, the presenter noted that
the EluviaTM group had a hospital
readmission rate at 12 months of 3.9
percent compared to the Zilver® PTX
group’s rate of 7.1 percent, and that no
p-value was included on the slide used
for the presentation to offer an
assessment of the statistical significance
of this difference. The commenter noted
that this particular data comparison was
not discussed in the main body of the
Lancet paper, but could be found in the
free, paclitaxel-coated stent (Zilver PTX) for
endovascular femoropopliteal intervention
(IMPERIAL): a randomised, non-inferiority trial,’’
Lancet, September 24, 2018.
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online appendix. The commenter
further noted that as with the
presentation slide, no p-value was
offered in the appendix. The commenter
indicated that its statistics team did,
however, calculate a p-value of 0.17 for
this comparison. The commenter noted
that a p-value of 0.17 is well above the
standard p-value threshold of 0.05
needed to draw a conclusion of
statistical significance. Given that this
difference is not statistically significant,
the commenter believed that based on
this submitted data, this assertion
should also not be used to substantiate
a representation of substantial clinical
improvement for the EluviaTM stent.
With regards to longer-term data on
the Zilver® PTX stent and the EluviaTM
stent, the commenter noted that in the
commentary in The Lancet paper
accompanying the IMPERIAL study,
Drs. Salvatore Cassese and Robert Byrne
write that a follow-up duration of 12
months is insufficient to assess late
failure, which is not infrequently
observed. According to Drs. Cassese and
Byrne, the preclinical models of
restenosis after stenting of peripheral
arteries have shown that stents
permanently overstretch the arterial
wall, thus stimulating persistent
neointimal growth, which might cause a
catch-up phenomenon and late failure.
The paper noted that in this regard, data
on outcomes beyond 1 year will be
important to confirm the durability of
the efficacy of the EluviaTM stent.170 The
commenter stated that at this point in
time, very limited longer-term data is
available on the use of the EluviaTM
stent and that the IMPERIAL study
offers only 12-month data, although data
out to 3 years has been published from
the relatively small 57-patient singlearm MAJESTIC study. The commenter
noted that the MAJESTIC study
demonstrates a decrease in primary
patency from 96.4 percent at 1 year to
83.5 percent at 2 years; and a doubling
in TLR rates from 1 year to 2 years (3.6
percent to 7.2 percent) and again from
2 years to 3 years (7.2 percent to 14.7
percent). The commenter stated that this
is not inconsistent with Drs. Cassese
and Byrne’s commentary regarding late
failure, and that the relatively small,
single-arm design of the study does not
lend itself well to direct comparison to
other SFA treatment options such as the
Zilver® PTX stent.
The commenter stated that EluviaTM’s
lack of long-term data contrasts with 5year data that is available from the
Zilver® PTX stent’s pivotal 479-patient
170 Cassese, S., & Byrne, R.E., ‘‘Endovascular
stenting in femoropopliteal arteries,’’ The Lancet,
2018, vol. 392(10157), pp. 1491–1493.
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RCT comparing the use of the Zilver®
PTX stent to angioplasty (with a subrandomization comparing provisional
use of Zilver® PTX stenting to bare
metal Zilver stenting in patients
experiencing an acute failure of
percutaneous transluminal angioplasty
(PTA)). The commenter believed that
these 5-year data demonstrate that the
superiority of the use of the Zilver® PTX
stent demonstrated at 12 and 24 months
is maintained through 5 years compared
to PTA and provisional bare metal
stenting, and actually increases rather
than decreases over time. The
commenter also believed that, given that
these stent devices are permanent
implants and they are used to treat a
chronic disease, long-term data is
important to fully understand an SFA
stent’s clinical benefits. The commenter
stated that with 5-year data available to
support the ongoing safety and
effectiveness of the use of the Zilver®
PTX stent, but no such corresponding
data available for the use of the
EluviaTM stent, it seems incongruous to
suggest that the use of the EluviaTM
stent results in a substantial clinical
improvement compared to the Zilver®
PTX stent.
The commenter further stated that, in
addition to the very limited long-term
data available for the EluviaTM stent,
there is also a lack of clinical data for
the use of the EluviaTM stent to confirm
the benefit of the device outside of a
strictly controlled clinical study
population. The commenter stated that
in contrast, the Zilver® PTX stent has
demonstrated comparable outcomes
across a broad patient population,
including a 787-patient study conducted
in Europe with 2-year follow-up and a
904-patient study of all-comers (no
exclusion criteria) in Japan with 5-year
follow-up completed. The commenter
believed that with no corresponding
data for the use of the EluviaTM stent in
a broad patient population, it seems
unreasonable to suggest that the use of
the EluviaTM stent results in a
substantial clinical improvement
compared to the Zilver® PTX stent.
Response: We appreciate the
information provided by the
commenter. We will take these
comments into consideration when
deciding whether to approve new
technology add-on payments for the
EluviaTM Drug-Eluting Vascular Stent
System for FY 2020.
g. ELZONRISTM (tagraxofusp, SL–401)
Stemline Therapeutics submitted an
application for new technology add-on
payments for ELZONRISTM for FY 2020.
ELZONRISTM (tagraxofusp, SL–401) is a
targeted therapy for the treatment of
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blastic plasmacytoid dendritic cell
neoplasm (BPDCN) administered via
infusion. The applicant stated that
BPDCN, previously known as blastic
natural killer (NK) cell leukemia/
lymphoma, is a rare, highly aggressive
hematologic malignancy with a median
overall survival of 8 to 14 months from
diagnosis that occurs predominantly in
the elderly (median age at diagnosis is
67 years old) and in male patients (75
percent). The applicant cited data from
the Surveillance, Epidemiology, and
End Results Program (SEER) registry
that the estimated incidence of BPDCN
is less than 100 new cases per year in
the U.S. However, the applicant believes
that registries likely underestimate the
true incidence of BPDCN due to
changing nomenclature and lack of a
standardized disease characterization
prior to 2008, and that additional
patients may be eligible for treatment.
According to the applicant,
ELZONRISTM is a targeted therapy
directed to the interleukin-3 receptor
(IL–3 receptor). The IL–3 receptor is
composed of two chains: An alpha
chain, also known as CD123, and a b
chain. Together, the two chains form a
high-affinity cell surface receptor for
interleukin-3 (IL–3). The binding of IL–
3 to the IL–3 receptor initiates signaling
that stimulates the proliferation and
differentiation of certain hematopoietic
cells. The alpha unit of the IL–3
receptor (also known as CD123) has also
been found to be expressed in a variety
of cancers, including BPDCN, a
malignancy derived from plasmacytoid
dendrite cells (pDCs).
The applicant explained that
ELZONRISTM is a recombinant protein
composed of human IL–3 genetically
fused to a truncated diphtheria toxin
(DT) payload. The applicant stated that
ELZONRISTM binds with high affinity to
the IL–3 receptor and is engineered such
that IL–3 replaces the native receptorbinding domain of DT and thereby acts
like a homing device, targeting the DT
cytotoxic payload specifically to CD123expressing cells. Upon binding to the
IL–3 receptor, ELZONRISTM is
internalized into endosomes, where the
low pH environment enables proteolytic
cleavage and release of the catalytic
domain of DT into the cytoplasm. The
target of DT’s catalytic domain is
elongation factor 2 (EF–2), a key protein
involved in protein translation.
Inactivation of EF–2 leads to
termination of protein synthesis, which
ultimately results in cell death. The
applicant asserted that ELZONRISTM is
engineered such that IL–3 targets the
cytotoxic payload specifically to CD123expressing cells.
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The applicant indicated that the
regimens historically employed for the
treatment of patients who have been
diagnosed with BPDCN have generally
consisted of those regimens, or modified
versions of those regimens, used for
aggressive hematologic malignancies,
including regimens normally used in
the treatment of acute lymphoblastic
leukemia, acute myeloid leukemia, and
lymphoma. The applicant summarized
the mechanisms of various drugs and
regimens currently used to treat BPDCN,
including:
• Etoposide, which the applicant
explained works by inhibiting
topoisomerase II, which in turn disrupts
the ligation step of the cell cycle,
leading to apoptosis and cell death.
• Hyper CVAD, which the applicant
explained is a regimen consisting of
cyclophosphamide, vincristine and
doxorubicin, dexamethasone,
methotrexate, and cytarabine.
Cyclophosphamide damages DNA by
binding to it and causing the formation
of cross-links. Vincristine prevents cell
duplication by binding to the protein
tubulin. Dexamethasone is a steroid to
counteract side effects. Methotrexate is
an antimetabolite that competitively
inhibits an enzyme that is used in in
folate synthesis, arresting cell
reproduction.
• CHOP, which the applicant
explained is a regimen of
cyclophosphamide, doxorubicin,
vincristine, and prednisone.
• AspaMetDex L-asparaginase,
Methotrexate, Dexamethasone. The
applicant explained that L-asparaginase
catalyzes the conversion of L-asparagine
to aspartic acid and ammonia, depriving
leukemic cells of L-asparagine, leading
to cell death.
• Ara-C regimen (cytarabine), which
the applicant explained interferes with
synthesis of DNA by altering the sugar
component of nucleosides.
The applicant stated that there are no
approved therapies or established
standards of care for the treatment of
patients who have been diagnosed with
BPDCN, either for treatment-naive or
previously-treated patients. The
applicant asserted that current
treatments for patients who have been
diagnosed with BPDCN might
temporarily help to slow disease
progression, but they fail to eradicate
cancer stem cells (CSCs), and no
specific treatment regimen has been
shown to be effective or is
recommended. According to the
applicant, only half of reported patients
show initial response to the regimens
historically employed for treatment of a
diagnosis of BPDCN, and these reported
responses do not generally appear to be
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durable, with many patients
experiencing a quick relapse. Overall
survival is typically low, ranging from 8
to 14 months across various treatment
regimens.
With respect to the newness criterion,
according to the applicant, the FDA
accepted the applicant’s Biologics
License Application (BLA) filing for
ELZONRISTM in August 2018 for the
treatment of patients who have been
diagnosed with blastic plasmacytoid
dendritic cell neoplasm. The FDA
granted this application Breakthrough
Therapy, Priority Review, and Orphan
Drug designations, and on December 21,
2018, approved ELZONRISTM for the
treatment of blastic plasmacytoid
dendritic cell neoplasm in adults and in
pediatric patients 2 years old and older.
Currently, there are no ICD–10–PCS
procedure codes to uniquely identify
procedures involving ELZONRISTM. We
note that the applicant has submitted a
request for approval for a unique ICD–
10–PCS code for the administration of
ELZONRISTM beginning in FY 2020.
As discussed above, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and would not be
considered ‘‘new’’ for purposes of new
technology add-on payments.
With regard to the first criterion,
whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome, according to the
applicant, ELZONRISTM treats BPDCN
via target antigen specificity, attacking
cells with the IL–3 receptor (CD123)
overexpressed in cancer stem cells
(CSCs) and tumor bulk, but minimally
expressed or absent on normal
hematopoietic stem cells. The applicant
indicated that ELZONRISTM’s
mechanism of action involves a
receptor-mediated endocytosis,
inhibition of protein synthesis, and
interference with IL–3 signal
transduction pathways, leading to
growth arrest and apoptosis in leukemia
blasts and CSCs. The applicant asserted
that current BPDCN treatments are not
targeted, and their mechanisms of action
aim to arrest quickly-dividing cells
through DNA alkylation and
intercalation, as well as through protein
binding to prevent cell duplication. The
applicant also asserted that current
treatments for patients who have been
diagnosed with BPDCN might
temporarily help to slow disease
progression, but they fail to eradicate
CSCs. The applicant stated that in
contrast, ELZONRISTM utilizes a
payload that is not cell cycle-dependent
and, therefore, it is able to kill not just
highly proliferative tumor bulk, but also
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the relatively quiescent CSCs. The
applicant noted that there are similar
targeted therapies currently under
investigation, although the applicant
asserted that these other therapies are
all in much earlier stages of
development. Therefore, the applicant
asserted that ELZONRISTM utilizes a
different mechanism of action than
currently available treatment options.
With respect to the second criterion,
whether a product is assigned to the
same or a different MS–DRG, the
applicant stated that because BPDCN is
a distinct and rare hematologic
malignancy and there are no other
approved therapies or established
standard-of-care, cases representing
patients receiving treatment involving
ELZONRISTM would not be assigned to
the same MS–DRG(s) when compared to
cases representing patients receiving
treatment involving existing
technologies. We note that, as explained
below in the discussion of the cost
criterion, the applicant stated that
potential cases representing patients
who may be eligible for treatment
involving ELZONRISTM would be
assigned to MS–DRGs that contain cases
representing patients who are receiving
chemotherapy without acute leukemia
as a secondary diagnosis.
With respect to the third criterion,
whether the new use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population, according to
the applicant, the use of ELZONRISTM
would involve treatment of a dissimilar
patient population as compared to other
therapies. The applicant stated that the
World Health Organization standardized
the current name and specific category
of disease for BPDCN in 2016,
designating it as a distinct entity within
the acute myeloid neoplasms and acute
leukemias. The applicant indicated that
no BPDCN standard-of-care has been
established and currently patients who
have been diagnosed with BPDCN are
being treated with therapies used for
other diseases. Therefore, the applicant
asserted that ELZONRISTM would be
used in the treatment of a new patient
population because the patient
population in question is
distinguishable from others by the ICD–
10–CM diagnosis code specific to
BPDCN: C86.4 (Blastic NK-cell
lymphoma), for which there is no
specific treatment regimen that has been
shown to be effective or is
recommended, as stated above.
As summarized above, the applicant
maintains that ELZONRISTM meets the
newness criterion and is not
substantially similar to existing
technologies because it has a unique
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19319
mechanism of action; potential cases
representing patients who may be
eligible for treatment involving the use
of ELZONRISTM would be assigned to a
different MS–DRG when compared to
existing technologies; and the use of the
technology would treat a new patient
population. We are inviting public
comments on whether ELZONRISTM is
substantially similar to any existing
technologies and whether ELZONRISTM
meets the newness criterion.
With regard to the cost criterion, the
applicant used the FY 2017 MedPAR
Hospital Limited Data Set (LDS) to
assess the MS–DRGs to which cases
representing potential patient
hospitalizations that may be eligible for
treatment involving ELZONRISTM
would most likely be assigned. The
applicant identified these potential
cases using the ICD–10–CM diagnosis
code C86.4 (Blastic NK-cell lymphoma),
which the applicant stated is another
name for BPDCN. The applicant
identified 65 cases reporting ICD–10–
CM diagnosis code C86.4 spanning 28
different MS–DRGs. The applicant
asserted that cases representing patients
hospitalized who may be eligible to
receive treatment involving
ELZONRISTM would most likely appear
in MS–DRGs 847 (Chemotherapy
without Acute Leukemia as Secondary
Diagnosis with CC) and 846
(Chemotherapy without Acute
Leukemia as Secondary Diagnosis with
MCC). Therefore, the applicant limited
the analysis to the cases in MS–DRG 847
and MS–DRG 846 that also reported the
ICD–10–CM diagnosis code C86.4. The
cases identified in these two MS–DRGs
accounted for 24 (37 percent) of the 65
cases reporting ICD–10–CM diagnosis
code C86.4.
The applicant indicated that because
the number of cases reporting ICD–10–
CM diagnosis code C86.4 is so low and
it was difficult to discern the costs of
the predecessor therapies that would be
replaced by the use of ELZONRISTM, the
applicant performed the cost criterion
analysis under two different scenarios.
Both scenarios use the 24 cases
identified in the FY 2017 MedPAR data
and increase the sample size by using an
additional 18 cases identified in the FY
2016 MedPAR data mapping to the same
MS–DRGs and reporting the same ICD–
10–CM diagnosis code, for a combined
total of 42 cases with an average caseweighted unstandardized charge per
case of $67,947. For the first scenario,
because the applicant was unable to
determine the appropriate costs for the
predecessor therapies, the applicant did
not remove any predecessor charges
from the cases analyzed, although the
applicant noted that it might be extreme
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to assume that no products or services
would be replaced if ELZONRISTM were
used. For the second scenario, the
applicant removed all charges from the
cases so that only ELZONRISTM was
used as the cost of the case. The
applicant characterized this as a
conservative assumption, as it assumes
that the only charges related to these
cases would be the cost of
ELZONRISTM.
The applicant then standardized the
FY 2017 charges using the FY 2017
impact file and then inflated the charges
to FY 2019 using the 2-year inflation
factor of 8.59 percent (1.085868) that the
applicant indicated was published in
the FY 2019 IPPS/LTCH PPS final rule.
The applicant standardized FY 2016
charges using the FY 2016 impact file
and then inflated the charges to FY 2019
using a 3-year inflation factor of 13.15
percent (1.131529), which was
calculated based on the 1-year inflation
factor (1.04205) that the applicant
indicated was listed in the FY 2019
IPPS/LTCH PPS final rule. We note that
the inflation factors used by the
applicant were the proposed 1-year and
2-year inflation factors, which were
published in the FY 2019 IPPS/LTCH
PPS final rule in the summary of FY
2019 IPPS proposals (83 FR 41718). The
final 1-year and 2-year inflation factors
published in the FY 2019 IPPS/LTCH
PPS final rule are 1.04338 and 1.08864,
respectively (83 FR 41722), and a 3-year
inflation factor calculated based on
these numbers is 1.13587. We note that
these figures were revised in the FY
2019 IPPS/LTCH PPS final rule
correction notice. The corrected final 1year and 2-year inflation factors are
1.04396 and 1.08986, respectively (83
Number of
Medicare
cases
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FY 2016 and FY 2017 MedPAR Data; No Predecessor Charges Removed
FY 2016 and FY 2017 MedPAR Data; All Predecessor Charges Removed ..
We note that the applicant used the
proposed rule values to inflate the
standardized charges. However, we
further note that even when using either
the final rule values or corrected final
rule values to inflate the charges, the
average case-weighted standardized
charge per case for each scenario
exceeded the average case-weighted
threshold amount. We are inviting
public comments on whether
ELZONRISTM meets the cost criterion.
With respect to the substantial
clinical improvement criterion, the
applicant stated that it believes
ELZONRISTM represents a substantial
clinical improvement because: (1)
ELZONRISTM is the only treatment
indicated specifically for the treatment
of patients who have been diagnosed
with BPDCN, a disease without a
defined standard-of-care; (2)
ELZONRISTM offers a treatment option
for a patient population ineligible for
aggressive chemotherapy regimens used
to treat BPDCN; (3) ELZONRISTM
exhibits high complete remission rates,
potentially superior to other regimens
used to treat a diagnosis of BPDCN; (4)
ELZONRISTM significantly improves
overall survival (OS) in the treatment of
patients diagnosed with BPDCN as
compared to currently available
treatment regimens; (5) ELZONRISTM
significantly improves clinical outcomes
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42
42
in the BPDCN patient population
because it may allow more patients to
bridge to stem cell transplantation, an
effective treatment not currently
administered to most patients due to
their inability to tolerate the requisite
conditioning therapies; (6) ELZONRISTM
exhibits a manageable profile that is
consistent over increasing patient
exposure and experience, demonstrating
a well-tolerated targeted therapy
suitable for the majority of patients who
are unable to receive intensive
chemotherapy; and (7) ELZONRISTM is
more efficient than other
chemotherapeutic drugs at killing
BPDCN in preclinical studies,
suggesting clinical benefit would also be
exhibited if head-to-head comparison
was pursued.
In support of the claim that
ELZONRISTM is the only treatment
indicated specifically for the treatment
of patients who have been diagnosed
with BPDCN, the applicant submitted a
2016 review article which indicated that
no standardized therapeutic approach
has been established yet for the
treatment of BPDCN, and the optimal
therapy remains to be defined.171
171 Pagano, L., Valentini, C.G., Grammatico, S.,
Pulsoni, A., ‘‘Blastic plasmacytoid dendritic cell
neoplasm: diagnostic criteria and therapeutical
approaches,’’ British Journal of Haematology, 2016,
vol. 174(2), pp. 188–202.
PO 00000
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FR 49844), and a 3-year inflation factor
calculated based on the corrected final
numbers is 1.13776.
The applicant then added charges for
ELZONRISTM in both scenarios. To
determine the charges for ELZONRISTM,
the applicant calculated the average per
discharge cost of ELZONRISTM inflated
by the inverse of the national average
CCR for pharmacy costs of 0.191. The
applicant then calculated an average
case-weighted standardized charge per
case for each scenario and compared it
with the average case-weighted
threshold amount. The applicant stated
that ELZONRISTM exceeded the averagecase-weighted threshold amount under
each scenario and, therefore, meets the
cost criterion. Results of the analyses of
both scenarios are summarized in the
table below:
Average
case-weighted
new
technology
add-on
payment
threshold
Final inflated
average
case-weighted
standardized
charge per
case
$52,049
52,049
$1,066,195
1,010,455
Amount
exceeded
threshold
$1,014,146
958,406
Second, in support of the claim that
ELZONRISTM offers a treatment option
for a patient population ineligible for
aggressive chemotherapy regimens used
to treat BPDCN, the applicant submitted
a 2016 review of treatment modalities
for patients who have been diagnosed
with BPDCN to establish that there is a
clear unmet need for targeted treatment.
The study reported that seven BPDCN
patients treated with Hyper-CVAD, an
aggressive chemotherapy regimen,
achieved an overall response of 86
percent and complete remission of 67
percent; 172 however, the applicant
noted that the evidence is limited to a
small number of patients. Another 2016
review article indicated that supportive
care or palliative chemotherapy is used
in the treatment of many patients who
have been diagnosed with BPDCN
because of their age or comorbidities,
and may be the only option for elderly
patients with a low performance status
or characterized by the presence of
relevant co-morbidities, suggesting that
targeted therapy has the potential for
improving patient outcomes.173
172 Falcone, U., Sibai, H., Deotare, U., ‘‘A critical
review of treatment modalities for blastic
plasmacytoid dendritic cell neoplasm,’’ Critical
Reviews in Oncology/Hematology, 2016, vol. 107,
pp. 156–162.
173 Pagano, L., Valentini, C.G., Grammatico, S.,
Pulsoni, A., ‘‘Blastic plasmacytoid dendritic cell
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Third, the applicant maintained that
ELZONRISTM exhibits high complete
remission rates, potentially superior to
other regimens used to treat patients
who have been diagnosed with BPDCN.
The applicant submitted a 2013
retrospective case study of patients who
had been diagnosed with BPDCN, in
which 15/41 (37 percent) of evaluable
patients achieved CR with induction
therapies; 2 partial responders
subsequently became complete
responders with consolidation therapy
(17/41: 41 percent). This study noted a
high death rate of 17 percent following
induction treatment.174 The applicant
reported prospective clinical trial data
from ELZONRISTM’s pivotal trial
(ELZONRISTM 12 mg/kg/day), which
observed a complete response plus a
complete clinical response of 72 percent
in treatment-naive patients (21/29
patients).175
Fourth, the applicant maintained that
ELZONRISTM significantly improves
overall survival (OS) in patients who
have been diagnosed with BPDCN as
compared to currently available
treatment regimens. The applicant
submitted a 2013 retrospective case
study of patients who have been
diagnosed with BPDCN, which found
that the median overall survival was just
8.7 months in 43 patients.176 The
applicant reported prospective clinical
trial data from ELZONRISTM’s pivotal
trial (ELZONRISTM 12 mg/kg/day),
which found that median overall
survival has not yet been reached, with
a median follow-up of 23 months
[0.2¥41 + months].177
Fifth, the applicant maintained that
ELZONRISTM significantly improves
clinical outcomes in the treatment of the
BPDCN patient population because it
neoplasm: diagnostic criteria and therapeutical
approaches,’’ British Journal of Haematology, 2016,
vol. 174(2), pp. 188–202.
174 Pagano, L., Valentini, C.G., Pulsoni, A., et al.,
for GIMEMA–ALWP (Gruppo Italiano Malattie
EMatologiche dell’Adulto, Acute Leukemia
Working Party), ‘‘Blastic plasmacytoid dendritic
cell neoplasm with leukemic presentation: an
Italian multicenter study,’’ Haematologica, 2013,
vol. 98(2), pp. 239–246.
175 Pemmaraju, N., et al., ‘‘Results of Pivotal
Phase 2 Trial of SL–401 in Patients with Blastic
Plasmacytoid Dendritic Cell Neoplasm (BPDCN),’’
Proceedings from the 2018 European Hematology
Association Congress, 2018, Abstract 214438.
176 Pagano, L., Valentini, C.G., Pulsoni, A., et al.,
for GIMEMA–ALWP (Gruppo Italiano Malattie
EMatologiche dell’Adulto, Acute Leukemia
Working Party), ‘‘Blastic plasmacytoid dendritic
cell neoplasm with leukemic presentation: an
Italian multicenter study,’’ Haematologica, 2013,
vol. 98(2), pp. 239–246.
177 Pemmaraju, N., et al., ‘‘Results of Pivotal
Phase 2 Clinical Trial of Tagraxofusp (SL–401) in
Patients with Blastic Plasmacytoid Dendritic Cell
Neoplasm (BPDCN),’’ Proceedings from the 2018
American Society of Hematology (ASH), 2018,
Abstract S765.
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may allow more patients to bridge to
stem cell transplantation, an effective
treatment not currently administered to
most patients due to their inability to
tolerate the requisite conditioning
therapies. The applicant submitted a
2011 retrospective study that included 6
cases of elderly patients who had been
diagnosed with BPDCN in which 4
patients underwent allogenic stem cell
transplantation (SCT) following
moderately reduced intensity of
conditioning chemotherapy regimens; 2
patients who received stem cell
transplant while in remission lived
disease free 57 months and 16 months
post-SCT, and 2 patients transplanted
with active disease achieved complete
remission but relapsed 6 and 18 months
after transplantation. Conditioning
chemotherapy regimens were reduced
in intensity due to the patients’ elderly
age.178 The applicant also submitted a
2015 retrospective study of 25 BPDCN
cases in which patients were treated
with SCT. Of 11 BPDCN patients treated
with autologous SCT and 14 patients
treated with allogenic SCT, overall
survival (OS) at 4 years was 82 percent
and 69 percent, respectively, and no
relapses were observed.179 The
applicant also submitted a 2013
retrospective study of 43 BPDCN cases
in which only 6 out of 43 patients (14
percent) received allogenic SCT.180 The
applicant submitted a 2010
retrospective study of BPDCN cases in
which only 10 out of 47 patients (21
percent) received SCT.181 The applicant
submitted a 2016 review article which
concluded that early results from
clinical trials for ELZONRISTM indicate
that it could be used to consolidate the
effects of first-line chemotherapy and/or
reduce minimal residual disease before
allogenic SCT.182 The applicant
178 Dietrich, S., et al., ‘‘Blastic plasmacytoid
dendritic cell neoplasia (BPDC) in elderly patients:
results of a treatment algorithm employing
allogeneic stem cell transplantation with
moderately reduced conditioning intensity,’’
Biology of Blood and Marrow Transplantation,
2011, vol. 17, pp. 1250–1254.
179 Aoki, T., et al., ‘‘Long-term survival following
autologous and allogenic stem cell transplantation
for Blastic plasmacytoid dendritic cell neoplasm,’’
Blood, 2015, vol. 125(23), pp. 3559–3562.
180 Pagano, L., Valentini, C.G., Pulsoni, A., et al.,
for GIMEMA–ALWP (Gruppo Italiano Malattie
EMatologiche dell’Adulto, Acute Leukemia
Working Party), ‘‘Blastic plasmacytoid dendritic
cell neoplasm with leukemic presentation: an
Italian multicenter study,’’ Haematologica, 2013,
vol. 98(2), pp. 239–246.
181 Dalle, S., et al., ‘‘Blastic plasmacytoid
dendritic cell neoplasm: is transplantation the
treatment of choice?,’’ The British Journal of
Dermatology, 2010, vol. 162, pp. 74–79.
182 Pagano, L., Valentini, C.G., Grammatico, S.,
Pulsoni, A., ‘‘Blastic plasmacytoid dendritic cell
neoplasm: diagnostic criteria and therapeutical
approaches,’’ British Journal of Haematology, 2016,
vol. 174(2), pp. 188–202.
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19321
reported prospective clinical trial data
from ELZONRISTM’s pivotal trial
(ELZONRISTM 12 mg/kg/day), for which
the median age among the patients with
BPDCN who received treatment
involving ELZONRISTM was 70 years
old, in which 45 percent (13/29) of
treatment-naı¨ve patients treated with
ELZONRISTM (12 mg/kg/day) were
bridged to SCT in remission.183
Sixth, the applicant maintained that
ELZONRISTM exhibits a manageable
profile that demonstrates a welltolerated targeted therapy suitable for
the majority of patients who are unable
to receive intensive chemotherapy. The
prospective clinical trial data from
ELZONRISTM’s pivotal trial
(ELZONRISTM 12 mg/kg/day) found that
ELZONRISTM’s side effect profile
remained consistent over increasing
patient exposure and experience. No
evidence of cumulative toxicity was
seen over multiple cycles of
ELZONRISTM.
Myelosuppression
(thrombocytopenia, anemia,
neutropenia) was modest, reversible,
and was not dose-limiting for any
patient. The most common treatmentrelated adverse events included
increased alanine aminotransferase
levels, increased aspartate
aminotransferase levels and
hypoalbuminemia, mostly restricted to
the first cycle of therapy. The most
serious side effect was capillary leak
syndrome; most reports were Grade II in
severity.184
Lastly, the applicant asserts that
ELZONRISTM is more efficient than
other chemotherapeutic drugs at killing
BPDCN in preclinical studies,
suggesting clinical benefit would also be
exhibited if head-to-head comparison to
cytotoxic agents commonly used for the
treatment of hematologic malignancies
was pursued. The applicant submitted a
2015 preclinical study that found
malignant cells from patients who had
been diagnosed with BPDCN were more
sensitive to ELZONRISTM than to a wide
variety of cytotoxic agents commonly
used for treatment of hematologic
malignancies, including drugs such as
cytosine arabinoside,
cyclophosphamide, vincristine,
dexamethasone, methotrexate, Erwinia
L-asparaginase, and asparaginase.185
183 Pemmaraju, N., et al., ‘‘Results of Pivotal
Phase 2 Trial of SL–401 in Patients with Blastic
Plasmacytoid Dendritic Cell Neoplasm (BPDCN),’’
Proceedings from the 2018 European Hematology
Association Congress, 2018, Abstract 214438.
184 Ibid.
185 Angelot-Delettre, F., Roggy, A., Frankel, A.E.,
Lamarthee, B., Seilles, E., Biichle, S., et al., ‘‘In vivo
and in vitro sensitivity of blastic plasmacytoid
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After reviewing the information
submitted by the applicant as part of its
FY 2020 new technology add-on
payment application for ELZONRISTM,
we are concerned that some of the
evidence submitted by the applicant to
demonstrate substantial clinical
improvement over existing technologies
is based on preclinical studies. We also
are unsure if the study populations in
the 2013 retrospective study that the
applicant used to compare remission
rates are composed of treatment-naı¨ve,
previously-treated, or a mix of patients.
In addition, the applicant reported
that the interim results of the Phase II
trial of treatment of BPDCN with
ELZONRIS TM demonstrated high
response rates in BPDCN, including: 90
percent overall response in treatment
naı¨ve patients (26/29) and 69 percent
overall response in relapse/refractory
patients (9/13); 72 percent complete
response plus complete clinical
response in treatment naı¨ve patients
(21/29) and 38 percent complete
response plus complete clinical
response in relapse/refractory patients
(5/13); and 45 percent of patients treated
in first-line setting were bridged to stem
cell transplant in remission (13/29).186
However, we are concerned that the
small number of patients in the study
and the lack of baseline data against
which to compare this technology may
make it more difficult to determine
whether these interim results support a
finding of substantial clinical
improvement. We also note that because
the clinical trial is ongoing and the final
outcomes are not available, we are
concerned that there may not be enough
information on the efficacy to determine
substantial clinical improvement at this
time. We also note that the applicant’s
December 2018 New Technology Town
Hall meeting presentation includes
information that differs slightly from the
application materials, and we are not
clear whether the study results
submitted with the application reflect
the most current information available.
We are inviting public comments on
whether ELZONRIS TM meets the
substantial clinical improvement
criterion, including with respect to the
concerns we have raised.
We did not receive any written
comments in response to the New
Technology Town Hall meeting notice
published in the Federal Register
dendritic cell neoplasm to SL–401, an interleukin3 receptor targeted biologic agent,’’ Haematologica,
2015, vol. 100(2), pp. 223–30.
186 Pemmaraju, N., et al., ‘‘Results of Pivotal
Phase 2 Trial of SL–401 in Patients with Blastic
Plasmacytoid Dendritic Cell Neoplasm (BPDCN),’’
Proceedings from the 2018 European Hematology
Association Congress, 2018, Abstract 214438.
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17:51 May 02, 2019
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regarding the substantial clinical
improvement criterion for ELZONRIS TM
or at the New Technology Town Hall
meeting.
h. Erdafitinib
Johnson & Johnson Health Care
Systems, Inc. (on behalf of Janssen
Oncology, Inc.) submitted an
application for new technology add-on
payments for Erdafitinib for FY 2020.
The proposed indication for the use of
Erdafitinib is the second-line treatment
of adult patients who have been
diagnosed with locally advanced or
metastatic urothelial carcinoma whose
tumors exhibit certain fibroblast growth
factor receptor (FGFR) genetic
alterations as detected by an FDAapproved test, and who have disease
progression during or following at least
one line of prior chemotherapy
including within 12 months of
neoadjuvant or adjuvant chemotherapy.
According to the applicant,
Erdafitinib is an oral pan-fibroblast
growth factor receptor (FGFR) tyrosine
kinase inhibitor being evaluated in
Phase II and III clinical trials in patients
who have been diagnosed with
advanced urothelial cancer. FGFRs are a
family of receptor tyrosine kinases,
which may be upregulated in various
tumor cell types and may be involved in
tumor cell differentiation and
proliferation, tumor angiogenesis, and
tumor cell survival. Erdafitinib is a panfibroblast FGFR inhibitor with potential
antineoplastic activity. Upon oral
administration, Erdafitinib binds to and
inhibits FGFR, which may result in the
inhibition of FGFR-related signal
transduction pathways and, therefore,
the inhibition of tumor cell proliferation
and tumor cell death in FGFRoverexpressing tumor cells.
The applicant indicated that
urothelial cancer (also known as
transitional cell cancer or bladder
cancer) is the sixth most common type
of cancer diagnosed in the U.S. In 2018,
an estimated 81,190 new cases of
bladder cancer were expected to be
diagnosed (approximately 62,380 in
men and 18,810 in women), and result
in 17,240 deaths (approximately 1 out of
5 diagnosed men and 1 out of 4
diagnosed women).187 According to the
applicant, for patients with metastatic
disease, outcomes can be dire due to the
often rapid progression of the tumor and
the lack of efficacious treatments,
especially in cases of relapsed or
refractory disease. The applicant further
stated that the relative 5-year survival
187 American Cancer Society, ‘‘Key Statistics for
Bladder Cancer,’’ www.cancer.org/cancer/bladdercancer/about/key-statistics.html.
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Sfmt 4702
rate for patients with metastatic disease
is 5 percent.
According to the applicant, in regard
to current second-line treatment,
patients who have been diagnosed with
locally advanced or metastatic
urothelial cancer have limited options
and favor anti-programmed death ligand
1/anti-programmed death 1 (anti-PD–
L1/anti-PD–1) therapies (also known as
checkpoint inhibitors) as opposed to
conventional cytotoxic chemotherapy.
With objective response rates ranging
from approximately 20 to 25 percent
with currently approved therapies and
treatments, the applicant stated that
new effective treatment options are
needed for this patient population.
Although there are five FDA-approved
immune checkpoint inhibitors, the
applicant stated that studies have
shown that not all patients benefit from
PD–1 blockade. The applicant explained
that patients harboring FGFR alternates,
which occurs at a frequency of
approximately 20 percent, are thought
to have immunologically ‘‘cold tumors’’
that are less likely to benefit from PD–
1 blockade therapy.
The applicant noted that Erdafitinib
was granted Breakthrough Therapy
designation by the FDA on March 15,
2018, for the treatment of patients who
have been diagnosed and treated for
urothelial cancer whose tumors have
certain FGFR genetic alterations.
Erdafitinib has not received FDA
premarket approval as of the time of the
development of this proposed rule.
Although there are no currently
approved ICD–10–PCS procedure codes
to uniquely identify the use of
Erdafitnib, facilities can report the oral
administration of Erdafitinib with the
use of the following ICD–10–PCS code:
3E0DX05 (Introduction of Other
Antineoplastic into Mouth and Pharynx,
External Approach). We note that the
applicant has submitted a request for
approval at the March 2019 ICD–10
Coordination and Maintenance
Committee Meeting for a unique ICD–
10–PCS procedure code to specifically
identify cases involving the
administration of Erdafitinib. According
to the applicant, this request was
discussed at the September 11, 2018
ICD–10 Coordination and Maintenance
Committee meeting, and at that meeting
CMS recommended the establishment of
a New Technology Section ‘‘X’’ code to
distinctly identify cases involving the
administration of Erdafitinib.
As discussed above, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and would not be
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03MYP2
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
considered ‘‘new’’ for purposes of new
technology add-on payments.
With regard to the first criterion,
whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome, the applicant
asserted that Erdafitinib is not
substantially similar to any existing
treatment options because its inhibitory
mechanism of action is novel.
Specifically, the applicant stated that
Erdafitinib is a pan-fibroblast FGFR
inhibitor with potential antineoplastic
activity. Upon oral administration,
Erdafitinib binds to and inhibits FGFR,
which may result in the inhibition of
FGFR-related signal transduction
pathways and, therefore, the inhibition
of tumor cell proliferation and tumor
cell death in FGFR-overexpressing
tumor cells. The applicant stated that
Erdafitinib is a potent pan-FGFR (1–4)
tyrosine kinase inhibitor with IC50
(drug concentration at which 50 percent
of target enzyme activity is inhibited) in
the single-digit nanomolar range.
According to the applicant, Erdafitinib
will, therefore, represent a first-in-class
FGFR inhibitor because of its novel
mechanism of action.
With respect to the second criterion,
whether a product is assigned to the
same or a different MS–DRG, the
applicant stated that potential cases
representing patients who may be
eligible for treatment involving
Erdafitinib are likely to be assigned to
a wide variety of MS–DRGs because
patients who may receive treatment
involving Erdafitinib in the inpatient
setting would likely be hospitalized due
to other conditions than urothelial
cancer. The applicant stated that
potential cases representing patients
who may be eligible for treatment
involving the use of Erdafitinib may be
assigned to the same MS–DRGs as cases
representing patients treated with
currently available treatment options for
urothelial cancer.
With respect to the third criterion,
whether the new use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population, the applicant
asserted that the treatment involving
Erdafitnib is specific to a select subset
of patients who have been diagnosed
with locally advanced or metastatic
urothelial carcinoma and previously
treated, but subsequently present with
FGFR alterations. According to the
applicant, while patients who have been
diagnosed with metastatic or
unresectable urothelial cancer may be
offered second-line therapy options of a
checkpoint inhibitor or systemic
chemotherapy, treatment involving
Erdafitinib is specific to a subset of
patients with certain FGFR-genetic
alterations. Therefore, the applicant
believes that Erdafitinib treats a
different patient population than
currently available treatments.
We are inviting public comments on
whether Erdafitinib is substantially
ICD–10–CM diagnosis code
C67.8
C67.9
C68.8
C68.9
....................
....................
....................
....................
Malignant
Malignant
Malignant
Malignant
neoplasm
neoplasm
neoplasm
neoplasm
of
of
of
of
overlapping sites of bladder.
bladder, unspecified.
overlapping sites of urinary organs.
urinary organ, unspecified.
claims that also had one of the following
ICD–10–CM diagnosis codes listed in
amozie on DSK9F9SC42PROD with PROPOSALS2
ICD–10–CM diagnosis code
the table below to identify a
combination of applicable codes.
Code description
Secondary
Secondary
Secondary
Secondary
Secondary
Secondary
Secondary
Secondary
Secondary
Secondary
Secondary
and unspecified malignant neoplasm of intra-abdominal lymphnodes.
and unspecified malignant neoplasm of inguinal and lower limb lymph nodes.
and unspecified malignant neoplasm of intrapelvic lymph nodes.
and unspecified malignant neoplasm of lymph nodes of multiple regions.
and unspecified malignant neoplasm of lymph node, unspecified.
malignant neoplasm of unspecified lung.
malignant neoplasm of unspecified lung.
malignant neoplasm of unspecified kidney and renal pelvis.
malignant neoplasm of other urinary organs.
malignant neoplasm of bone.
malignant neoplasm of genital organs.
Based on this search, the applicant
identified 2,844 cases mapping to a
wide range of MS–DRGs. The applicant
VerDate Sep<11>2014
similar to any existing technology and
whether it meets the newness criterion.
With regard to the cost criterion, the
applicant conducted the following
analysis. The applicant searched the FY
2017 MedPAR Hospital Limited Data
Set (LDS) for inpatient hospital claims
for potential cases representing patients
who may be eligible for treatment using
Erdafitinib. The applicant noted that
because the inpatient admission for the
potential cases identified would likely
be unrelated to the proposed indication
for the use of Erdafitinib, it is unlikely
that the administration of Erdafitinib
would be initiated during an inpatient
hospitalization. In addition, the
applicant assumed that most hospitals
would not utilize Erdafitinib for shortstay inpatient hospitalization, and the
applicant therefore eliminated all
identified potential cases representing
inpatient hospitalizations of 3 days or
fewer from its analysis. The applicant
also assumed that any inpatient
hospitalization of 4 days or longer
would involve the daily administration
of Erdafitinib and calculated the drug’s
costs on a case-by-case basis,
multiplying the length-of-stay times the
cost of the drug.
The applicant used a combination of
ICD–10–CM diagnosis codes to identify
these potential cases. The applicant first
identified claims with one of the
following ICD–10–CM diagnosis codes
listed in the table below.
Code description
The applicant then searched the
MedPAR data file for inpatient hospital
C77.2 ....................
C77.4 ....................
C77.5 ....................
C77.8 ....................
C77.9 ....................
C78.00 ..................
C78.7 ....................
C79.00 ..................
C79.19 ..................
C79.51 ..................
C79.82 ..................
19323
17:51 May 02, 2019
Jkt 247001
identified and used in its analysis those
MS–DRGs to which more than 1 percent
PO 00000
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of the total identified cases were
assigned, as listed in the table below.
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03MYP2
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MS–DRG
amozie on DSK9F9SC42PROD with PROPOSALS2
871
654
687
686
872
683
698
669
690
682
699
653
853
543
948
668
542
657
641
180
291
MS–DRG title
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
.......................
Septicemia or Severe Sepsis without MV >96 Hours with MCC.
Major Bladder Procedures with CC.
Kidney & Urinary Tract Neoplasms with CC.
Kidney & Urinary Tract Neoplasms with MCC.
Septicemia or Severe Sepsis without MV >96 Hours without MCC.
Renal Failure with CC.
Other Kidney & Urinary Tract Diagnoses with MCC.
Transurethral Procedures with CC.
Kidney & Urinary Tract Infections without MCC.
Renal Failure with MCC.
Other Kidney & Urinary Tract Diagnoses with CC.
Major Bladder Procedures with MCC.
Infectious & Parasitic Diseases with O.R. Procedure with MCC.
Pathological Fractures & Musculoskeletory & Connective Tissue Malignancy with CC.
Signs & Symptoms without MCC.
Transurethral Procedures with MCC.
Pathological Fractures & Musculoskeletory & Connective Tissue Malignacy with MCC.
Kidney & Ureter Procedures For Neoplasm with CC.
Miscellaneous Disorders of Nutrition, Metabolism, Fluids/Electrolytes without MCC.
Respiratory Neoplasms with MCC.
Heart Failure & Shock with MCC or Peripheral Extracorporeal Membrane Oxygenation (ECMO).
Using 100 percent of the cases
assigned to these MS–DRGs, the
applicant determined an average caseweighted unstandardized charge per
case of $86,302. The applicant did not
remove any charges for prior therapies
because the applicant indicated that the
use of Erdafitinib would not replace any
other therapies. The applicant
standardized the charges for each case
and inflated each case’s charges by
applying the FY 2019 IPPS/LTCH PPS
final rule outlier charge inflation factor
of 1.08864 (83 FR 41722). (We note that
the 2-year charge inflation factor was
revised in the FY 2019 IPPS/LTCH PPS
final rule correction notice. The revised
factor is 1.08986 (83 FR 49844).
However, we note that even when using
either the revised final rule values or the
corrected final rule values published in
the correction notice to inflate the
charges, the final inflated average caseweighted standardized charge per case
for Erdafitinib would exceed the average
case-weighted threshold amount.) The
applicant then added the charges for the
cost of Erdafitinib. To determine the
charges for the cost of Erdafitinib, the
applicant used the inverse of the FY
2019 IPPS/LTCH PPS final rule
pharmacy national average CCR of
0.191. The applicant’s reported average
case-weighted threshold amount was
$62,435 and its reported final inflated
average case-weighted standardized
charge per case was $111,713. Based on
this analysis, the applicant believes
Erdafitinib meets the cost criterion
because the final inflated average caseweighted standardized charge per case
exceeds the average case-weighted
threshold amount. We are inviting
public comments on whether Erdafitinib
meets the cost criterion.
VerDate Sep<11>2014
17:51 May 02, 2019
Jkt 247001
The applicant asserts that Erdafitinib
represents a substantial clinical
improvement over existing technologies
because it offers a treatment option for
a patient population unresponsive to or
ineligible for currently available
treatments. The applicant stated that
Erdafitinib provides a substantial
clinical improvement for a select group
of patients who have been diagnosed
with locally advanced or metastatic
urothelial carcinoma who have failed
first-line treatment and have limited
second-line treatment options, despite
the recent introduction of checkpoint
inhibitors. The applicant further stated
that the use of Erdafitinib will be the
first available treatment option specific
for the subset of patients who have
certain fibroblast growth factor receptor
(FGFR) genetic alterations that are
detected by an FDA-approved test. The
applicant also believes that Erdafitinib
represents a significant clinical
improvement because the technology
reduces mortality, decreases pain, and
reduces recovery time.
To support its assertions of
substantial clinical improvement, the
applicant submitted the results of a
Phase I dose-escalation study for the use
of Erdafitinib in the target patient
population for which the applicant
asserts Erdafitinib would be the first
available treatment option and
represents a substantial clinical
improvement, which is patients who
had been diagnosed with advanced
solid tumors for which standard
curative treatment appeared no longer
effective. With a sample size of 65
patients, patients received escalating
oral doses of Erdafitinib ranging from
0.5 mg to 12 mg, administered
continuously daily, or oral doses of
PO 00000
Frm 00168
Fmt 4701
Sfmt 4702
Erdafitinib of 10 mg or 12 mg
administered on a 7-days-on/7-days-off
intermittent schedule. The study
intended to identify the Recommended
Phase II Dose (RP2D) and investigate the
safety and pharmacodynamics of the
drug. The applicant stated that the
initial RP2D was considered 9 mg
continuous daily dosing and 10 mg for
intermitted dosing on the basis of
improved tolerability.
The applicant also provided data from
a multi-center, open-label Phase II study
of 99 patients, ages 36 years old to 87
years old, with the median age being 68
years old, who had been diagnosed with
metastatic or unresectable urothelial
carcinoma that had specific FGFR
alterations and were treated with a
starting daily dose of Erdafitinib of 8
mg. The applicant noted the study
included 87 patients who progressed
after at least or more than 1 line of prior
chemotherapy or within 12 months of
(neo) adjuvant chemotherapy.
According to the applicant, the objective
response rate (ORR) measured by
Response Evaluation Criteria in Solid
Tumors (RECIST) version 1.1 criteria
was 40.4 percent (95 percent confidence
interval [CI], 30.7 percent to 50.1
percent; 3.0 percent complete responses
and 37.4 percent partial responses). The
disease control rate (complete
responses, partial responses, and stable
disease) was 79.8 percent. The ORRs
were similar in chemotherapy-naı¨ve
patients versus patients who
progressed/relapsed after chemotherapy
(41.7 percent versus 40.2 percent) and
in patients who had visceral metastases
versus those who did not (38.5 percent
versus 47.6 percent). The median time
to response was 1.4 months, and the
median duration of response was 5.6
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03MYP2
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
months (95 percent CI, 4.2 months to 7.2
months). The applicant noted that the
results demonstrated a median
progression-free survival of 5.5 months
(95 percent CI, 4.2 months to 6.0
months) and a median overall survival
of 13.8 months (95 percent CI, 9.8
months-not estimable). In an
exploratory analysis of 22 patients
previously treated with immunotherapy,
the ORR was 59 percent; response to
prior immunotherapy (per investigator)
in these patients was 5 percent.188 189
The applicant also referenced an
ongoing Phase III study, but indicated
that the data was not available at the
time of the application’s submission.
We have the following concerns with
regard to whether the technology meets
the substantial clinical improvement
criterion. First, the applicant did not
provide substantial data comparing
Erdafitinib to existing therapies.
Additionally, the studies that were
provided were based on small sample
sizes, open-labeled, and presented
without a complete comparison to
existing therapies. Due to the limited
nature of available data, we have
concerns that we may not have enough
information to determine if Erdafitinib
represents a substantial clinical
improvement over existing technologies.
We are inviting public comments on
whether Erdafitinib meets the
substantial clinical improvement
criterion.
We did not receive any written public
comments in response to the New
Technology Town Hall meeting notice
published in the Federal Register
regarding the substantial clinical
improvement criterion for Erdafitinib or
at the New Technology Town Hall
meeting.
amozie on DSK9F9SC42PROD with PROPOSALS2
i. ERLEADATM (Apalutamide)
Johnson & Johnson Health Care
Systems Inc., on behalf of Janssen
Products, LP, Inc., submitted an
application for new technology add-on
payments for ERLEADATM
(apalutamide) for FY 2020. ERLEADATM
received FDA approval on February 14,
2018. This oral drug is an androgen
receptor inhibitor indicated for the
treatment of patients who have been
diagnosed with non-metastatic
188 Nishina, T., Takahashi, S., Iwasawa, R., et al.,
‘‘Safety, pharmacokinetic, and pharmacodynamics
of erdafitinib, a pan-fibroblast growth factor
receptor (FGFR) tyrosine kinase inhibitor, in
patients with advanced or refractory solid tumors,’’
Invest New Drugs, 2018, vol. 36, pp. 424–434.
189 Tabernero, J., Bahleda, R., Dienstmann, R., et
al., ‘‘Phase I Dose-Escalation Study of JNJ–
42756493, an Oral Pan–Fibroblast Growth Factor
Receptor Inhibitor, in Patients With Advanced
Solid Tumors,’’ J Clin Onc, Vol. 33(30), October 20,
2015, pp. 3001–3008.
VerDate Sep<11>2014
17:51 May 02, 2019
Jkt 247001
castration-resistant prostate cancer
(nmCRPC).
Prostate cancer is the second leading
cause of cancer death in men.190
Androgens, a type of hormone that
includes testosterone, can promote
tumor growth. Androgen-deprivation
therapy (ADT) is initially an effective
way to treat prostate cancer. However,
almost all men with prostate cancer
eventually develop castration-resistant
disease, or cancer that continues to grow
despite treatment with hormone therapy
or surgical castration.191 Non-metastatic
castration-resistant prostate cancer
(nmCRPC) is a clinical state in which
cancer has not spread to other parts of
the body, but continues to grow despite
treatment with ADT, either medical or
surgical, that lowers testosterone levels.
Delaying metastases, or extending
metastasis-free survival (MFS), may
delay symptomatic progression,
morbidity, mortality, and healthcare
resource utilization. According to the
applicant, nearly all men who die from
prostate cancer have antecedent
metastases to bone or other sites.
ERLEADATM blocks the effect of
androgens on the tumor in order to
delay metastases, a major cause of
complications and death among men
with prostate cancer. Prior to
ERLEADATM, there were no FDAapproved treatments for nmCRPC to
delay the onset of metastatic castrationresistant prostate cancer (mCRPC).192
The U.S. incidence of nmCRPC is
estimated to be 50,000 to 60,000 cases
per year.193
With respect to the newness criterion,
ERLEADATM (apalutamide) was granted
Fast Track and Priority Review
designations under FDA’s expedited
programs, and received FDA approval
on February 14, 2018 for the treatment
of patients who have been diagnosed
with non-metastatic castration-resistant
prostate cancer. Currently, there are no
ICD–10–PCS procedure codes to
190 American Cancer Society. https://
www.cancer.org/research/cancer-facts-statistics/allcancer-facts-figures/cancer-facts-figures-2019.html.
191 Dai, C., Heemers, H., Sharifi, N., ‘‘Androgen
signaling in prostate cancer,’’ Cold Spring Harb
Perspect Med, 2017, vol. 7(9), pp. a030452.
192 Center for Drug Evaluation and Research.
NDA/BLA Multi-Disciplinary Review and
Evaluation (Summary Review, Office Director,
Cross Discipline Team Leader Review, Clinical
Review, Non-Clinical Review, Statistical Review
and Clinical Pharmacology Review) NDA 210951—
ERLEADA (apalutamide)—Reference ID: 4221387.
Available at: https://www.accessdata.fda.gov/
drugsatfda_docs/nda/2018/
210951Orig1s000MultidisciplineR.pdf. Published
March 19, 2018.
193 Beaver, Julia A., Kluetz, Paul, Pazdur, Richard,
‘‘Metastasis-free Survival—A New End Point in
Prostate Cancer Trials,’’ 2018, N Eng J of Med, vol.
378, pp. 2458–2460, 10.1056/NEJMp1805966.
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Frm 00169
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Sfmt 4702
19325
uniquely identify the administration of
ERLEADATM. We note that the applicant
submitted a request for approval for a
unique ICD–10–PCS code for the
administration of ERLEADATM
beginning in FY 2020.
As discussed above, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and would not be
considered ‘‘new’’ for purposes of new
technology add-on payments.
With regard to the first criterion,
whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome, the applicant
maintained that ERLEADATM is new
because it was the first drug approved
by the FDA with its mechanism of
action. Specifically, ERLEADATM is an
androgen receptor (AR) inhibitor that
binds directly to the ligand-binding
domain of the AR. It has a trifold
mechanism of action. Apalutamide
inhibits AR nuclear translocation,
inhibits DNA binding, and impedes ARmediated transcription, which together
inhibit tumor cell growth.194 According
to the applicant, in non-clinical studies,
apalutamide administration caused
decreased tumor cell proliferation and
increased apoptosis leading to
decreased tumor volume in mouse
xenograft models of prostate cancer.
Furthermore, the applicant asserted that
in additional non-clinical studies,
apalutamide was shown to have a
higher binding affinity to the androgen
receptor than bicalutamide (CASODEX),
a first-generation anti-androgen that has
been used in clinical practice for the
treatment of nmCRPC. However, the
applicant noted that bicalutamide is not
FDA-approved for this indication nor is
there Phase III data available on its use
in this population. In addition,
according to the applicant, apalutamide
has a different mechanism of action
than bicalutamide because it does not
show antagonist-to-antagonist switch
like bicalutamide.
With regard to the second criterion,
whether a product is assigned to the
same or different MS–DRG, the
applicant noted that patients who may
be eligible to receive treatment
involving ERLEADATM in the inpatient
setting will likely be hospitalized due to
other conditions. Therefore, the
applicant explained that potential cases
eligible to receive treatment involving
ERLEADATM are likely to be assigned to
a wide variety of MS–DRGs, and
194 Clegg, N.J., Wongvipat, J., Joseph, J.D., et al.,
‘‘ARN–509: a novel antiandrogen for prostate cancer
treatment,’’ Cancer Res, 2012, vol. 72(6), pp. 1494–
503.
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ERLEADATM is similar to existing
technologies in this respect.
With regard to the third criterion,
whether the new use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population, the applicant
maintained that ERLEADATM was the
first FDA-approved treatment option for
patients who have been diagnosed with
nmCRPC. According to the applicant,
there are a number of therapies
currently available for patients who
have been diagnosed with mCRPC,
including chemotherapy, continuous
ADT, immunotherapy, radiation
therapy, radiopharmaceutical therapy,
and androgen pathway treatments,
including secondary hormonal therapies
and supportive care. However, prior to
ERLEADATM, there were no FDAapproved treatment options for patients
who have been diagnosed with nmCRPC
to delay the onset of mCRPC. Therefore,
according to the applicant, ERLEADATM
provides a treatment option to patients
who have been diagnosed with a stage
of prostate cancer that previously had
no other approved treatment options
available, and the standard approach
was ‘‘watch and wait/observation.’’ The
applicant stated that both the National
Comprehensive Cancer Network®
(NCCN®) guidelines for prostate cancer
and American Urological Association
(AUA) guidelines for castration-resistant
prostate cancer note the limited
treatment options for nmCRPC as
compared to mCRPC. The applicant
pointed out that apalutamide is highly
recommended, as one of the two
treatments with a Category 1
recommendation included in the
NCCN® guidelines and standard
treatment options for asymptomatic
nmCRPC based on evidence level Grade
A in the AUA guidelines.195 196
Therefore, the applicant posited that
ERLEADATM involves the treatment of a
new patient population because it is a
new treatment option for patients who
have been diagnosed with nmCRPC and
have limited available treatment
options.
As summarized above, the applicant
maintained that ERLEADATM meets the
newness criterion and is not
substantially similar to existing
technologies because it has a unique
mechanism of action and offers an
195 NCCN Clinical Practice Guidelines in
Oncology (NCCN Guidelines®): Prostate Cancer
(Version 4.2018). National Comprehensive Cancer
Network. Available at: www.nccn.org. Published
August 15, 2018.
196 Lowrance, W.T., Murad, M.H., Oh, W.K., et al.,
‘‘Castration-Resistant Prostate Cancer: AUA
Guideline Amendment 2018,’’ J Urol, 2018, pii:
S0022–5347(18)43671–3.
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effective treatment option to a new
patient population with limited
available treatment options. We are
inviting public comments on whether
ERLEADATM meets the newness
criterion.
With regard to the cost criterion, the
applicant conducted the following
analysis to demonstrate that the
technology meets the cost criterion. In
order to identify the range of MS–DRGs
to which cases representing potential
patients who may be eligible for
treatment using ERLEADATM may map,
the applicant identified cases that
would be eligible for use of
ERLEADATM by the presence of two
ICD–10–CM diagnosis code
combinations: C61 (Malignant neoplasm
of prostate) in combination with R97.21
(Rising PSA following treatment for
malignant neoplasm of prostate); or C61
in combination with Z19.2 (Hormone
resistant malignancy status). The
applicant searched the FY 2017
MedPAR final rule file (claims from FY
2015) for claims with the presence of
the two code combinations above. Cases
identified mapped to a wide variety of
MS–DRGs. The applicant eliminated all
hospital stays of fewer than 4 days from
its analysis because of its assumption
that most hospitals would not provide
ERLEADATM for short-stay inpatients.
The applicant also assumed that any
hospital stay 4 days or longer would
involve the daily provision of
ERLEADATM. This resulted in 493 cases
across 152 MS–DRGs, with
approximately 33 percent of all cases
mapping to the following 9 MS–DRGs:
MS–DRG 871 (Septicemia or Severe
Sepsis without MV >96 Hours with
MCC); MS–DRG 543 (Pathological
Fractures and Musculoskeletal and
Connective Tissue Malignancy with
CC); MS–DRG 683 (Renal Failure with
CC); MS–DRG 723 (Malignancy, Male
Reproductive System with CC); MS–
DRG 722 (Malignancy, Male
Reproductive System with MCC); MS–
DRG 698 (Other Kidney and Urinary
Tract Diagnoses with MCC); MS–DRG
699 (Other Kidney and Urinary Tract
Diagnoses with CC); MS–DRG 682
(Renal Failure with MCC); and MS–DRG
948 (Signs and Symptoms without
MCC).
For the 493 identified cases, the
average case-weighted unstandardized
charge per case was $66,559. The
applicant then standardized the charges
using the FY 2017 IPPS/LTCH PPS final
rule Impact file. Because ERLEADATM
would not replace any other therapies
occurring during the inpatient stay, the
applicant did not remove any charges
for the current treatment. The applicant
then applied the 2-year inflation factor
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Sfmt 4702
of 8.59 percent (1.085868) published in
the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41718) to inflate the charges from
FY 2017 to FY 2019. We note that the
inflation factors were revised in the FY
2019 IPPS/LTCH PPS final rule
correction notice. The corrected final 2year inflation factor is 1.08986 (83 FR
49844). The applicant converted the
costs of ERLEADATM to charges using
the inverse of the FY 2019 IPPS/LTCH
PPS final rule pharmacy national
average CCR of 0.191 (83 FR 41273) to
include the charges in its estimate.
Based on the FY 2019 IPPS/LTCH PPS
final rule correction notice data file
thresholds, the average case-weighted
threshold amount was $52,362. The
average case-weighted standardized
charge per case was $76,901. Because
the average case-weighted standardized
charge per case exceeds the average
case-weighted threshold amount, the
applicant maintained that the
technology meets the cost criterion.
The applicant submitted an additional
cost analysis including hospital stays
shorter than 4 days to demonstrate that
ERLEADATM also meets the cost
criterion using all discharges in the
analysis, regardless of length of stay.
While the applicant maintained that
ERLEADATM is unlikely to be
administered by the hospital for
inpatient stays fewer than 4 days, the
applicant demonstrated that the average
case-weighted standardized charge per
case ($57,150) continues to exceed the
average case-weighted threshold amount
($50,225) using all discharges (932
cases).
We note that the applicant used the
proposed rule values to inflate the
standardized charges above. However,
we further note that even when using
either the final rule values or the
corrected final rule values to inflate the
charges, the average case-weighted
standardized charge per case exceeded
the average case-weighted threshold
amount in each analysis. We are
inviting public comments on whether
ERLEADATM meets the cost criterion.
With respect to the substantial
clinical improvement criterion, the
applicant asserted that ERLEADATM
represents a substantial clinical
improvement because: (1) The
technology offers a treatment option for
a patient population previously
ineligible for treatments, because
ERLEADATM is the first FDA-approved
treatment for patients who have been
diagnosed with nmCRPC; and (2) use of
the technology significantly improves
clinical outcomes for a patient
population because ERLEADATM was
shown to significantly improve a
number of clinical outcomes in the
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randomized Phase III SPARTAN trial,197
including significant improvement in
metastasis-free survival (MFS).
First, the applicant stated that there
were no FDA-approved treatments to
delay metastasis for patients who have
been diagnosed with nmCRPC, a small
but important clinical state within the
spectrum of prostate cancer, prior to the
FDA approval of ERLEADATM. The
applicant emphasized that until the
FDA approved the use of ERLEADATM,
Medicare patients who have been
diagnosed with nmCRPC had extremely
limited treatment options, and the
standard approach was ‘‘watch and
wait/observation.’’ The applicant
asserted that ERLEADATM offers a
promising new treatment option and has
been shown to improve MFS in a Phase
III trial 198 with a demonstrated safety
and tolerability profile and no negative
impact to health-related quality of life
based on patient-reported outcomes.
Therefore, the applicant stated that the
‘‘robust results’’ of the clinical trial
demonstrate that ERLEADATM is a
substantial clinical improvement over
existing technologies because it
provides an effective treatment option
for a patient population previously
ineligible for treatments.
Second, the applicant maintained that
ERLEADATM is a substantial clinical
improvement because ERLEADATM was
shown to significantly improve a
number of clinical outcomes, most
notably MFS. Metastases are a major
cause of complications and death among
men with prostate cancer. Therefore,
according to the applicant, delaying
metastases may delay symptomatic
progression, morbidity, mortality, and
healthcare resource utilization.
ERLEADATM was approved by the FDA
based on a prostate cancer trial using
the primary endpoint of MFS, with
overall survival used as a secondary
endpoint.
The SPARTAN trial was a
randomized, double-blind, placebocontrolled, Phase III trial which
included men who had been diagnosed
with nmCRPC and a prostate-specific
antigen doubling time of 10 months or
less. Patients were randomly assigned,
in a 2:1 ratio, to receive apalutamide
(240 mg per day) or placebo. A total of
1,207 men underwent randomization
(806 to the apalutamide group and 401
to the placebo group). All of the patients
continued to receive androgendeprivation therapy. The primary end
point of MFS was defined as the time
197 Smith, M.R., et al., ‘‘Apalutamide Treatment
and Metastasis-free Survival in Prostate Cancer,’’ N
Engl J Med, 2018, vol. 12;378(15), pp. 1408–1418.
198 Ibid.
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from randomization to the first
detection of distant metastasis on
imaging or death. The study team
calculated that a sample of 1,200
patients with 372 primary end-point
events would provide the trial with 90
percent power to detect a hazard ratio
for metastasis or death in the
apalutamide group versus the placebo
group of 0.70, at a two-sided
significance level of 0.05. The Kaplan–
Meier method was used to estimate
medians for each trial group. The
primary statistical method of
comparison for time-to-event end points
was a log-rank test with stratification
according to the pre-specified factors.
Cox proportional-hazards models were
used to estimate the hazard ratios and
95 percent confidence intervals.
According to the applicant, results of
the primary endpoint analysis for MFS
were both statistically significant and
clinically meaningful. Median MFS was
40.5 months in the apalutamide group
as compared with 16.2 months in the
placebo group (hazard ratio [HR]=0.28;
95 percent confidence interval [CI]:
0.23, 0.35; P<0.0001). In other words,
ERLEADATM significantly prolonged
MFS by 2 years in men who had been
diagnosed with nmCRPC. In a multivariate analysis, treatment with
ERLEADATM was an independent
predictor for longer MFS (HR: 0.26; 95
percent CI: 0.21–0.32; P<0.0001). The
treatment effect of ERLEADATM on MFS
was consistently favorable across prespecified subgroups, including patients
with Prostate Specific Antigen doubling
time (PSADT) of less than 6 months
versus more than 6 months (short PSA
doubling time is a predictor of
metastasis), use of bone-sparing agents,
and local-regional disease.
Additionally, the applicant stated that
the validity of the primary endpoint
results is supported by improvements in
all secondary endpoints, with
significant improvement observed in
time to metastasis, progression-free
survival (PFS), and time to symptomatic
progression (all P<0.001) for
ERLEADATM compared to placebo.
According to the applicant, treatment
with ERLEADATM significantly
extended time to metastasis by almost 2
years (40.5 months versus 16.6 months,
P<0.001). In addition, time to bone
metastasis and nodal metastasis in
particular were both significantly longer
(P<0.0001) in the ERLEADATM group
compared to the placebo group.
According to the applicant,
ERLEADATM was also associated with a
significant improvement in the
secondary endpoint of PFS, at 40.5
months for the ERLEADATM group
versus 14.7 months for the placebo
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Fmt 4701
Sfmt 4702
19327
group (P<0.001). In a multi-variate
analysis of patients treated in the
SPARTAN study, treatment with
ERLEADATM was an independent
predictor for longer time to symptomatic
progression (reached versus not
reached; P<0.001).
The applicant also included the
results of additional secondary
endpoints for CMS consideration as
evidence of substantial clinical
improvement, including a suggested
overall survival (OS) benefit;
demonstrated safety profile; maintained
quality of life; and decreased prostate
specific antigen (PSA) levels.
While OS data were not mature at the
time of final MFS analysis (only 24
percent of the required number of OS
events were available for analysis), the
applicant asserted that OS results
suggested a benefit of treatment using
ERLEADATM as compared to placebo.
The applicant explained that, according
to a statistical analysis model
correlating the proportion of variability
of OS attributable to the variability of
MFS, patients who developed
metastases at 6, 9, and 12 months had
significantly shorter median OS
compared with those patients without
metastasis.
The applicant also stated that
treatment using ERLEADATM provides
an effective option with a demonstrated
safety profile and tolerability for
patients who have been diagnosed with
nmCRPC. The safety of the use of
ERLEADATM was assessed in the
SPARTAN trial, and adverse events
(AEs) that occurred at ≥15 percent in
either group included: Fatigue,
hypertension, rash, diarrhea, nausea,
weight loss, arthralgia, and falls. The
applicant asserted that in considering
the risks and benefits of treatment
involving the use of ERLEADATM for
patients who have been diagnosed with
nmCRPC, the FDA noted that there were
no FDA-approved treatments for the
indication and that ERLEADATM had a
favorable risk-benefit profile.
Next, the applicant stated that the use
of ERLEADATM also has a substantial
clinical improvement benefit of
maintaining quality of life. According to
the applicant, patients who have been
diagnosed with nmCRPC are generally
asymptomatic, so it is a positive
outcome if the addition of a therapy
does not cause degradation of healthrelated quality of life. The applicant
maintained that in asymptomatic men
who have been diagnosed with high-risk
nmCRPC, health-related quality of life
(HRQOL) was maintained after
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initiation of the use of ERLEADATM.199
According to the applicant, patientreported outcomes using the Functional
Assessment of Cancer Therapy-Prostate
[FACT–P] questionnaire and European
Quality of Life-5 Dimensions-3 Levels
[EQ–5D–3L] questionnaire results
indicated that patients who received
treatment involving ERLEADATM
maintained stable overall HRQOL
outcomes over time from both treatment
groups.
Additionally, the applicant discussed
prostate specific antigen (PSA)
outcomes as another secondary result
demonstrating substantial clinical
improvement. PSA, a protein produced
by the prostate gland, is often present at
elevated levels in men who have been
diagnosed with prostate cancer and PSA
tests are used to monitor the progression
of the disease. According to the
applicant, at 12 weeks after
randomization, the median PSA level
had decreased by 89.7 percent in the
ERLEADATM group versus an increase
of 40.2 percent in the placebo group. In
an exploratory analysis performed by
the applicant of patients treated in the
SPARTAN study, the use of
ERLEADATM decreased the risk of PSA
progression by 94 percent compared
with the patients in the placebo group
(not reached vs 3.71 months; HR: 0.064;
95 percent CI: 0.052–0.080; P<0.0001).
Overall, a ≥90 percent maximum
decline in PSA from baseline at any
time during the study was reported in
66 percent of the patients in the
ERLEADATM group and 1 percent of the
patients in the placebo group, according
to the applicant. The applicant noted
that increase in time to PSA progression
is relevant from a clinical standpoint for
clinicians and patients alike because
PSA monitoring, rather than the use of
regularly scheduled surveillance
imaging, as was the case with
SPARTAN, is often the most practical
method of screening for progression of
nmCRPC.
We have the following concerns
regarding the applicant’s assertions of
substantial clinical improvement:
• Regarding the SPARTAN trial
design, we are concerned that the study
enrollment may not be representative of
the U.S. population considering that
North American enrollment was only 35
percent of patients overall, and only
approximately 6 percent of enrolled
patients were black.
Underrepresentation of black patients is
199 Saad, F., et al., ‘‘Effect of apalutamide on
health-related quality of life in patients with nonmetastatic castration-resistant prostate cancer: an
analysis of the SPARTAN randomized, placebocontrolled, phase 3 trial,’’ Lancet Oncology, 2018
Oct; Epub 2018 Sep 10.
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of particular concern considering that,
in the United States, African-American
patients are disproportionately affected
by prostate cancer. According to the
CDC,200 the rate of new prostate cancers
by race is 158.3 per 100,000 men for
African-Americans, compared to 90.2
for whites, 78.8 for Hispanics, 51.0 for
Asian/Pacific Islanders, and 49.6 for
American Indians/Alaska Natives. We
are concerned that, based on an
exploratory subgroup analysis
performed by the applicant, black
patients may not have performed better
in the treatment group; while the hazard
ratio of 0.63 (95 percent confidence
interval: 0.23, 1.72) suggests a benefit to
the group treated with ERLEADATM, the
median MFS for this subgroup was
reported as shorter for the ERLEADATM
group at 25.8 months than for the
placebo group, at 36.8 months.201
Additionally, we note that 23 percent of
the patients in the SPARTAN trial did
not have definitive local therapy at
baseline for their diagnosis of prostate
cancer, which is accepted standard-ofcare in the United States.
In response to this concern about low
North American enrollment and
subgroup underrepresentation, the
applicant submitted additional
information claiming a consistent
treatment effect across all
subpopulations and regions. The
applicant also pointed to the low hazard
ratio for the subgroup of black patients
as support for the benefit of the use of
ERLEADATM. We welcome additional
information and public comments on
whether the SPARTAN trial results are
generalizable to the U.S. population,
and in particular, African-American
patients.
• We also note regarding the
SPARTAN trial that a total of 7.0
percent of the patients in the
ERLEADATM group and 10.6 percent of
the patients in the placebo group
withdrew consent from the trial.
Additional explanation from the
applicant of how those that withdrew
were considered in the analysis, and
whether there was any analysis of
potential impact of withdrawals on the
study results would be helpful.
• We also have concerns about the
primary endpoint used for the
SPARTAN trial, MFS. The applicant
200 U.S.
Department of Health and Human
Services, Centers for Disease Control and
Prevention and National Cancer Institute, U.S.
Cancer Statistics Working Group, U.S. Cancer
Statistics Data Visualizations Tool, based on
November 2017 submission data (1999–2015),
Availavle at: www.cdc.gov/cancer/dataviz, June
2018.
201 Smith, M.R., et al., ‘‘Apalutamide Treatment
and Metastasis-free Survival in Prostate Cancer,’’ N
Engl J Med, 2018, vol. 12;378(15), pp. 1408–1418.
PO 00000
Frm 00172
Fmt 4701
Sfmt 4702
explained that MFS was determined to
be a reasonable end point for patients
who have been diagnosed with nmCRPC
because of the difficulty in using OS as
a primary endpoint; multiple drugs can
be used sequentially for advanced
disease, necessitating larger and longer
trials and potentially confounding
interpretation of results if attempting to
prove that a prostate cancer drug
lengthens OS. Nevertheless, because
MFS is not identical to OS and data on
OS was not mature at the time of the
study’s results, we note that it may be
difficult to conclude based on the
current data whether the use of
ERLEADATM improves OS.
To address this concern, the applicant
submitted additional information on
MFS as a surrogate clinical endpoint for
OS, including a recent study by the
International Clinical Endpoints for
Cancer of the Prostate (ICECaP) Working
Group showing a correlation between
MFS and OS in several prostate cancer
studies.202 The applicant explained that
based on review of 19 randomized,
controlled trials evaluating 21 study
units in 12,712 men with localized
prostate cancer, the correlation between
OS and MFS was 0.91 (95 percent CI:
0.91–0.91) at the patient level, as
measured by Kendall’s t. To
demonstrate that MFS is closely linked
with OS, the applicant cited a
retrospective analysis of electronic
health record database for patients who
have been diagnosed with nmCRPC in
which MFS independently predicted
mortality risk; patients developing
metastasis within 1 year had 4.4-fold
greater risk for mortality (95 percent CI:
2.2–8.8) than those who remained
metastasis-free at year 3.203 The
applicant also reiterated that a
significant positive correlation between
MFS and OS was observed in the
SPARTAN trial (Pearson’s correlation
coefficient=0.66; Spearman’s correlation
coefficient=0.62, P<0.0001; and Kendall
t statistic=0.52, parametric Fleischer’s
statistical model correlation coefficient
of 0.69 (standard error, 0.002; 95 percent
CI: 0.69–0.70)).
We are inviting public comments on
whether ERLEADATM meets the
substantial clinical improvement
criterion for patients who have been
202 ICECaP Working Group, Sweeney, C.,
Nakabayashi, M., et al., ‘‘The development of
intermediate clinical endpoints in cancer of the
prostate (ICECaP)’’, J Natl Cancer Inst, 2015, vol.
107(12), pp. djv261.
203 Li S, Ding Z, Lin J.H., et al., ‘‘Association of
prostate-specific antigen (PSA) trajectories with risk
for metastasis and mortality in nonmetastatic
castration-resistant prostate cancer (nmCRPC),’’
Abstract presented at: 2018 Genitorurinary Cancers
Symposium, February 8–10, 2018, San Francisco,
CA.
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diagnosed with nmCRPC. We did not
receive any written comments in
response to the New Technology Town
Hall meeting notice published in the
Federal Register regarding the
substantial clinical improvement
criterion for ERLEADATM or at the New
Technology Town Hall meeting.
j. SPRAVATO (Esketamine)
amozie on DSK9F9SC42PROD with PROPOSALS2
Johnson & Johnson Health Care
Systems, Inc., on behalf of Janssen
Pharmaceuticals, Inc., submitted an
application for new technology add-on
payments for SPRAVATO (Esketamine)
nasal spray for FY 2020. The FDA
indication for SPRAVATO is treatmentresistant depression (TRD).
According to the applicant, major
depressive disorder affects nearly 300
million people of all ages globally and
is the leading cause of disability
worldwide. People with major
depressive disorder (MDD) suffer from a
serious, biologically-based disease
which has a significant negative impact
on all aspects of life, including quality
of life and function.204 Although
currently available anti-depressants are
effective for many of these patients,
approximately one-third do not respond
to treatment.205 Patients who have not
responded to at least two different antidepressant treatments of adequate dose
and duration for their current
depressive episode are considered to
have been diagnosed with TRD. MDD in
older age is marked by lower response
and remission rates, greater disability
and functional decline, decreased
quality of life, and greater mortality
from suicide.206 207 208
According to the applicant, currently
available pharmacologic treatments for
depression include Selective Serotonin
Reuptake Inhibitors (SSRIs), Serotonin–
norepinephrine reuptake inhibitors
(SNRIs), monoamine oxidase inhibitors
(MAOIs), tricyclic anti-depressants
(TCAs), other atypical anti-depressants,
204 World Health Organization. (2018, March).
Depression. Available at: https://www.who.int/
mediacentre/factsheets/fs369/en/.
205 National Institute of Mental Health. (2006,
January). Questions and Answers about the NIMH
Sequenced Treatment Alternatives to Relieve
Depression (STAR*D)—Background. Available at:
https://www.nimh.nih.gov/funding/clinicalresearch/practical/stard/backgroundstudy.shtml.
206 Manthorpe, J., & Iliffe, S., ‘‘Suicide in later life:
Public health and practitioner perspectives,’’
International Journal of Geriatric Psychiatry, 2010,
vol. 25(12), pp. 1230–1238.
207 Lenze, E., Sheffrin, M., Driscoll, H., Mulsant,
B., Pollock, B., Dew, M., Reynolds, C., ‘‘Incomplete
response in late-life depression: Getting to
remission,’’ Dialogues in Clinical Neuroscience,
2008, vol. 10(4), pp. 419–430.
208 Alexopoulos, G., & Kelly, R., ‘‘Research
advances in geriatric depression,’’ World
Psychiatry, 2009, vol. 8(3), pp. 140–149.
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and adjunctive atypical antipsychotics.
In addition to SPRAVATO, the only
pharmacologic treatment currently
approved for treatment-resistant
depression is a combination of two
drugs: An antipsychotic and an SSRI
(fluoxetine/olanzapine combination).
Currently available nonpharmacological medical treatments
include electroconvulsive therapy, vagal
nerve stimulation, deep brain
stimulation (DBS), transcranial direct
current stimulation (tDCS), and
repetitive transcranial magnetic
stimulation (rTMS).
According to the applicant,
SPRAVATO is a non-competitive,
subtype non-selective, activitydependent glutamate receptor
modulator. The applicant indicates that
SPRAVATO works through increased
glutamate release resulting in
downstream neurotrophic signaling
facilitating synaptic plasticity, thereby
bringing about rapid and sustained
improvement in people who have been
diagnosed with TRD. The applicant
explained that, through glutamate
receptor modulation, SPRAVATO helps
to restore connections between brain
cells in people who have been
diagnosed with TRD.209
According to the applicant, the nasal
spray device is a single-use device that
delivers a total of 28 mg of SPRAVATO
in two sprays (one spray per nostril).
The applicant has approved dosages of
56 mg (two devices) or 84 mg (three
devices), with a 28 mg (one device)
available for patients 65 years old and
older. The treatment session consists of
healthcare supervision of the patient’s
self-administration of SPRAVATO HCL
to ensure proper usage and postadministration observation to ensure
patient stability. Specifically, clinicians
will need to monitor blood pressure and
mental status changes. The applicant
states that monitoring will be required
at every administration session.
With respect to the newness criterion,
the applicant submitted a New Drug
Application (NDA) for SPRAVATO HCL
Nasal Spray based on a recently
completed Phase III clinical
development program for treatmentresistant depression. According to the
applicant, SPRAVATO was granted a
Breakthrough Therapy designation in
2013. SPRAVATO HCL Nasal Spray was
approved by the FDA with an effective
date of March 5, 2019. Currently there
are no ICD–10–PCS procedure codes to
uniquely identify the administration of
209 Sanacora, G., et. al., ‘‘Targeting the
Glutamatergic System to Develop Novel, Improved
Therapeutics for Mood Disorders,’’ Nat Rev Drug
Discov., 2008, pp. 426–437.
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SPRAVATO HCL Nasal Spray. The
applicant has submitted a request for
approval for a unique ICD–10–PCS
procedure code to specifically identify
cases involving the administration of
SPRAVATO HCL, beginning in FY 2020.
As discussed above, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and would not be
considered ‘‘new’’ for purposes of new
technology add-on payments.
With regard to the first criterion,
whether a product uses the same or
similar mechanism of action, the
applicant asserts that SPRAVATO has a
unique mechanism of action. The
applicant stated that SPRAVATO’s
unique mechanism of action is the first
new approach in 30 years for the
treatment of major depressive disorder,
including treatment-resistant
depression.210 211 According to the
applicant, unlike existing approved
anti-depressant pharmacotherapies,
SPRAVATO’s anti-depressant activity
does not primarily modulate
monoamine systems (norepinephrine,
serotonin, or dopamine). The applicant
asserts that SPRAVATO restores
connections between brain cells in
people with treatment-resistant
depression through glutamate receptor
modulation, which results in
downstream neurotropic signaling.212
With regard to the second criterion,
whether the technology is assigned to
the same or different MS–DRG, the
applicant asserts that it is likely that
potential cases representing patients
who may be eligible for treatment
involving the use of SPRAVATO HCL
Nasal Spray would be assigned to the
same MS–DRGs as patients who receive
treatment involving currently available
anti-depressants (AD).
With regard to the third criterion,
whether the technology treats the same
or a similar disease or the same or
similar patient population, the applicant
asserts that potential patients who may
be eligible to receive treatment
involving SPRAVATO will be
comprised of a subset of patients who
are receiving treatment involving
currently available anti-depressants.
The applicant did not specifically
210 Duman, R. (2018). Ketamine and rapid-acting
anti-depressants: a new era in the battle against
depression and suicide. F1000Research, 7, 659.
doi:10.12688/f1000research.14344.1.
211 Dubovsky, S., ‘‘What Is New about New Antidepressants?,’’ Psychotherapy and Psychosomatics,
2018, vol. 87(3), pp. 129–139, doi:10.1159/
000488945.
212 Sanacora, G., et al., ‘‘Targeting the
Glutamatergic System to Develop Novel, Improved
Therapeutics for Mood Disorders,’’ Nat Rev Drug
Discov., 2008, pp. 426–437.
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address the application of this criterion
to SPRAVATO.
We are inviting public comments on
whether SPRAVATO is substantially
similar to any existing technologies and
whether it meets the newness criterion.
With regard to the cost criterion, the
applicant conducted the following
analysis to demonstrate that the
technology meets the cost criterion. To
identify cases eligible for SPRAVATO,
the applicant searched the FY 2017
MedPAR data file for claims with the
presence of one of the following ICD–
10–CM diagnosis codes: F33 (Major
depressive disorder, recurrent), F33.2
(Major depressive disorder, recurrent
severe without psychotic features),
F33.3 (Major depressive disorder,
recurrent, severe with psychotic
symptoms), and F33.9 (Major depressive
disorder, recurrent, unspecified). Claims
from the FY 2017 MedPAR data file
with the presence of one of these ICD–
10–CM diagnosis codes mapped to a
wide variety of MS–DRGs. The
applicant excluded claims if they had
one or more diagnoses from the
following list: (1) Aneurysmal vascular
disease; (2) intracerebral hemorrhage;
(3) dementia; (4) hyperthyroidism; (5)
pulmonary insufficiency; (6)
uncontrolled brady- or
tachyarrhythmias; (7) history of brain
injury; (8) hypertensive; (9)
encephalopathy; (10) other conditions
associated with increased intracranial
pressure; and (10) pregnancy. The
applicant believed that these conditions
would preclude the use of SPRAVATO
HCL. The applicant also assumed that
hospitals would not allow
administration of SPRAVATO HCL for
short-stay inpatient hospitalizations
and, therefore, excluded all
hospitalizations of fewer than 5 days.
The applicant assumed that patients
would be allowed to administer their
first dose on the 5th day and every 7
days thereafter. Lastly, the applicant
assumed that, based on clinical data,
patients would use 2.5 spray devices per
treatment, once a week.
After applying the inclusion and
exclusion criteria described above, the
applicant identified a total of 3,437
potential cases mapping to 439 MS–
DRGs, with approximately 54.7 percent
of cases mapping to MS–DRGs 885
(Psychoses), 871 (Septicemia or Severe
Sepsis without MV >96 Hours with
MCC), 917 (Poisoning & Toxic Effects of
Drugs with MCC), 897 (Alcohol/Drug
Abuse or Dependence without
Rehabilitation Therapy without MCC),
291 (Heart Failure & Shock with MCC or
Peripheral Extracorporeal Membrane
Oxygenation (ECMO)), 918 (Poisoning &
Toxic Effects of Drugs without MCC),
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190 (Chronic Obstructive Pulmonary
Disease with MCC), 853 (Infectious &
Parasitic Diseases with O.R. Procedure
with MCC), 683 (Renal Failure with CC),
and 682 (Renal Failure with MCC). The
applicant further defined the potential
cases representing patients who may be
eligible for treatment involving the use
of SPRAVATO HCL in the cost criterion
analysis by reducing the number of
cases in each MS–DRG by one-third due
to clinical data indicating that
approximately one-third of patients who
have been diagnosed with MDD also
have been diagnosed with TRD.213 214
The applicant calculated the average
case-weighted unstandardized charge
per case to be $73,119. Because the use
of SPRAVATO HCL is not expected to
replace prior treatments, the applicant
did not remove any charges for the prior
technology. The applicant then
standardized the charges and applied a
2-year inflation factor of 1.08986
obtained from the FY 2019 IPPS/LTCH
PPS final rule correction notice (83 FR
49844). The applicant then added
charges for the new technology to the
inflated average case-weighted
standardized charges per case. No other
related charges were added to the cases.
The applicant calculated a final inflated
average case-weighted standardized
charge per case of $74,738 and an
average case-weighted threshold amount
of $48,864. Because the final inflated
average case-weighted standardized
charge per case exceeded the average
case-weighted threshold amount, the
applicant maintained that the
technology met the cost criterion.
With regard to the analysis above, we
are concerned whether it is appropriate
to reduce the number of cases to onethird of the total potential cases
identified. While the supporting
statistical data provided by the
applicant suggest that one-third of
patients who have been diagnosed with
MDD often also receive diagnoses of
TRD, it is unclear which cases
representing patients should be
removed. It is possible that patients who
have been diagnosed with MDD are
covered by all 439 MS–DRGs, but
patients who have been diagnosed with
TRD only exist in a certain subset of
these same MS–DRGs. Further, those
213 National Institute of Mental Health. (2006,
January). Questions and Answers about the NIMH
Sequenced Treatment Alternatives to Relieve
Depression (STAR*D)—Background. Available at:
https://www.nimh.nih.gov/funding/clinicalresearch/practical/stard/backgroundstudy.shtml.
214 Rush, A.J., Trivedi, M., Wisniewski, S.,
Nierenberg, A., Steward, J., Warden, D., Fava, M.,
‘‘Acute and Longer-term Outcomes in Depressed
Outpatients Requiring One or Several Treatment
Steps: A STAR*D report,’’ American Journal of
Psychiatry, 2006, vol, 163(11), pp. 1905–1917.
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patients who have been diagnosed with
TRD could account for the most costly
of patients who have been diagnosed
with MDD. Ultimately, without further
evidence, we may not be able to verify
that the assumption that patients who
have been diagnosed with TRD
comprise one-third of the identified
cases representing patients who have
been diagnosed with MDD and are
evenly distributed across all of the MS–
DRG identified cases is appropriate. We
are inviting public comments on this
issue and whether the SPRAVATO HCL
Nasal Spray meets the cost criterion.
With respect to the substantial
clinical improvement criterion, the
applicant asserted that SPRAVATO HCL
Nasal Spray represents a substantial
clinical improvement over existing
treatments because it provides a
treatment option for a patient
population that failed available
treatments and who have shown
inadequate response to at least two antidepressants in their current episode of
MDD.215 According to the applicant, in
addition to SPRAVATO HCL, there is
currently only one other
pharmacotherapy used for the treatment
for diagnoses of TRD that is approved by
the FDA (Symbyax®, a fluoxetineolanzapine combination), but its use is
limited by tolerability concerns.216 In
support of its assertions of substantial
clinical improvement, the applicant
provided several studies regarding
SPRAVATO HCL.
The first study is a Phase II, doubleblind, doubly-randomized, placebocontrolled, multi-center study in adults
aged 20 years old to 64 years old.217
This study consisted of the following
four phases: The screening, doubleblind treatment, the optional open-label
treatment, and post-treatment follow-up.
During the treatment phase, two periods
of treatment occurred between the 1st
and the 8th day and the 8th and the
15th day. At the beginning of first
treatment period, participants were
randomized 3:1:1:1 to an intranasal
placebo, SPRAVATO HCL 28 mg, 56
mg, or 84 mg twice weekly, respectively.
During the second treatment period,
215 Rush, A.J., Trivedi, M., Wisniewski, S.,
Nierenberg, A., Steward, J., Warden, D., Fava, M.,
‘‘Acute and Longer-term Outcomes in Depressed
Outpatients Requiring One or Several Treatment
Steps: A STAR*D report,’’ American Journal of
Psychiatry, 2006, vol. 163(11), pp. 1905–1917.
216 Cristancho, M., & Thase, M, ‘‘Drug safety
evaluation of olanzapine/fluoxetine combination,’’
Expert Opinion on Drug Safety, 2014, vol. 13(8), pp.
1133–1141.
217 Daly, E., Singh, J., Fedgchin, M., Cooper, K.,
Lim, P., Shelton, R., Drevets, W., ‘‘Efficacy and
Safety of Intranasal Esketamine Adjunctive to Oral
Anti-depressant Therapy in Treatment-Resistant
Depression,’’ JAMA Psychiatry, 2018, vol. 75(2), pp.
139–148.
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patients who were initially randomized
to treatment groups remained on the
treatment regimen until the 15th day.
Patients initially assigned to the placebo
group and who had moderate to severe
symptoms (as measured by the 16-item
quick inventory of depressive
symptomatology-self report total score)
were re-randomized 1:1:1:1 to placebo,
SPRAVATO HCL 28 mg, 56 mg, or 84
mg twice weekly groups, respectively.
Of the 126 patients screened, 67 were
randomized at the beginning of the first
treatment period, with 33 patients
receiving placebo, 11 patients receiving
28 mg of SPRAVATO HCL, 11 patients
receiving 56 mg of SPRAVATO HCL,
and 12 patients receiving 84 mg of
SPRAVATO HCL in dosages. At the
beginning of the second treatment
period, those in the treated group
remained on the same treatment
regimen, while the 33 placebo patients
were re-randomized. Of the placebo
group in the first treatment period, 6
patients were added to the 4 who
remained on placebo, 8 patients
received 28 mg of SPRAVATO HCL, 9
patients received 56 mg of SPRAVATO
HCL, and 5 patients received 84 mg
SPRAVATO HCL in dosages. Of the 67
respondents randomized, 63 (94
percent) completed the first treatment
phase and 60 (90 percent) completed the
first and second treatment phases.
During both treatment phases patients
were assessed at baseline, 2 hours, 24
hours, and at the study period
endpoints for the Montgomery-Asberg
Depression Rating Scale (MADRS) score,
Clinical Global Impression of Severity
scale score, adverse events and other
safety assessments including the
Clinician Administered Dissociative
States Scale (CADSS). The primary
efficacy endpoint, change from baseline
to endpoint in MADRS total score, was
analyzed using the analysis of
covariance model including treatment
and country as factors and period
baseline MADRS total score as a
covariate.218
At the end of the first treatment
period, the least square mean change
(standard error) for the placebo group
was ¥4.9 (1.74). As compared to the
placebo, the least square mean
difference from placebo (standard error)
for the SPRAVATO HCL treatment
groups was ¥5.0 (2.99) for 28 mg of
SPRAVATO HCL in dosage, ¥7.6 (2.91)
for 56 mg of SPRAVATO HCL in dosage,
and ¥10.5 (2.79) for 84 mg of
218 Daly, E., Singh, J., Fedgchin, M., Cooper, K.,
Lim, P., Shelton, R., Drevets, W., ‘‘Efficacy and
Safety of Intranasal Esketamine Adjunctive to Oral
Anti-depressant Therapy in Treatment-Resistant
Depression,’’ JAMA Psychiatry, 2018, vol. 75(2), pp.
139–148.
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SPRAVATO HCL in dosage; these
differences were statistically significant
at or beyond p<0.05. Similar differences
were seen at 2 hours and 24 hours for
these groups with the only nonsignificant difference occurring for 56
mg of SPRAVATO HCL in dosage at 2
hours as compared to baseline. At the
end of the second treatment period, the
least square mean change (standard
error) for the placebo group was ¥4.5
(2.92), for the SPRAVATO HCL-treated
groups was ¥3.1 (2.99) from the
placebo for 28 mg of SPRAVATO HCL
in dosage, ¥4.4 (3.06) from the placebo
for 56 mg of SPRAVATO HCL in dosage,
and ¥6.9 (3.41) from the placebo for 84
mg of SPRAVATO HCL in dosage. Only
the 84 mg of SPRAVATO HCL dosage
difference from the mean was
statistically significant (p<.05). When
the results from the first and second
treatment periods were pooled, all three
groups had statistically significant
differences from the placebo. Based on
these results, the applicant asserts that
all three SPRAVATO HCL treatment
groups were superior to the placebo.
When considering the safety profile of
the use of SPRAVATO HCL, the study
reports that 3 (5 percent) of the treated
patients and 1 (2 percent) open-label
patient experienced adverse events
leading to discontinuation (syncope,
headache, dissociative syndrome,
ectopic pregnancy). There was a noted
dose response for the adverse events of
dizziness and nausea only. Most of the
treated patients experienced transient
elevations in blood pressure and heart
rate on dosing days, as well as
perceptual changes and/or dissociate
symptoms (as measured by CADSS) that
began shortly after dosing and typically
resolved by 2 hours.219
The study titled Transform One
submitted by the applicant is a Phase III,
randomized, double-blind, active
controlled, multi-center study which
enrolled patients 18 years old to 64
years old who had been diagnosed with
treatment-resistant depression for 28
days.220 Patients were randomized
(1:1:1) to receive SPRAVATO HCL 56
mg, 84 mg, or a placebo nasal spray
administered twice weekly combined
219 Daly, E., Singh, J., Fedgchin, M., Cooper, K.,
Lim, P., Shelton, R., Drevets, W., ‘‘Efficacy and
Safety of Intranasal Esketamine Adjunctive to Oral
Anti-depressant Therapy in Treatment-Resistant
Depression,’’ JAMA Psychiatry, 2018, vol. 75(2), pp.
139–148.
220 Fedgchin, M., Trivedi, M., Daly, E., Melkote,
R., Lane, R., Lim, P., Singh, J., ‘‘Randominzed,
Double-blind Study of Fixed-dosed Intranasal
Esketamine Plus Oral Anti-depressant vs. Active
Control in Treatment-resistant Depression,’’ 9th
Biennial Conference of the International Society for
Affective Disorders (ISAD) and the Houston Mood
Disorders Conference, September 2018.
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19331
with a newly initiated, open-label oral
anti-depressant (AD) administered daily
(duloxetine, escitalopram, sertraline, or
venlafaxine extended release), which
was dosed according to a fixed titration
schedule. Patients were assessed on the
MADRS, CADSS, and discharge
readiness as measured by overall
clinical status and the Global
Assessment of Discharge Readiness
(CGADR). Discharge status was assessed
at 1 and 1.5 hours. MADRS was
assessed at 24 hours post initial dose
and weekly thereafter. CADSS was
assessed at baseline and all dosing
visits.
Three hundred and fifteen patients of
the 346 were randomized and
completed the treatment phase; 115
patients were randomized to the 56 mg
of SPRAVATO HCL dosage group along
with 114 to the 84 mg of SPRAVATO
HCL dosage group and 113 to the
placebo group. The withdrawal rate was
3-fold higher in the 84 mg of
SPRAVATO HCL dosage group (16.4
percent) than the 56 mg of SPRAVATO
HCL dosage group (5.1 percent) and the
placebo group (5.3 percent). Eleven of
the 19 84 mg of SPRAVATO HCL dosage
withdrawals withdrew after only
receiving the first 56 mg SPRAVATO
HCL dose; the withdrawal rate was not
a dose-related safety finding. Baseline
statistics show few differences between
groups: The 56 mg of SPRAVATO HCL
dosage group has a higher proportion of
patients who have 1 or 2 previous AD
medications (69 percent) as compared to
the patients in the 84 mg of SPRAVATO
HCL dosage group (51.8 percent) and
placebo group (59.3 percent), and the
placebo group (193.1) has a notably
shorter duration of the current episode
of depression in weeks as compared to
the 56 mg of SPRAVATO HCL dosage
group (202.8) and 84 mg of SPRAVATO
HCL dosage group (212.7). The MADRS
score was assessed by a mixed model for
repeated measures with change from
baseline as the response variable and
the fixed effect model terms for
treatment dosage, day, region, class of
oral AD, a treatment-by-day moderating
effect, and baseline value as a covariate.
The primary efficacy measure was
assessed by change in MADRS score
from baseline at 28 days. At the end of
the study the 56 mg and 84 mg of
SPRAVATO HCL dosage groups had a
difference of least square means of ¥4.1
and ¥3.2, respectively. Neither of these
were statistically significant differences
as compared to the placebo. The least
square mean treatment difference of
MADRS score as compared to the
placebo were also assessed
longitudinally at baseline and the 2nd
day (¥3.0 for the 56 mg of SPRAVATO
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HCL dosage group and ¥2.2 for the 84
mg of SPRAVATO HCL dosage group),
the 8th day (¥3.0 for the 56 mg of
SPRAVATO HCL dosage group and
¥2.7 for the 84 mg of SPRAVATO HCL
dosage group), the 15th day (¥3.8 for
the 56 mg of SPRAVATO HCL dosage
group and ¥3.6 for the 84 mg of
SPRAVATO HCL dosage group), the
22nd day (¥5.0 for the 56 mg of
SPRAVATO HCL dosage group and
¥3.7 for the 84 mg of SPRAVATO HCL
dosage group), and the 28th day (¥4.0
for the 56 mg of SPRAVATO HCL
dosage group and ¥3.6 for the 84 mg of
SPRAVATO HCL dosage group). In a
graph provided by the applicant, the
lines plus standard errors plotted for the
56 mg and 84 mg of SPRAVATO HCL
dosage groups overlap with each other
at each time point, but do not appear to
overlap with the placebo group
(calculated confidence intervals would
necessarily be wider and would
possibly overlap).
A secondary efficacy measure was the
rate of patients who are responders and
remitters. Response is defined as greater
than or equal to 50 percent
improvement on MADRS from baseline.
Remission is defined as a MADRS total
score less than or equal to 12. The 56
mg and 84 mg of SPRAVATO HCL
dosage treatment groups, 54.1 percent
and 53.1 percent, respectively, had
higher response rates than the placebo
treatment group at 38.9 percent. The 56
mg and 84 mg of SPRAVATO HCL
dosage treatment groups, 36.0 percent
and 38.8 percent, had higher remission
rates than the placebo treatment group
at 30.6 percent.
Lastly, safety was assessed by adverse
events and CADSS. Both the 56 mg and
84 mg of SPRAVATO HCL dosage
treatment groups had spikes of CADSS
scores, which spiked approximately 40
minutes post dose and resolved at 90
minutes. These post dose spikes
gradually decreased from day 1 to day
25, but remained higher than the
placebo group. The 84 mg of
SPRAVATO HCL dosage treatment
group had higher CADSS score spikes
than the 56 mg of SPRAVATO HCL
dosage treatment group at all periods
except day 1. The top 5 of 12 pooled
treatment group adverse events and
percentages experienced are as follows:
Nausea (29.4 percent), dissociation (26.8
percent), dizziness (25.1 percent),
vertigo (20.8 percent), and headache
(20.3 percent).
The study titled Transform Two is a
Phase III, randomized (1:1), control trial,
multi-center study enrolling patients 18
years old to 64 years old who had been
diagnosed with treatment-resistant
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depression.221 One hundred and
fourteen patients were randomized to
the treatment group and 109 to the
control group; 101 and 100 of the
treated and control groups respectively
finished the study. For the treatment
group, doses of SPRAVATO HCL began
at 56 mg on the 1st day, with potential
increases up to 84 mg until the 15th day
at which point the dose remained stable.
Two-thirds of the SPRAVATO HCLtreated patients were receiving the 84
mg dosage at the end of the study. For
both the placebo and treatment groups,
a newly-initiated AD was assigned by
the investigator (duloxetine,
escitalopram, sertraline, and venlafaxine
extended release) following a fixed
titration dosing.
The primary efficacy endpoint was
the change from baseline at day 28 in
MADRS total score, which was analyzed
using a mixed-effects model using
repeated measures (MMRM). The model
included baseline MADRS total score as
a covariate, and treatment, country,
class of AD (SNRI or SSRI), day, and
day-by-treatment moderator as fixed
effects, and a random patient effect. The
key secondary efficacy endpoints were
as follows: The proportion of patients
showing onset of clinical response by
the 2nd day that was maintained for the
duration of the treatment phase, the
change from baseline in sociooccupational disability using the
Sheehan Disability Scale (SDS) using
the MMRM model, and the change from
baseline in depressive symptoms using
the patient health questionnaire 9-item
(PHQ–9) using the MMRM model.
There were no apparent differences
between the SPRAVATO HCL treatment
and placebo groups at baseline. At day
28, the difference of least square means
(standard error) for the SPRAVATO
HCL-treated group was ¥4.0 (1.69) as
compared to the placebo-treated group
(p<0.05). Similar to Transform One, the
difference of least square means for the
SPRAVATO HCL-treated group as
compared to the placebo-treated group
were plotted for baseline and the 2nd,
8th, 15th, 22nd, and 28th day. At all
treatment periods, except baseline and
the 15th day, the SPRAVATO HCL
treatment group had statistically
significant lower scores than the
placebo-treated group as indicated by 95
percent confidence intervals. The
difference between the SPRAVATO
HCL-treated and placebo-treated groups
221 Popova, V., Daly, E., Trivedi, M., Cooper, K.,
Lane, R., Lim, P., Singh, J., ‘‘Randomized, Doubleblind Study of Flexibly-dosed Intranasal
Esketamine Pus Oral Anti-depressant vs. Active
Control in Treatment-resistant Depression,’’
Canadian College of Neuropsychopharmacology
(CCNP) 41st Annual Meeting, 2018.
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for the early onset of sustained clinical
response was substantively similar and
not statistically different. The difference
of least square means (standard error) in
socio-occupational disability as
measured by SDS was ¥4.0 (1.17) for
those in the SPRAVATO HCL-treated
group as compared to the placebotreated group (p<0.05). The difference of
least square means (standard error) for
the PHQ–9 total score for the
SPRAVATO HCL-treated group
compared to the placebo-treated group
was ¥2.4 (0.88) (p<0.05). Lastly, 69.3
percent of the SPRAVATO HCL-treated
patients as compared to 52.0 percent of
the placebo-treated patients were
considered responders and 52.5 percent
of the SPRAVATO HCL-treated patients
as compared to 31.0 percent of the
placebo patients were considered
remitters. The adverse events list, post
dosing blood pressure increase, and post
dosing CADSS spike were similar to
those seen in the previous Transform
One study.222
A post-hoc analysis based on
Transform Two, which included 46
SPRAVATO HCL-treated and 44
placebo-treated patients was conducted
to assess for differences in efficacy and
safety between the U.S. population and
the overall study population.223 Efficacy
was again assessed by MADRS, SDS,
and PHQ–9 scores using the MMRM and
with safety assessments for treatmentemergent adverse events (TEAEs),
serious adverse events (SAEs), CADSS
and other measures. At baseline the
treated group of SPRAVATO HCL plus
an AD was similar to the placebo-treated
group who took only an AD on most
measures to include average age, sex,
race, class of oral ADs, MADRS, CGI–S,
SDS, and PHQ–9 scores. The placebotreated group had a longer average
duration of current episode at 177.6
days as compared to 132.2 days for the
SPRAVATO HCL-treated group; the
placebo-treated group had a higher
proportion of patients having 3 or more
previous AD medications (50.1 percent)
as compared to the SPRAVATO HCL
treatment group (32.7 percent).
Both the SPRAVATO HCL-treated and
placebo-treated groups showed
222 Fedgchin, M., Trivedi, M., Daly, E., Melkote,
R., Lane, R., Lim, P., Singh, J., ‘‘Randominzed,
Double-blind Study of Fixed-dosed Intranasal
Esketamine Plus Oral Anti-depressant vs. Active
Control in Treatment-resistant Depression,’’ 9th
Biennial Conference of the International Society for
Affective Disorders (ISAD) and the Houston Mood
Disorders Conference, September 2018.
223 Alphs, L., Cooper, K., Starr, L., DiBernardo, A.,
Shawi, M., Jamieson, C., Singh, J., ‘‘Clinical Efficacy
and Safety of Flexibly Dosed Esketamine Nasal
Spray in a US Population of Patients With
Treatment-Resistant Depression,’’ American
Psychiatry Association, 2018, Chicago.
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improvement on the efficacy measures
after 28 days. At the endpoint of 28
days, the SPRAVATO HCL treatment
group had a statistically significant
MADRS total score least square mean
difference of ¥5.5 (p<0.05) from the
placebo treatment group. At the
endpoint the median scores on the
clinician-rated severity of depressive
illness as measured by CGI–S were ¥1.5
and ¥1.0 for the SPRAVATO HCLtreated and placebo-treated groups
respectively (one-sided p value >0.07).
For the measure of patient-rated severity
of depressive illness, the SPRAVATO
HCL treatment group had a least square
mean difference in PHQ–9 of ¥3.1
(p<0.05) as compared to the placebo
treatment group. On the measure of
functional impairment, the SPRAVATO
HCL treatment group had a least square
mean difference in SDS of ¥5.2
(p<0.01) as compared to the placebo
treatment group. Overall treatmentemergent adverse events were observed
in 91.3 percent of SPRAVATO HCLtreated patients and 77.3 percent of
placebo-treated patients. One
SPRAVATO HCL-treated patient
experienced a serious adverse event of
cerebral hemorrhage. Lastly, the top five
most common adverse events were
dizziness, nausea, headache, dysgeusia,
and throat irritation.
The study titled Transform Three is a
randomized (1:1), double-blind, activecontrolled, multi-center study in elderly
patients 65 years old and older who had
been diagnosed with TRD.224
Randomization was stratified by country
and class of oral AD (SNRI and SSRI).
All treatment patients started on a 28
mg dosage of SPRAVATO HCL and
flexibly increased dosages of 56 mg or
84 mg based on investigator’s
determination of efficacy and
tolerability. Both SPRAVATO HCLtreated (n=72) and placebo-treated
(n=66) patients were started on a newly
initiated AD (duloxetine, escitalopram,
sertraline, and venlafaxine extended
release). One hundred and twenty-two
patients completed the double-blind
phase, with 63 patients in the
SPRAVATO HCL-treated group and 60
patients in the placebo-treated group.
The primary endpoint was the change
in MADRS total score from the 1st day
to the 28th day. Secondary endpoints
included the evaluation of response and
remission rates by group and the
Clinical Global Impression—Severity
224 Ochs-Ross, R., Daly, E., Lane, R., Zhang, Y.,
Lim, P., Foster, K., Sign, J., ‘‘Efficacy and Safety of
Esketamine Nasal Spray Plus an Oral Antidepressant in Elderly Patients with Treatmentresistant Depression,’’ 2018 Annual Meeting of the
American Psychiatric Association (APA), 2018,
New York.
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(CGI–S) scores. The safety endpoints
were evaluated by adverse event
occurrence, laboratory tests, vital sign
measurements, physical exams, and
other exams.
At baseline, there were substantive
differences between the placebo-treated
and SPRAVATO HCL treatment groups
in three measures. Patients from the
SPRAVATO HCL treatment group (48.6
percent) were more likely to be from the
European Union as compared to the
placebo-treated group (36.9 percent).
Patients from the SPRAVATO HCL
treatment group were more likely to
have 1 (20.8 percent versus 9.2 percent)
to 4 (16.7 percent versus 6.2 percent)
previous ADs as compared to the
placebo-treated group. On the measure
of duration of current episode of
depression in weeks, the SPRAVATO
HCL-treated group had an average
(standard deviation) of 163.1 (277.04) as
compared to the placebo-treated group
with 274.1 (395.47). The primary
endpoint, the change from baseline to
Day 28 of MADRS score difference of
least square means (95 percent CI) for
the SPRAVATO HCL treatment group
was ¥3.6 (¥7.20,0.07) as compared to
the placebo group. As with previous
studies, the longitudinal change in
MADRS total score is presented for
baseline and at the 8th, 15th, 22nd, and
28th day. The results for the
SPRAVATO HCL-treated group overlap
with the placebo-treated group at each
time point. At Day 28, 27.0 percent of
the SPRAVATO HCL-treated patients as
compared to 13.3 percent of the
placebo-treated patients were
considered responders and 17.5 percent
of the SPRAVATO HCL-treated patients
as compared to 6.7 percent of the
placebo-treated patients were
considered remitters. At baseline and
the end of the study, 83.4 percent and
38.1 percent, respectively, of the
SPRAVATO HCL-treated patients were
rated as experiencing severe or marked
symptoms on the CGI–S scale as
compared to 66.1 percent and 54.4
percent, respectively, for those on the
placebo.
Of the 72 patients who were treated
with SPRAVATO HCL, 51 (70.8 percent)
experienced a treatment-emergent
adverse event (TEAE) as compared to 39
of the 65 (60.0 percent) placebo-treated
patients. Five patients reported serious
adverse events during the double-blind
phase, three of whom were SPRAVATO
HCL-treated patients and two of whom
were placebo-treated patients. The top 5
of the 16 adverse events among the
treated patients are dizziness (20.8
percent), nausea (18.1 percent), blood
pressure increase (12.5 percent), fatigue
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19333
(12.5 percent), and headache (12.5
percent).
A post-hoc analysis, which included
34 SPRAVATO HCL-treated patients
and 36 placebo-treated patients from the
Transform Three study, was performed
to examine the response and remission
associated with treatments in a subset of
respondents 65 years old and older in
the United States.225 The MADRS, CGI–
S, PHQ–9, and adverse event data were
utilized to assess clinical outcomes.
Remission was defined as a 50 percent
or greater decrease in MADRS baseline
score and remission was defined as a
MADRS score of 12 or lower or a PHQ–
9 score of less than 5. At baseline the
SPRAVATO HCL-treated and placebotreated groups were similar on the
measures of age, sex, race, class of oral
AD, age at major depressive disorder
diagnosis, MADRS score, and CGI–S
score. The SPRAVATO HCL treatment
group differed from the placebo
treatment group on the measures of
mean duration of current depressive
episode in weeks (187.6 versus 420.9)
and mean PHQ–9 score (15.2 versus
18.2).
At the 28-day endpoint, response
rates based on MADRS scores were 26.7
percent (n=30) for the SPRAVATO HCLtreated group and 14.7 percent (n=34)
for the placebo-treated group. At the
endpoint, remission rates based on
MADRS scores were 16.7 percent (n=30)
for the SPRAVATO HCL-treated group
and 2.9 percent (n=34) for the placebotreated group. Patient remission rates
based on the PHQ–9 scores for
SPRAVATO HCL-treated and placebotreated patients were 9.4 percent (n=32)
and 22.6 percent (n=31), respectively.
Clinically meaningful response as
measured by a one point or greater
decrease in the CGI–S score was 63.3
percent (n=30) for the SPRAVATO HCLtreated group and 29.4 percent (n=34)
for those on the placebo. Clinically
significant response as measured by a
decrease of two or greater on the CGI–
S scale was 43.3 percent (n=30) for the
SPRAVATO HCL-treated group and 11.8
percent (n=34) for those on the placebo.
Lastly, 67.7 percent of the SPRAVATO
HCL-treated patients and 58.3 percent of
placebo-treated patients experienced a
treatment-emergent adverse event.
There was one serious adverse event in
the SPRAVATO HCL-treated group (hip
fracture) and placebo-treated group
(dizziness) each. The top 5 most
common adverse events in the 34
225 Starr, L., Ochs-Ross, R., Zhang, Y., Singh, J.,
Lim, P., Lane, R., Alphs, L., ‘‘Clinical Response,
Remission, and Safety of Esketamine Nasal Spray in
a US Population of Geriatric Patients With
Treatment-Resistant Depression,’’ American
Psychiatric Association, 2018, New York.
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SPRAVATO HCL-treated patients were
dysphoria (11.8 percent), fatigue (11.8
percent), headache (11.8 percent),
insomnia (11.8 percent), and nausea
(11.8 percent).
The study titled Sustain One concerns
a double-blind, randomized withdrawal,
multi-center study entering either
directly or after completing the doubleblind phase of an acute, short-term
study.226 A total of 705 patients were
enrolled in this study of which 437
entered directly into the study and the
remainder transferred from one of two
short-term SPRAVATO HCL studies
(fixed dose, n=150; flexible dose,
n=118). During the maintenance phase
of this study, analyses were performed
on two mutually exclusive groups: (1)
On the stable remitters who were those
randomized patients who were in stable
remission at the end of the optimization
phase and who received at least one
dose of the study drug with one dose of
an AD; and (2) on the stable responders
who were those randomized patients
who were stable responders at the end
of optimization and who received at
least one dose of the study drug with
one dose of an AD. A relapse was
defined as a MADRS total score of 22 or
greater for 2 consecutive assessments
separated by 5 to 15 days or
hospitalization for worsening
depression or any other clinically
relevant event suggestive of relapse.
Of those classified in stable remission,
90 patients were receiving treatment
with SPRAVATO HCL in combination
with an AD and 86 patients were
receiving treatment with the placebo in
combination with an AD. Of those
classified in stable response, 62 patients
were receiving treatment with
SPRAVATO HCL in combination with
an AD and 59 patients were receiving
treatment with the placebo in
combination with an AD. At baseline,
between group and within group
randomization seems substantively
successful, except for a lower
proportion of placebo-treated stable
responders being male (28.8 percent) as
compared to SPRAVATO HCL-treated
stable responders (38.7 percent),
placebo-treated stable remitters (31.4
percent), and SPRAVATO HCL-treated
stable remitters (35.6 percent).
Kaplan-Meier estimates of patients
who remained relapse free were
performed for both study groups. For
both remitters and responders, the
226 Daly, E., Trivedi, M., Janik, A., Li, H., Zhang,
Y., Li, X., Singh, J., ‘‘A Randomized Withdrawal,
Double-blind, Multicenter Study of Esketamine
Nasal Spray Plus an Oral Anti-depressant for
Relapse Prevent in Treatment-resistant Depression,’’
2018 Annual Meeting of the American Society of
Clinical Psychopharmacology (ASCP), 2018, Miami.
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SPRAVATO HCL-treated had a higher
percent of patients without relapse for
longer than the control group. Overall,
among the stable remitters, 24 (26.7
percent) of the patients in the
SPRAVATO HCL-treated group and 39
(45.3 percent) of the patients in the
placebo-treated group experienced a
relapse event during the maintenance
phase; among stable responders, 16
(25.8 percent) of the patients and 34
(57.6 percent) of the patients in the
respective groups relapsed. Treatment
with SPRAVATO HCL in combination
with an AD decreased the risk of relapse
by 51 percent (estimated hazard ratio =
0.49; 95 percent CI: 0.29, 0.84) among
stable remitters and by 70 percent
(hazard ratio = 0.30; 95 percent CI: 0.16,
0.55) among stable responders, as
compared to the placebo.
Safety and adverse events were
presented similarly to the previously
discussed study data. The top 5 of the
22 adverse events were dysgeusia (27.0
percent), vertigo (25.0 percent),
dissociation (22.4 percent), somnolence
(21.1 percent), and dizziness (20.4
percent). The applicant stated that most
adverse events were mild to moderate,
observed post dose on dosing days, and
generally resolved in the same day.
Serious adverse events considered
related to the study drug were reported
for six patients in the SPRAVATO HCL
treatment group (disorientation,
hypothermia, lacunar stroke, sedation,
and suicidal ideation for one patient
each, and autonomic nervous system
imbalance and simple partial seizure for
one patient). The investigator
considered the lacunar infarct as
probably related to the treatment, while
the sponsor considered the events of
lacunar infarct and hypothermia as
doubtfully related to the treatment. As
with the previous studies, present-state
dissociative symptoms and transient
perceptual effects measured by the
CADSS total score began shortly after
the start of SPRAVATO HCL dosing,
peaked at 40 minutes, and resolved by
1.5 hours.
The next study presented by the
applicant titled Sustain Two concerns
an open-label, long-term (up to 1 year of
exposure), multi-center, single-arm,
Phase III study for patients who had
been diagnosed with TRD who entered
into the study as either direct-entry or
transferred-entry (patients who
completed the double-blind,
randomized, 4-week, Phase III, efficacy
and safety study in elderly patients).227
A total of 802 patients were enrolled;
779 entered in the induction phase (691
as direct-entry and 88 as transferredentry non-responders). A total of 603
patients entered the optimization/
maintenance phase (580 from the
induction phase and 23 were
transferred-entry responders). A total of
150 (24.9 percent) of the patients
completed the optimization/
maintenance phase. At that time, the
predefined total patient exposure was
met and the study was stopped by the
sponsor; 331 (54.9 percent) of the
patients were still receiving treatment
and, therefore, discontinued the study.
Patients treated had a starting dose of 56
mg of SPRAVATO HCL, or 28 mg for
patients who were 65 years old or older,
followed by flexible dosing increases
(28 mg to 84 mg per clinical judgment)
twice a week for 4 weeks. Dosages
became stable at 15 days for those under
65 years old, and at 18 days for those
65 years old and older.
At baseline, 802 respondents had an
average age of 52.2 years old, 62.6
percent were women, 85.5 percent were
white, an average BMI of 27.9 percent,
and 43.1 percent with a family history
of depression. The anti-depressants
prescribed to these respondents were
duloxetine (31.1 percent), escitalopram
(29.6 percent), sertraline (19.6 percent),
and venlafaxine extended release (19.5
percent). Of the respondents at baseline,
39.9 percent had used 3 or more ADs
prior to the study with no response.
Safety measures were reported at 4
weeks, 48 weeks, and pooled. For
TEAEs, 83.8 percent of patients
experienced at least one at 4 weeks and
85.6 percent at 48 weeks. TEAEs
occurred in 90.1 percent (n=723) of all
patients and led to discontinuation in
9.5 percent of both the pooled 4 and 48
week patient samples. TEAEs caused 2
deaths (acute respiratory and cardiac
failure, and completed suicide; neither
death considered as related by
investigator) at 48 weeks. The top 5
most common TEAEs for the 4-week
and 48-week time points were dizziness
(29.3 percent and 22.4 percent),
dissociation (23.1 percent and 18.6
percent), nausea (20.2 percent and 13.9
percent), headache (17.6 percent and
18.9 percent), and somnolence (12.1
percent and 14.1 percent). At 4 weeks,
2.2 percent of the patients experienced
at least 1 serious adverse event and 6.3
percent at 48 weeks. Of the 68 serious
adverse events, 63 were assessed as not
related or doubtfully related to
227 Wajs, E., Aluisio, L., Morrison, R., Daly, E.,
Lane, R., Lim, P., Singh, J., ‘‘Long-term Safety of
Esketamine Nasal Spray Plus Oral Anti-depressant
in Patients with Treatment-resistant Depression:
Phase III, Open-label, Safety and Efficacy Study
(SUSTAIN–2),’’ 2018 Annual Meeting of the
American Society of Clinical Psychopharmacology
(ASCP), 2018, Miami.
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treatment involving SPRAVATO HCL by
the investigator. Five of the serious
adverse events (anxiety, delusion,
delirium, suicidal ideation and suicide
attempt) were considered as treatment
related. Overall, performance on
multiple cognitive domains including
visual learning and memory, as well as
spatial memory/executive function
either improved or remained stable post
baseline in both elderly and younger
patients.
Based on all of the above, the
applicant concluded that the use of
SPRAVATO HCL represents a
substantial clinical improvement over
existing technologies. CMS has the
following concerns regarding whether
SPRAVATO HCL meets the substantial
clinical improvement criterion.
First, we are concerned that the use of
the placebo in combination with a
newly prescribed anti-depressant may
not be the most appropriate comparator
when assessing the clinical
improvement of the use of SPRAVATO
HCL as compared to existing therapies.
In its application, the applicant listed
multiple treatment options aside from
the use of anti-depressants, which are
currently available to treat diagnoses of
TRD. It is possible that other treatments
approved for diagnoses of TRD may
obtain better treatment outcomes than
changing to a new single anti-depressant
(as was the method used in the studies
submitted in support of this
application). Comparisons with existing
treatments for treatment-resistant major
depressive disorders would help us
better evaluate the clinical
improvements offered by the use of
SPRAVATO HCL.
Second, we are not certain that the
results in the studies submitted
consistently show that the use of
SPRAVATO HCL represents a
substantial clinical improvement when
compared to existing therapies. There
does not appear to be a consistent
statistically significant positive primary
efficacy outcome for SPRAVATO HCLtreated patients compared to placebotreated patients. Based on the data
provided, we also are uncertain of the
extent to which the findings from the
submitted studies apply to the broader
Medicare population. We are
particularly concerned that there are
few substantive and statistically
significant improvements in depression
outcomes with SPRAVATO HCL
treatment among the Medicare-aged
participants of the study samples. In
addition, the studies which limit their
analyses to Medicare-aged study
participants have limited racial
diversity amongst small samples. In
addition, we note that the submitted
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studies excluded patients with
significant medical and psychiatric
comorbidities through exclusion
criteria. However, the likelihood of
having multiple chronic comorbid
conditions is increased amongst those
with a mental health disorder 228 229 and
for the elderly.230 231 The existence of
comorbidities increases the likelihood
that the negative effects of polypharmacy and drug-drug interactions
could be experienced among the
Medicare population. Given that the
provided studies utilized exclusion
criteria, which excluded those with
serious comorbidities, we are concerned
that the limited results do not
adequately represent the average or even
the majority of the Medicare population.
Third, we have concerns regarding the
primary and secondary endpoints for
several of these studies. It is unclear
whether the primary endpoint of these
studies (change in baseline MADRS) is
the most appropriate endpoint to assess
substantial clinical improvement,
particularly as it unclear what threshold
degree of change was defined as meeting
the definition of change from baseline in
the analyses, and whether this degree of
change translates to clinical
improvement (for example, response
and remissions rates). In addition, we
have concerns regarding the potential
for physician behavior to have
introduced bias, which could impact the
study results. The studies state that antidepressants are physician assigned and
not randomized. Some of the provided
studies control for the type of antidepressant prescribed (SSRI and SNRI).
We believe there is the potential for an
interaction effect between the
prescribed anti-depressant and
SPRAVATO HCL. It is possible that one
particular anti-depressant (of the antidepressants used in the studies)/
SPRAVATO HCL combination accounts
for the entirety of the differences seen
between the treated groups and the
control groups. Without consistently
controlling for the specific antidepressants prescribed in multivariate
228 Thorpe, K., Jain, S., & Joski, P., ‘‘Prevalence
and Spending Associated with Patients Who have
a Behavioral Health Disorder and Other
Conditions,’’ Health Affairs, 2017, vol. 36(1), pp.
124–132, doi:10.1377/hlthaff.2016.0875.
229 Druss, B., & Walker, E., 2011, ‘‘Mental
Disorders and Medical Comorbidity,’’ Robert Wood
Johnson Foundation, 2011. Available at: https://
www.policysynthesis.org.
230 Kim, J., & Parish, A., ‘‘Polypharmcy and
Medication Management in Older Adults,’’ Nurs
Clin N Am, 2017, vol. 52, pp. 457–468, doi:https://
dx.doi.org/10.1016/j.cnur.2017.04.007.
231 Kim, L., Koncilja, K., & Nielsen, C.,
‘‘Medication Management in Older Adults,’’
Cleveland Clinic Journal of Medicine, 2018, vol.
85(2), pp. 129–135, doi:10.3949/ccjm.85a.16109.
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analyses, we may not be able to parse
this potentially complex relation apart.
Fourth, given that SPRAVATO HCL is
comprised of the drug ketamine, we are
concerned with the potential for abuse.
Ketamine is accepted as a medication
for which there is a strong possibility for
abuse.232 233 234 As one publication finds,
current abuse of intravenous ketamine
occurs intranasally.235 While clinical
trials assess the short-term benefits of
ketamine treatment, there exists a
paucity of long-term studies to assess
whether chronic usage of this product
may increase the likelihood of abuse.236
In light of the potential for addictive
behavior, we are concerned that despite
any demonstrated short-term clinical
benefits, there may be potential
negatives for the use of this drug in the
longer term.
We are inviting public comments on
whether SPRAVATO HCL meets the
substantial clinical improvement
criterion. We did not receive any
written comments in response to the
New Technology Town Hall meeting
notice published in the Federal Register
regarding the substantial clinical
improvement criterion for SPRAVATO
HCL or at the New Technology Town
Hall meeting.
k. XOSPATA
Astellas Pharma U.S., Inc. submitted
an application for new technology addon payments for XOSPATA®
(gilteritinib) for FY 2020. XOSPATA®
received FDA approval November 28,
2018, and is indicated for the treatment
of adult patients who have been
diagnosed with relapsed or refractory
acute myeloid leukemia (AML) with a
232 Schak, K., Vande Voort, J., Johnson, E., Kung,
S., Leung, J., Rasmussen, K., Frye, M., ‘‘Potential
Risks of Poorly Monitored Ketamine Use in
Depression Treatment,’’ American Journal of
Psychiatry, 2016, vol. 173(3), pp. 215–218.
Available at: https://www.ajp.psychiatryonline.org.
233 Freedman, R., Brown, A., Cannon, T., Druss,
B., Earls, F., Escobar, J., Xin, Y., ‘‘Can a Framework
be Established for the Safe Use of Ketamine?,’’
American Journal of Psychiatry, 2018, vol. 7, pp.
587–589. Available at: https://
www.ajp.psychiatryonline.org.
234 Sanacora, G., Frye, M., McDonald, W.,
Mathew, S., Turner, M., Schatzberg, A., Nemeroff,
C., ‘‘A Consensus Statement on the Use of Ketamine
in the Treatment of Mood Disorders,’’ JAMA
Psychiatry, 2017, Special Communication, E1–E6.
doi:10.1001/jamapsychiatry.2017.0080.
235 Schak, K., Vande Voort, J., Johnson, E., Kung,
S., Leung, J., Rasmussen, K., Frye, M., ‘‘Potential
Risks of Poorly Monitored Ketamine Use in
Depression Treatment,’’ American Journal of
Psychiatry, 2016, vol. 173(3), pp. 215–218.
Available at: https://www.ajp.psychiatryonline.org.
236 Sanacora, G., Frye, M., McDonald, W.,
Mathew, S., Turner, M., Schatzberg, A., Nemeroff,
C., ‘‘A Consensus Statement on the Use of Ketamine
in the Treatment of Mood Disorders,’’ JAMA
Psychiatry, 2017, Special Communication, E1–E6.
doi:10.1001/jamapsychiatry.2017.0080.
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FMS-like tyrosine kinase 3 (FLT3)
mutation as detected by an FDAapproved test.
According to the applicant,
XOSPATA® is an oral, small molecule
FMS-like tyrosine kinase 3 (FLT3). The
applicant states that XOSPATA®
inhibits FLT3 receptor signaling and
proliferation in cells exogenously
expressing FLT3, including FLT3
internal tandem duplication (ITD),
tyrosine kinase domain mutations (TKD)
FLT3D835Y and FLT3–ITD–D835Y and
that it induces apoptosis in leukemic
cells expressing FLT3–ITD. FLT3 is a
member of the class III receptor tyrosine
kinase family that is normally expressed
on the surface of hematopoietic
progenitor cells, but it is over expressed
in the majority of AML cases.
The applicant states that AML is a
type of cancer in which the bone
marrow makes abnormal myeloblasts (a
type of white blood cell), red blood
cells, or platelets. According to the
applicant, AML is a rare and rapidly
progressing form of cancer of the blood
and bone marrow, characterized by the
proliferation of immature white blood
cells known as blast cells. The applicant
states that while the specific cause of
AML is unknown, AML is generally
characterized by aberrant differentiation
and increased proliferation of
malignantly transformed myeloid
progenitor cells. It is considered a
heterogeneous disease state with various
molecular and genetic abnormalities,
which result in variable clinical
outcomes. When untreated or refractory
to available treatments, AML results in
the accumulation of these transformed
cells within the bone marrow and
suppression of the production of normal
blood cells (resulting in severe
neutropenia and/or thrombocytopenia).
AML may be associated with infiltration
of these cells into other organs and
tissues and can be rapidly fatal.
Almost 90 percent of leukemia cases
are diagnosed in adults 20 years of age
and older, among whom the most
common types are chronic lymphocytic
leukemia and AML.237 AML accounts
for approximately 80 percent of acute
leukemias diagnosed in adults, with a
median age at diagnosis of 66 years old.
It has been estimated that 19,520 people
are diagnosed annually with AML in the
United States.238 In general, the
237 Atlanta: American Cancer Society; 2017 [cited
October 2018]. Available from: https://
www.cancer.org/content/dam/cancerorg/research/
cancer-facts-and-statistics/cancer-treatment-andsurvivorship-facts-and-figures/cancer-treatmentand-survivorshipfacts-and-figures-2016-2017.pdf.
238 Siegel, R.L., Miller, K.D., Jemal, A., ‘‘Cancer
statistics, 2018,’’ CA Cancer J Clin, 2018, vol. 68(1),
pp. 7–30.
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incidence of AML increases with
advancing age; the prognosis is poorer
in older patients, and the tolerability of
the currently available standard-of-care
treatment for patients who have been
diagnosed with AML is much poorer for
older patients.239
According to the applicant,
approximately 30 percent of adult
patients who have been diagnosed with
AML are refractory, meaning
unresponsive, to induction therapy.
Furthermore, of those who achieve
complete response (CR), approximately
75 percent will relapse. These patients
are then determined to have relapsed/
refractory (R/R) AML. According to the
applicant, several chemotherapy
regimens have been used for the
treatment of patients who have been
diagnosed with resistant or relapsed
disease; however, the chemotherapy
combinations are universally doseintensive and cannot always be easily
administered to older patients because
of a high-risk of unacceptable toxicity.
The applicant indicated that, while
these regimens may generate second
remission rates of up to 50 percent in
patients with a first remission of more
than 1 year, toxicity is high in most
patients who are frail or over 60 years
old.240 241 242 Additionally, the applicant
stated that if patients (including
younger patients) relapse within 6
months of their initial CR, the chance of
attaining a second remission is less than
20 percent with chemotherapy alone.243
Furthermore, 5-year survival after first
relapse is approximately 10 percent,
demonstrating the lack of an effective
cure for patients who have been
diagnosed with relapsed AML.244
Salvage therapy utilizing low-dose
chemotherapy provides a therapy that is
more tolerable; however, the low
response rates (17 to 21 percent) makes
239 Tallman, M.S., ‘‘New strategies for the
treatment of acute myeloid leukemia including
antibodies and other novel agents,’’ Hematology Am
Soc Hematol Educ Program, 2005, pp. 143–50.
240 Rowe, J.M., Tallman, M.S., ‘‘How I treat acute
myeloid leukemia,’’ Blood, 2010, vol. 116(17), pp.
3147–56.
241 Breems, D.A., Van Putten, W.L., Huijgens,
P.C., Ossenkoppele, G.J., Verhoef, G.E., Verdonck,
L.F., et al., ‘‘Prognostic index for adult patients with
acute myeloid leukemia in first relapse,’’ J Clin
Oncol, 2005, vol. 23(9), pp. 1969–78.
242 Karanes, C., Kopecky, K.J., Head, D.R., Grever,
M.R., Hynes, H.E., Kraut, E.H., et al., ‘‘A Phase III
comparison of high dose ARA–C (HIDAC) versus
HIDAC plus mitoxantrone in the treatment of first
relapsed of refractory acute myeloid leukemia
Southwest Oncology Group Study,’’ Leuk Res, 1999,
vol. 23(9), pp. 787–94.
243 Forman, S.J., Rowe, J.M., ‘‘The myth of the
second remission of acute leukemia in the adult,’’
Blood, 2013, vol. 121(7), pp. 1077–82.
244 Rowe, J.M., Tallman, M.S., ‘‘How I treat acute
myeloid leukemia,’’ Blood, 2010, vol. 116(17), pp.
3147–56.
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the benefit of these agents limited.245 246
Patients who are in second relapse or
are refractory to first salvage, meaning
unresponsive to both the preferred
treatment, as well as the secondary
choice of treatment, have an extremely
poor prognosis, with survival measured
in weeks.247 Additionally, patients who
have been diagnosed with R/R AML
have poor quality of life, higher
hospitalization and total resource use
burden, and higher total healthcare
costs.248 249 250 251
The applicant indicated that patients
who have been diagnosed with AML
with FLT3 positive mutations are a
well-established subpopulation of AML
patients, but there are no approved
therapies for patients who have been
diagnosed with R/R AML with FLT3
mutations. Approximately 30 percent of
patients newly diagnosed with AML
have mutations in the FLT3 gene.252 253
FLT3 is a member of the class III
receptor tyrosine kinase family that is
normally expressed on the surface of
hematopoietic progenitor cells. FLT3
and its ligand play an important role in
proliferation, survival, and
differentiation of multipotent stem cells.
The applicant explained that FLT3 is
overexpressed in the majority of
patients diagnosed with AML. In
addition, activated FLT3 with internal
tandem duplication (ITD) or tyrosine
kinase domain (TKD) mutations at
around D835 in the activation loop are
present in 20 percent to 25 percent and
245 Itzykson, R., Thepot, S., Berthon, C., et al.,
‘‘Azacitidine for the treatment of relapsed and
refractory AML in older patients,’’ Leuk Res, 2015,
vol. 39, pp. 124–130.
246 Khan, N., Hantel, A., Knoebel, R., et al.,
‘‘Efficacy of single-agent decitabine in relapsed and
refractory acute myeloid leukemia,’’ Leuk
Lymphoma, 2017, vol. 58, pp. 1–7.
247 Giles, F., O’Brien, S., Cortes, J., Verstovsek, S.,
Bueso-Ramos, C., Shan, J., et al., ‘‘Outcome of
patients with acute myelogenous leukemia after
second salvage therapy,’’ Cancer, 2005, vol. 104(3),
pp. 547–54.
248 Goldstone, A.H., et al., ‘‘Attempts to improve
treatment outcomes in acute myeloid leukemia
(AML) in older patients: the results of the United
Kingdom Medical Research Council AML11 trial,’’
Blood, 2001, vol. 98(5), pp. 1302–1311.
249 Pandya, B.J., et al., ‘‘Quality of life of Acute
Myeloid Leukemia Patients in a Real-World
Setting,’’ JCO, 2017, vol. 35(15) suppl., e18525.
250 Medeiros, B.C., et al., ‘‘Economic Burden of
Treatment Episodes in Acute Myeloid Leukemia
(AML) Patients in the US: A Retrospective Analysis
of a Commercial Payer Database,’’ ASH, 2017
Poster.
251 Aly, A., et al., ‘‘Economic Burden of Relapsed/
Refractory AML in the U.S.,’’ ASH, 2017 Poster.
252 The Cancer Genome Atlas Research Network,
‘‘Genomic and Epigenomic Landscapes of Adult De
Novo Acute Myeloid Leukemia,’’ N Engl J Med,
2013, vol. 368(22), pp. 2059–2074.
253 Leukemia and Lymphoma Society Facts 2016–
2017. Available at: https://www.lls.org/facts-andstatistics/facts-and-statistics-overview, [Last
accessed March 7, 2018].
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5 percent to 10 percent of AML cases,
respectively.254 These activated
mutations in FLT3 are oncogenic and
show transforming activity in cells.255
Compared to patients with wild-type
FLT3, AML patients with FLT3
mutation experience shorter remission
duration at 2 years, according to the
applicant. Approximately 30 percent of
FLT3–ITD patients relapse versus
approximately 16 percent of other AML
patients.256 Additionally, these patients
experience poorer survival outcomes.
The estimated median OS for patients
who have been newly diagnosed with
FLT3 mutations is 15.2 to 15.5 months
compared to 19.3 to 28.6 months for
patients with wild-type FLT3.257
Patients who have been diagnosed with
R/R FLT3 mutation positive AML have
lower remission rates with salvage
chemotherapy, shorter durations of
remission to second relapse and
decreased overall survival relative to
FLT3 mutation negative
patients.258 259 260 According to the
applicant, patients who have been
diagnosed with FLT3 mutation positive
R/R AML have a substantial unmet
medical need for treatment.
The applicant asserts that currently
there are no unique ICD–10–PCS codes
to describe the administration of
XOSPATA®. We note that the applicant
has submitted a request to the ICD–10
Coordination and Maintenance
Committee for approval for a unique
ICD–10–PCS code to identify
procedures involving the use of
XOSPATA®, beginning in FY 2020.
254 Kindler, T., Lipka, D.B., Fischer, T., ‘‘FLT3 as
a therapeutic target in AML: still challenging after
all these years,’’ Blood, 2010, vol. 116(24), pp.
5089–102.
255 Yamamoto, Y., Kiyoi, H., Nakano, Y., Suzuki,
R., Kodera, Y., Miyawaki, S., et al., ‘‘Activating
mutation of D835 within the activation loop of
FLT3 in human hematologic malignancies,’’ Blood,.
2001, vol. 97, pp. 2434–9.En
256 Brunet, S., et al., ‘‘Impact of FLT3 Internal
Tandem Duplication on the Outcome of Related and
Unrelated Hematopoietic Transplantation for Adult
Acute Myeloid Leukemia in First Remission: A
Retrospective Analysis,’’ J Clin Oncol, March 1,
2012, vol. 30(7), pp. 735–41.
257 Sotak, M.L., et al., ‘‘Burden of Illness of FLT3
Mutated Acute Myeloid Leukemia (AML),’’ Blood,
2011, vol. 118(21), pp. 4765 4765.
258 Konig, H., Levis, M., ‘‘Targeting FLT3 to treat
leukemia. Expert Opin Ther Targets,’’ 2015, vol.
19(1), pp. 37–54.
259 Chevallier, P., Labopin, M., Turlure, P., Prebet,
T., Pigneux, A., Hunault, M., et al., ‘‘A new
Leukemia Prognostic Scoring System for refractory/
relapsed adult acute myelogeneous leukaemia
patients: a GOELAMS study,’’ Leukemia, 2011, vol.
25(6), pp. 939–44.
260 Levis, M., Ravandi, F., Wang, E.S., Baer, M.R.,
Perl, A., Coutre, S., et al., ‘‘Results from a
randomized trial of salvage chemotherapy followed
by lestaurtinib for patients with FLT3 mutant AML
in first relapse,’’ Blood, 2011, vol. 117(12), pp.
3294–301.
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As discussed earlier, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and, therefore,
would not be considered ‘‘new’’ for
purposes of new technology add-on
payments.
With regard to the first criterion,
whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome, the applicant
asserted that XOSPATA® has a unique
mechanism of action and, therefore,
should be considered new under this
criterion. The applicant stated that
XOSPATA® is an oral, small molecule
FMS-like tyrosine kinase 3 (FLT3)
inhibitor. According to the applicant,
XOSPATA® inhibits FLT3 receptor
signaling and proliferation in cells
exogenously expressing FLT3, including
FLT3 internal tandem duplication (ITD),
tyrosine kinase domain mutations (TKD)
FLT3–D835Y and FLT3–ITD D835Y,
and it induces apoptosis in leukemic
cells expressing FLT3–ITD. The
applicant asserted that XOSPATA® is
the only FLT3-targeting agent approved
by the FDA for the treatment of relapsed
or refractory FLT3mut+ AML.
With regard to the second criterion,
whether a product is assigned to the
same or a different MS–DRG, the
applicant asserted that cases involving
patients being medically treated for the
type of AML indicated for XOSPATA®
would map to the following MS–DRGs:
834 (Acute Leukemia without Major
O.R. Procedure with MCC), 835 (Acute
Leukemia without Major O.R. Procedure
with CC), and 836 (Acute Leukemia
without Major O.R. Procedure without
CC/MCC). Under current coding
conventions, it appears likely that cases
involving treatment with the use of
XOSPATA® would map to the same
MS–DRGs as existing therapies.
With regard to the third criterion,
whether the new use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population when
compared to an existing technology, the
applicant stated that XOSPATA® is
FDA-approved for the treatment of adult
patients who have relapsed or refractory
AML with a FLT3 mutation. Cases
representing potential patients that may
be eligible for treatment involving
XOSPATA® would be identified by
ICD–10–CM diagnostic codes C92.02
(Acute myeloblastic leukemia, in
relapse) and C92.A2 (Acute myeloid
leukemia with multilineage dysplasia,
in relapse). The applicant further
asserted that there are currently no other
FLT3-targeting agents approved for the
treatment of patients who have been
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diagnosed with relapsed or refractory
FLT3mut+ AML. Therefore, the
applicant asserted that XOSPATA® is
indicated to treat a new patient
population for which there are no other
technologies currently available.
We are inviting public comments on
whether XOSPATA® is substantially
similar to any existing technologies, and
whether it meets the newness criterion.
With regard to the cost criterion, the
applicant conducted the following
analysis to demonstrate that the
technology meets the cost criterion.
The applicant searched the FY 2017
MedPAR data file for cases reporting
ICD–10–CM diagnosis codes C92.02
(Acute myeloblastic leukemia, in
relapse) and C92.A2 (Acute myeloid
leukemia with multilineage dysplasia,
in relapse) listed as a primary or
secondary diagnosis that mapped to
MS–DRGs 834, 835, and 836. The
applicant applied the following trims to
the cases:
• Excluded Health Maintenance
Organization (HMO) and IME Only
claims;
• Excluded cases for bone marrow
transplant because potential eligible
patients who may receive treatment
involving XOSPATA® would not
receive a bone marrow transplant during
the same admission as they received
chemotherapy;
• Excluded cases indicating an O.R.
procedure;
• Excluded cases treated at 8
providers that were not listed in the FY
2019 IPPS/LTCH PPS final rule
correction notice impact file (these are
predominately cancer hospitals).
After applying the trims above, 407
potential cases remained. The applicant
noted that it used only departmental
charges that are used by CMS for
ratesetting.
Using the 407 cases, the applicant
determined an average case-weighted
unstandardized charge per case of
$166,389. The applicant then removed
all pharmacy charges because the
applicant believed that patients would
typically receive other pharmaceuticals
such as anti-emetics during the hospital
stay and patients receiving treatment
involving the use of XOSPATA® would
continue to receive those receive other
pharmaceuticals. Additionally,
according to the applicant, blood
charges were reduced because some
patients receiving treatment involving
the use of XOSPATA® became infusion
independent in the clinical trial. The
applicant standardized the charges for
each case and inflated each case’s
charges by applying the proposed
outlier charge inflation factor of
1.085868 (included in the FY 2019
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IPPS/LTCH PPS proposed rule (83 FR
20581)). The applicant calculated an
average case-weighted standardized
charge per case of $157,034 using the
percent distribution of MS–DRGs as
case-weights. Based on this analysis, the
applicant determined that the
technology met the cost criterion
because the final inflated average caseweighted standardized charge per case
for XOSPATA® exceeded the average
case-weighted threshold amount of
$88,479 by $68,555. As noted, the
inflation factor used by the applicant
was the proposed 2-year inflation factor,
which was discussed in the FY 2019
IPPS/LTCH PPS final rule summation of
the calculation of the FY 2019 IPPS
outlier charge inflation factor for the
proposed rule (83 FR 41718 through
41722). The final 2-year inflation factor
published in the FY 2019 IPPS/LTCH
PPS final rule was 1.08864 (83 FR
41722), which was revised in the FY
2019 IPPS/LTCH PPS final rule
correction notice to 1.08986 (83 FR
49844).
We note that, although the applicant
used the proposed rule value to inflate
the standardized charges, even when
using the final rule value or the
corrected final rule value revised in the
correction notice to inflate the charges,
the final inflated average case-weighted
standardized charge per case for
XOSPATA® would exceed the average
case-weighted threshold amount. We are
inviting public comments on whether
XOSPATA® meets the cost criterion.
With regard to substantial clinical
improvement, the applicant submitted
one central study to support its
assertion that XOSPATA® represents a
substantial clinical improvement over
existing technologies because it offers a
treatment option for FLT3mut+ AML
patients ineligible for currently
available treatments. The applicant also
asserted that XOSPATA® represents a
substantial clinical improvement
because the technology reduces
mortality, decreases the number of
subsequent diagnostic or therapeutic
interventions, and reduces the number
of future hospitalizations due to adverse
events as shown by its studies.261
According to the applicant, the
efficacy of XOSPATA® in the treatment
of patients who have been diagnosed
with R/R AML has been demonstrated
in a U.S.-based, multi-national, activecontrolled, Phase III study (ADMIRAL,
2215–CL–0301). This study was
261 Astellas, ‘‘A Phase 3 Open-label, Multicenter,
Randomized Study of ASP2215 versus Salvage
Chemotherapy in Patients with Relapsed or
Refractory Acute Myeloid Leukemia (AML) with
FLT3 Mutation, Clinical Study Report,’’ March
2018.
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designed to determine the clinical
benefit of the use of XOSPATA® in
patients who have been diagnosed with
FMS-like tyrosine kinase (FLT3)
mutated AML who are refractory to, or
have relapsed, after first-line AML
therapy as shown with overall survival
(OS) compared to salvage
chemotherapy, and to determine the
efficacy of the use of XOSPATA® as
assessed by the rate of complete
remission and complete remission with
partial hematological recovery (CR/CRh)
in these patients.262
In the ADMIRAL (2215–CL–0301)
study, the applicant noted that
XOSPATA® demonstrated clinically
meaningful CR and CRh rates, as well as
a clinically meaningful duration of CR/
CRh in the patients studied. The CR/
CRh rate was 21.8 percent, with 31/142
patients achieving a CR/CRh, 18/142
patients achieving CR (12.7 percent) and
13/142 patients achieving a CRh (9.2
percent). Of the 31 patients (21.8
percent) who achieved CR/CRh, the
median duration of remission was 4.5
months. For the 18 patients who
achieved CR and the 13 patients who
achieved CRh, the median duration of
response was 8.7 months and 2.9
months, respectively.263
The safety evaluation of XOSPATA®
is based on 292 patients who had been
diagnosed with relapsed or refractory
AML treated with 120 mg of
XOSPATA® daily. The applicant noted
that when looking at the ADMIRAL
study, the most common serious adverse
events (SAEs) (Grade III or above) were
lab abnormalities of elevation of liver
transaminases in 43 (15 percent) of
patients, fatigue in 14 (5 percent) of
patients, myalgia or arthralgia in 13 (5
percent) of patients, and gastrointestinal
disorders of diarrhea in 8 (3 percent) of
patients and nausea in 4 (1 percent) of
patients. Due to the number and type of
SAEs reported, the applicant believed
that XOSPATA® has the potential to
decrease the number of subsequent
future hospitalizations or physician
visits as a result of management of
adverse events, in particular serious
adverse events.
Transfusion dependence was also
evaluated in the XOSPATA®-treated
patients. In some hematologic disorders,
becoming transfusion independent or
receiving fewer transfusions over a
specified interval is defined as
improvement or response depending on
whether therapy is given.264
262 Ibid.
263 Draft XOSPATA® (package insert) Northbrook,
IL, Astellas Pharma US, Inc., 2018.
264 Gale, R.P., Barosi, G., Barbui, T., Cervantes, F.,
Dohner, K., Dupriez, B., et al., ‘‘What are RBC-
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In the ADMIRAL study, at baseline
prior to therapy initiation, 34 patients in
the XOSPATA® arm were classified as
transfusion independent and 107
patients were classified as transfusion
dependent. Of these transfusion
dependent patients, 34 (31.8 percent)
patients became transfusion
independent during XOSPATA®
treatment. Of the 34 patients who were
transfusion independent at baseline, 18
(52.9 percent) patients maintained
transfusion independence during
XOSPATA® treatment.
The applicant asserted that the use of
XOSPATA® addresses a medical need
in a patient population that has been
difficult to manage in the past due to
limited treatment options. In the
ADMIRAL study, the applicant
provided data specific to reduced
mortality rate compared to historical
data. Because of the small number of
SAEs, the applicant stated that it
anticipates reduction of subsequent
diagnostic and therapeutic
interventions, as well as decreased
number of future physician visits and
hospitalization as noted previously.
However, the applicant did not provide
direct numbers for the comparator arm
of the ADMIRAL study in its
application. Because of this, we are
concerned that it may be difficult to
determine XOSPATA®’s comparative
effectiveness. We note that, the
ADMIRAL study was designed to
evaluate efficacy and head-to-head trials
are lacking. Until the comparative data
for both randomized arms are available,
we are concerned that there may be
insufficient evidence to determine that
XOSPATA® provides a substantial
clinical improvement over existing
technologies.
We are inviting public comments on
whether XOSPATA® meets the
substantial clinical improvement
criterion. We did not receive any
written public comments in response to
the New Technology Town Hall meeting
notice published in the Federal Register
regarding the substantial clinical
improvement criterion for XOSPATA®
or at the New Technology Town Hall
meeting.
l. GammaTileTM
GT Medical Technologies, Inc.
submitted an application for new
technology add-on payments for FY
2020 for the GammaTileTM. We note that
Isoray Medical, Inc. and GammaTile,
LLC previously submitted an
application for new technology add-on
payments for GammaTileTM for FY
transfusion-dependence and -independence?,’’
Leuk. Res, 2011, vol. 35(1).
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2018, which was withdrawn, and also
for FY 2019, however the technology
did not receive FDA approval or
clearance by July 1, 2018 and, therefore,
was not eligible for consideration for
new technology add-on payments. The
GammaTileTM is a brachytherapy
technology for use in the treatment of
patients who have been diagnosed with
brain tumors, which uses cesium-131
radioactive sources embedded in a
collagen matrix. GammaTileTM is
designed to provide adjuvant radiation
therapy to eliminate remaining tumor
cells in patients who required surgical
resection of brain tumors. According to
the applicant, the GammaTileTM
technology is a new vehicle of delivery
for and inclusive of cesium-131
brachytherapy sources embedded
within the product. The applicant stated
that the technology has been
manufactured for use in the setting of a
craniotomy resection site where there is
a high chance of local recurrence of a
CNS or dual-based tumor. The applicant
asserted that the use of the
GammaTileTM technology provides a
new, unique modality for treating
patients who require radiation therapy
to augment surgical resection of
malignancies of the brain. By offsetting
the radiation sources with a 3mm gap of
a collagen matrix, the applicant asserted
that the use of the GammaTileTM
technology resolves issues with ‘‘hot’’
and ‘‘cold’’ spots associated with
brachytherapy, improves safety, and
potentially offers a treatment option for
patients with limited, or no other,
available options. The GammaTileTM is
biocompatible and bioabsorbable, and is
left in the body permanently without
need for future surgical removal. The
applicant asserted that the commercial
manufacturing of the product will
significantly improve on the process of
constructing customized implants with
greater speed, efficiency, and accuracy
than is currently available, and requires
less surgical expertise in placement of
the radioactive sources, allowing a
greater number of surgeons to utilize
brachytherapy techniques in a wider
variety of hospital settings.
The GammaTileTM technology
received FDA clearance under section
510(k) as a Class II medical device on
July 6, 2018. The FDA application
included the indication for
GammaTileTM to be used to provide
radiation therapy for patients who have
been diagnosed with recurrent
intercranial neoplasms. The applicant
submitted a request for approval for a
unique ICD–10–PCS code for the use of
the GammaTileTM technology, which
was approved effective October 1, 2017
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(FY 2018). The ICD–10–PCS procedure
code used to identify procedures
involving the use of the GammaTileTM
technology is 00H004Z (Insertion of
radioactive element, cesium-131
collagen implant into brain, open
approach).
As discussed earlier, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and would not be
considered ‘‘new’’ for purposes of new
technology add-on payments.
With regard to the first criterion,
whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome, the applicant
stated that when compared to treatment
using external beam radiation therapy,
GammaTileTM uses a new and unique
mechanism of action to achieve a
therapeutic outcome. The applicant
explained that the GammaTileTM
technology is fundamentally different in
structure, function, and safety from all
external beam radiation therapies, and
delivers treatment through a different
mechanism of action. In contrast to
external beam radiation modalities, the
applicant further explained that the
GammaTileTM is a form of internal
radiation termed brachytherapy.
According to the applicant,
brachytherapy treatments are performed
using radiation sources positioned very
close to the area requiring radiation
treatment and deliver radiation to the
tissues that are immediately adjacent to
the margin of the surgical resection.
Conversely, external beam radiation
therapy travels inward and typically
exposes radiation to a large volume of
normal brain tissue. As a result, the
common clinical practice to avoid
radiation toxicity is to reduce dosage
ranges, limiting overall efficacy.
Due to the custom positioning of the
radiological sources and the use of the
cesium-131 isotope, the applicant noted
that the GammaTileTM technology
focuses therapeutic levels of radiation
on an extremely small area of the brain.
Unlike all external beam techniques, the
applicant stated that this radiation does
not pass externally inward through the
skull and healthy areas of the brain to
reach the targeted tissue and, therefore,
may limit neurocognitive deficits seen
with the use of external beam
techniques. Because of the rapid
reduction in radiation intensity that is
characteristic of cesium-131, the
applicant asserted that the
GammaTileTM technology can target the
margin of the excision with greater
precision than any alternative treatment
option, while sparing healthy brain
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19339
tissue from unnecessary and potentially
damaging radiation exposure.
The applicant also stated that, when
compared to other types of brain
brachytherapy, GammaTileTM uses a
new and unique mechanism of action to
achieve a therapeutic outcome. The
applicant explained that cancerous cells
at the margins of a tumor resection
cavity can also be irradiated with the
placement of brachytherapy sources in
the tumor cavity. However, the
applicant asserted that the
GammaTileTM technology is a
pioneering form of brachytherapy for
the treatment of brain tumors that uses
the isotope cesium-131 embedded in a
collagen implant that is customized to
the geometry of the brain cavity.
According to the applicant, the use of
cesium-131 and the custom distribution
of seeds offset in a three-dimensional
collagen matrix results in a unique and
highly effective delivery of radiation
therapy to brain tissue. Specifically, the
applicant asserted that the offset
radiation source permits only a
prescribed radiation dose to reach the
target surface, reducing the potential for
radiation induced necrosis and the need
for reoperation. Additionally, the
applicant stated that because the halflife of cesium-131 used in GammaTileTM
is shorter compared to other
brachytherapy isotopes, this results in a
more rapid and effective energy
deposition than other isotopes with
longer half-lives. Therefore, applicant
believes that GammaTileTM is unique
due to the greater relative biological
effectiveness compared to other
brachytherapy options.
With regard to the second criterion,
whether a product is assigned to the
same or a different MS–DRG, the
GammaTileTM technology is a treatment
option for patients who have been
diagnosed with brain tumors that
progress locally after initial treatment
with external beam radiation therapy,
and cases involving this technology are
assigned to the same MS–DRG (MS–
DRG 023 (Craniotomy with Major
Device Implant/Acute Complex CNS
PDX with MCC or Chemotherapy
Implant)) as other current treatment
forms of brachytherapy and external
beam radiation therapy.
With regard to the third criterion,
whether the new use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population, the applicant
stated that the GammaTileTM technology
offers a treatment option for a patient
population with limited, or no other,
available treatment options. The
applicant explained that treatment
options for patients who have been
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diagnosed with brain tumors that
progress locally after initial treatment
with external beam radiation therapy
are limited, and there is no current
standard-of-care in this setting.
According to the applicant, surgery
alone for recurrent tumors may provide
symptom relief, but does not remove all
of the cancerous cells. The applicant
further stated that repeating external
beam radiation therapy for adjuvant
treatment is hampered by an increasing
risk of brain injury because additional
external beam radiation therapy will
increase the total dose of radiation to
brain tissue, as well as increase the total
volume of irradiated brain tissue.
Secondary treatment with external beam
radiation therapy is often performed
with a reduced and, therefore less
effective, dose. The applicant stated that
the technique of implanting cesium-131
seeds in a collagen matrix is currently
only available to patients in one
location and requires a high degree of
expertise to implant. The manufacturing
process of the GammaTileTM will greatly
expand the availability of treatment
beyond research programs at highly
specialized cancer treatment centers.
Based on the above, the applicant
concluded that the GammaTileTM
technology is not substantially similar
to other existing technologies and meets
the newness criterion.
However, we are concerned that the
mechanism of action of the
GammaTileTM may be the same or
similar to current forms or radiation
therapy or brachytherapy. Specifically,
while the placement of the cesium-131
source (or any radioactive source) in a
collagen matrix offset may constitute a
new delivery vehicle, we are concerned
that this sort of improvement in
brachytherapy for the use in the salvage
treatment of radiosensitive malignancies
of the brain may not represent a new
mechanism of action. We also question
whether the technology treats a new
patient population, as maintained by the
applicant, because of the availability of
other implantable treatment devices that
treat the same patient population as the
patients treated by the GammaTileTM.
We are inviting public comments on
whether the GammaTileTM technology is
substantially similar to any existing
technologies and whether it meets the
newness criterion.
With regard to the cost criterion, the
applicant conducted the following
analysis. The applicant worked with the
Barrow Neurological Institute at St.
Joseph’s Hospital and Medical Center
(St. Joseph’s) to obtain actual claims
from mid-2015 through mid-2016 for
craniotomies that did not involve
placement of the GammaTileTM
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technology. The cases were assigned to
MS–DRGs 025 through 027 (Craniotomy
and Endovascular Intracranial
Procedures with MCC, with CC, and
without CC/MCC, respectively). For the
460 claims, the average case-weighted
unstandardized charge per case was
$143,831. The applicant standardized
the charges for each case and inflated
each case’s charges by applying the
outlier charge inflation factor of 1.04205
included in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41718) by the age
of each case (that is, the factor was
applied to 2015 claims 3 times and 2016
claims 2 times). The applicant then
calculated an estimate for ancillary
charges associated with placement of
the GammaTileTM device, as well as
standardized charges for the
GammaTileTM device itself. The
applicant determined it meets the cost
criterion because the final inflated
average case-weighted standardized
charge per case (including the charges
associated with the GammaTileTM
device) of $253,876 exceeds the average
case-weighted threshold amount of
$143,749 for MS–DRG 023, the MS–DRG
that would be assigned for cases
involving the GammaTileTM device.
The applicant also noted, in response
to a concern expressed by CMS in the
FY 2018 IPPS/LTCH PPS proposed rule,
that its analysis does not include a
reduction in costs due to reduced
operating room times. The applicant
stated that, while the use the device will
reduce operating times relative to the
freehand placement of seeds in other
brain brachytherapy procedures, none of
the claims in the cost analysis involve
such freehand placement. We are
inviting public comments on whether
the GammaTileTM technology meets the
cost criterion.
With regard to substantial clinical
improvement, the applicant stated that
the GammaTileTM technology offers a
treatment option for a patient
population unresponsive to, or
ineligible for, currently available
treatments for recurrent CNS
malignancies and significantly improves
clinical outcomes when compared to
currently available treatment options.
The applicant explained that
therapeutic options for patients who
have been diagnosed with large or
recurrent brain metastases are limited
(for example, stereotactic radiotherapy,
additional EBRT, or systemic
immunochemotherapy). However,
according to the applicant, the
GammaTileTM technology provides a
treatment option for patients who have
been diagnosed with radiosensitive
recurrent brain tumors that are not
eligible for treatment with any other
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currently available treatment option.
Specifically, the applicant stated that
the GammaTileTM device may provide
the only radiation treatment option for
patients who have been diagnosed with
tumors located close to sensitive vital
brain sites (for example, brain stem) and
patients who have been diagnosed with
recurrent brain tumors who may not be
eligible for additional treatment
involving the use of external beam
radiation therapy. There is a lifetime
limit for the amount of radiation therapy
a specific area of the body can receive.
Patients whose previous treatment
includes external beam radiation
therapy may be precluded from
receiving high doses of radiation
associated with subsequent external
beam radiation therapy, and the
GammaTileTM technology can also be
used to treat tumors that are too large for
treatment with external beam radiation
therapy. Patients who have been
diagnosed with these large tumors are
not eligible for treatment with external
beam radiation therapy because the
radiation dose to healthy brain tissue
would be too high.
The applicant summarized how the
GammaTileTM technology improves
clinical outcomes compared to existing
treatment options, including external
beam radiation therapy and other forms
of brain brachytherapy as: (1) Providing
a treatment option for patients with no
other available treatment options; (2)
reducing the rate of mortality compared
to alternative treatment options; (3)
reducing the rate of radiation necrosis;
(4) reducing the need for re-operation;
(5) reducing the need for additional
hospital visits and procedures; and (6)
providing more rapid beneficial
resolution of the disease process
treatment.
The applicant cited several sources of
data to support these assertions. The
applicant referenced a paper by
Brachman, Dardis et al., which was
published in the Journal of
Neurosurgery on December 21, 2018.265
This study, a follow-up on the progress
of 20 patients with recurrent previously
irradiated meningiomasis, is a feasibility
or superior progression-free survival
study comparing the patient’s own
historical control rate against
subsequent treatment with
GammaTileTM.
An additional source of clinical data
is from Gamma Tech’s internal review
of data from two centers treating brain
tumors with GammaTileTM; the two
265 Brachman, D., et al., ‘‘Resection and
permanent intracranial brachytherpay using
modular, biocompatible cesium-131 implants:
Results in 20 recurrent previously irradiated
meningiomas,’’ J Neurosurgery, December 21, 2018.
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centers are the Barrow Neurological
Institute (BNI) at St. Joseph’s Hospital
and St. Joseph’s Medical Center,
Phoenix, AZ, and this internal review is
referred to herein as the ‘‘BNI’’ study.266
The BNI study summarized Gamma
Tech’s experience with the
GammaTileTM technology. Another
source of data that the applicant cited to
support its assertions regarding
substantial clinical improvement is an
abstract by Pinnaduwage, D., et al. Also
submitted in the application were
abstracts from 2014 through 2018 in
which updates from the progression-free
survival study and the BNI study were
presented at specialty society clinical
conferences. The following summarizes
the findings cited by the applicant to
support its assertions regarding
substantial clinical improvement.
Regarding the assertion of local
control, the 2018 article which was
published in the Journal of
Neurosurgery found that, with a median
follow-up of 15.4 months (range 0.03–
47.5 months), there were 2 reported
cases of recurrence out of 20
meningiomas, with median treatment
site progression time after surgery and
brachytherapy with the GammaTileTM
precursor and prototype devices not yet
being reached, compared to 18.3 months
in prior instances. Median overall
survival after resection and
brachytherapy was 26 months, with 9
patient deaths. In a presentation at the
Society for Neuro-Oncology in
November 2014,267 the outcomes of 20
patients who were diagnosed with 27
tumors covering a variety of histological
types treated with the GammaTileTM
prototype were presented. The applicant
noted the following with regard to the
patients: (1) All tumors were
intracranial, supratentorial masses and
included low and high-grade
meningiomas, metastases from various
primary cancers, high-grade gliomas,
and others; (2) all treated masses were
recurrent following treatment with
surgery and/or radiation and the group
averaged two prior craniotomies and
two prior courses of external beam
radiation treatment; and (3) following
surgical excision, the prototype
GammaTileTM were placed in the
resection cavity to deliver a dose of 60
Gray to a depth of 5 mm of tissue; and
(4) all patients had previously
experienced regrowth of their tumors at
the site of treatment and the local
control rate of patients entering the
study was 0 percent.
With regard to outcomes, the
applicant stated that, after their initial
treatment, patients had a median
progression-free survival time of 5.8
months; post treatment with the
prototype GammaTileTM, at the time of
this analysis, only 1 patient had
progressed at the treatment site, for a
local control rate of 96 percent; and
median progression-free survival time, a
measure of how long a patient lives
without recurrence of the treated tumor,
had not been reached (as this value can
only be calculated when more than 50
percent of treated patients have failed
the prescribed treatment).
The applicant also cited the findings
from Brachman, et al. to support local
control of recurrent brain tumors. At the
Society for Neuro-Oncology Conference
on Meningioma in June 2016,268 a
second set of outcomes on the prototype
GammaTileTM was presented. This
study enrolled 16 patients with 20
recurrent Grade II or III meningiomas,
who had undergone prior surgical
excision external beam radiation
therapy. These patients underwent
surgical excision of the tumor, followed
by adjuvant radiation therapy with the
prototype GammaTileTM. The applicant
noted the following outcomes: (1) Of the
20 treated tumors, 19 showed no
evidence of radiographic progression at
last follow-up, yielding a local control
rate of 95 percent; 2 of the 20 patients
exhibited radiation necrosis (1
symptomatic, 1 asymptomatic); and (2)
the median time to failure from the prior
treatment with external beam radiation
therapy was 10.3 months and after
treatment with the prototype
GammaTileTM only 1 patient failed at
18.2 months. Therefore, the median
treatment site progression-free survival
time after the prototype GammaTileTM
treatment had not yet been reached
(average follow-up of 16.7 months,
range 1 to 37 months).
A third prospective study was
accepted for presentation at the
November 2016 Society for NeuroOncology annual meeting.269 In this
study, 13 patients who were diagnosed
with recurrent high-grade gliomas (9
with glioblastoma and 4 with Grade III
266 Brachman, D., et al., ‘‘Surgery and Permanent
Intraoperative Brachytherapy Improves Time to
Progress of Recurrent Intracranial Neoplasms,’’
Society for Neuro-Oncology Conference on
Meningioma, June 2016.
267 Dardis, C., ‘‘Surgery and Permanent
Intraoperative Brachytherapy Improves Times to
Progression of Recurrent Intracranial Neoplasms,’’
Society for Neuro-Oncology, November 2014.
268 Brachman, D., et al, ‘‘Surgery and Permanent
Intraoperative Brachytherapy Improves Time to
Progress of Recurrent Intracranial Neoplasms,’’
Society for Neuro-Oncology Conference on
Meningioma, June 2016.
269 Youssef, E., ‘‘C–131 Implants for Salvage
Therapy of Recurrent High Grade Gliomas,’’ Society
for Neuro-Oncology Annual Meeting, November
2016.
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19341
astrocytoma) were treated in an
identical manner to the cases described
above. Previously, all patients had failed
the international standard treatment for
high-grade glioma, a combination of
surgery, radiation therapy, and
chemotherapy referred to as the ‘‘Stupp
regimen.’’ For the prior therapy, the
median time to failure was 9.2 months
(range 1 to 40 months). After therapy
with a prototype GammaTileTM, the
applicant noted the following: (1) The
median time to same site local failure
had not been reached and 1 failure was
seen at 18 months (local control 92
percent); and (2) with a median followup time of 8.1 months (range 1 to 23
months) 1 symptomatic patient (8
percent) and 2 asymptomatic patients
(15 percent) had radiation-related MRI
changes. However, no patients required
re-operation for radiation necrosis or
wound breakdown. Dr. Youssef was
accepted to present at the 2017 Society
for Neuro-Oncology annual meeting,
where he provided an update of 58
tumors treated with the GammaTileTM
technology. At a median whole group
follow-up of 10.8 months, 12 patients
(20 percent) had a local recurrence at an
average of 11.33 months after implant.
Six and 18 month recurrence free
survival was 90 percent and 65 percent,
respectively. Five patients had
complications, at a rate that was equal
to or lower than rates previously
published for patients without access to
the GammaTileTM technology.
In support of its assertion of a
reduction in radiation necrosis, the
applicant also included discussion of a
presentation by D.S. Pinnaduwage,
Ph.D., at the August 2017 annual
meeting of the American Association of
Physicists in Medicine. Dr.
Pinnaduwage compared the brain
radiation dose of the GammaTileTM
technology with other radioactive seed
sources. Iodine-125 and palladium-103
were substituted in place of the cesium131 seeds. The study reported findings
that other radioactive sources reported
higher rates of radiation necrosis and
that ‘‘hot spots’’ increased with larger
tumor size, further limiting the use of
these isotopes. The study concluded
that the larger high-dose volume with
palladium-103 and iodine-125
potentially increases the risk for
radiation necrosis, and the
inhomogeneity becomes more
pronounced with increasing target
volume. The applicant also cited a
presentation by Dr. Pinnaduwage at the
August 2018 annual meeting of the
American Association of Physicists in
Medicine, in which research findings
demonstrated that seed migration in
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collagen tile implantations was
relatively small for all tested isotopes,
with Cesium-13 showing the least
amount of seed migration.
The applicant asserted that, when
considered in total, the data reported in
these presentations and studies and the
intermittent data presented in their
abstracts support the conclusion that a
significant therapeutic effect results
from the addition of GammaTileTM
radiation therapy to the site of surgical
removal. According to the applicant, the
fact that these patients had failed prior
best available treatments (aggressive
surgical and adjuvant radiation
management) presents the unusual
scenario of a salvage therapy
outperforming the current standard-ofcare. The applicant noted that follow-up
data continues to accrue on these
patients.
Regarding the assertion that
GammaTileTM reduces mortality, the
applicant stated that the use of the
GammaTileTM technology reduces rates
of mortality compared to alternative
treatment options. The applicant
explained that studies on the
GammaTileTM technology have shown
improved local control of tumor
recurrence. According to the applicant,
the results of these studies showed local
control rates of 92 percent to 96 percent
for tumor sites that had local control
rates of 0 percent from previous
treatment. The applicant noted that
these studies also have not reached
median progression-free survival time
with follow-up times ranging from 1 to
37 months. Previous treatment at these
same sites resulted in median
progression-free survival times of 5.8 to
10.3 months.
The applicant further stated that the
use of the GammaTileTM technology
reduces rates of radiation necrosis
compared to alternative treatment
options. The applicant explained that
the rate of symptomatic radiation
necrosis in the GammaTileTM clinical
studies of 5 to 8 percent is substantially
lower than the 26 percent to 57 percent
rate of symptomatic radiation necrosis
requiring re-operation historically
associated with brain brachytherapy,
and lower than the rates reported for
initial treatment of similar tumors with
modern external beam and stereotactic
radiation techniques. The applicant
indicated that this is consistent with the
customized and ideal distribution of
radiation therapy provided by the
GammaTileTM technology.
The applicant also asserted that the
use of the GammaTileTM technology
reduces the need for re-operation
compared to alternative treatment
options. The applicant explained that
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patients receiving a craniotomy,
followed by external beam radiation
therapy or brachytherapy, could require
re-operation in the following three
scenarios:
• Tumor recurrence at the excision
site could require additional surgical
removal;
• Symptomatic radiation necrosis
could require excision of the affected
tissue; and
• Certain forms of brain
brachytherapy require the removal of
brachytherapy sources after a given
period of time.
However, according to the applicant,
because of the high local control rates,
low rates of symptomatic radiation
necrosis, and short half-life of cesium131, the GammaTileTM technology will
reduce the need for re-operation
compared to external beam radiation
therapy and other forms of brain
brachytherapy.
Additionally, the applicant stated that
the use of the GammaTileTM technology
reduces the need for additional hospital
visits and procedures compared to
alternative treatment options. The
applicant noted that the GammaTileTM
technology is placed during surgery,
and does not require any additional
visits or procedures. The applicant
contrasted this improvement with
external beam radiation therapy, which
is often delivered in multiple fractions
that must be administered over multiple
days. The applicant provided an
example where whole brain
radiotherapy (WBRT) is delivered over 2
to 3 weeks, while the placement of the
GammaTileTM technology occurs during
the craniotomy and does not add any
time to a patient’s recovery.
Based on consideration of all of the
data presented above, the applicant
believed that the use of the
GammaTileTM technology represents a
substantial clinical improvement over
existing technologies.
We are concerned that the clinical
efficacy and safety data provided by the
applicant may be limited. The findings
presented appear to be derived from
relatively small case-studies and not
data from FDA approved clinical trials.
While the applicant described increases
in median time to disease recurrence in
support of clinical improvement, we are
concerned with the lack of analysis,
meta-analysis, or statistical tests that
indicated that seeded brachytherapy
procedures represented a statistically
significant improvement over
alternative treatments, such as external
beam radiation or other forms of
brachytherapy. We also are concerned
with the lack of studies involving the
actual manufactured device. Finally,
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while the FDA cleared GammaTileTM
under section 510(k), authorization to
market the device for the cleared
indications, we note that the FDA’s
issuance of a ‘‘substantially equivalent
determination’’ did not indicate a
review of any specific superiority claims
to a predicate device.
We are inviting public comments on
whether the GammaTileTM technology
meets the substantial clinical
improvement criterion. We did not
receive any written comments in
response to the New Technology Town
Hall meeting notice published in the
Federal Register regarding the
substantial clinical improvement
criterion for GammaTileTM or at the
New Technology Town Hall meeting.
m. Imipenem, Cilastatin, and
Relebactam (IMI/REL) Injection
Merck & Co., Inc. submitted an
application for new technology add-on
payments for IMI/REL for FY 2020. The
applicant is seeking an indication for
IMI/REL for the treatment of patients 18
years of age and older who have been
diagnosed with: (a) Complicated intraabdominal infections (cIAI) caused by
susceptible gram-negative
microorganisms where limited or no
alternative therapies are available; and
(b) complicated urinary tract infections
(cUTIs), including pyelonephritis,
caused by susceptible gram-negative
microorganisms where limited or no
alternative therapies are available. The
applicant stated that IMI/REL does not
currently have a trade name, although
an NDA was accepted and is being
reviewed for IMI/REL.
The applicant reported that
complicated intra-abdominal infections
are a subset of intra-abdominal
infections, a term which includes a
diverse set of diseases. It is broadly
defined as peritoneal inflammation in
response to micro-organisms, resulting
in purulence in the peritoneal cavity.
Complicated intra-abdominal infections
extend beyond the source organ into the
peritoneal space. These infections cause
peritoneal inflammation, and are
associated with localized or diffuse
peritonitis. Localized peritonitis often
manifests as an abscess with tissue
debris, bacteria, neutrophils,
macrophages, and exudative fluid
contained in a fibrous capsule. Diffuse
peritonitis is categorized as primary,
secondary, or tertiary peritonitis.270
In addition, the applicant stated that
complicated intra-abdominal infections
270 Lopez, N., Kobayashi, L., Coimbra, R., ‘‘A
Comprehensive review of abdominal infections,’’
World J Emerg Surg, 2011, vol. 6, pp. 7, Published
February 23, 2011, doi:10.1186/1749–7922–6–7.
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are characterized by chills, rigors, or
fever (temperature of greater than or
equal to 38.0 °C); elevated white blood
cell count (greater than 10,000/mm3), or
left shift (greater than 15 percent
immature PMNs); nausea or vomiting;
dysuria, increased urinary frequency, or
urinary urgency; and lower abdominal
pain or pelvic pain. Acute
pyelonephritis is characterized by
chills, rigors, or fever (temperature of
greater than or equal to 38.0 °C);
elevated white blood cell count (greater
than 10,000/mm3), or left shift (greater
than 15 percent immature PMNs);
nausea or vomiting; dysuria, increased
urinary frequency, or urinary urgency;
flank pain; and costo-vertebral angle
tenderness on physical examination.
Risk factors for infection with drugresistant organisms do not, on their
own, indicate a cUTI.271
According to the applicant, IMI/REL
is a fixed-dose combination of
imipenem/cilastatin (IMI), a b-lactam
(BL) antibacterial (specifically, a
carbapenem), and relebactam (REL), a
novel b-lactamase inhibitor (BLI). The
applicant stated that IMI was the first
marketed carbapenem when approved
by the FDA in 1985. It is a sterile
formulation of imipenem (a
thienamycin antibacterial) and cilastatin
sodium (inhibitor of the renal
dipeptidase, dehydropeptidase-l). The
applicant asserted that IMI is stable
against hydrolysis by many extended
spectrum b-lactamases (ESBLs) and is
frequently used for the treatment of
serious bacterial infections in which
gram-negative bacteria and/or anaerobes
play a significant role. The applicant
additionally stated that REL is a non-blactam, small molecule
diazabicyclooctane (DABCO) BLI with
inhibitory activity against various blactamases: Class A carbapenemases
(such as KPC), Class C
cephalosporinases (including AmpC),
and ESBLs.
The applicant stated that procedures
involving the administration of IMI/REL
could be, generally, identified with
ICD–10–PCS codes 3E03329
(Introduction of other anti-infective into
peripheral vein, percutaneous approach)
or 3E04329 (Introduction of other antiinfective into central vein, percutaneous
approach). However, neither code
would uniquely identify procedures
involving the administration of IMI/
REL. The applicant has submitted a
request to the ICD–10 Coordination and
271 Hooton, T. and Kalpana, G., ‘‘Acute
complicated urinary tract infection (including
pyelonephritis) in adults,’’ In A. Bloom (Ed.),
UpToDate. Available at: https://www.uptodate.com/
contents/acute-complicated-urinary-tractinfectionincluding-pyelonephritis-in-adults.
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Maintenance Committee for approval for
an ICD–10–PCS procedure code to
distinctly identify procedures involving
the administration of IMI/REL.
The applicant anticipates that the
recommended dosage of IMI/REL will
be 500 mg imipenem/500 mg cilastatin/
250 mg relebactam, via intravenous
infusion over 30 minutes every 6 hours.
The applicant anticipates that the
dosage will be decreased proportionally
with decreases in the renal creatinine
clearance category.
As discussed earlier, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and would not be
considered ‘‘new’’ for purposes of new
technology add-on payments.
With regard to the first criterion,
whether the product uses the same or a
similar mechanism of action as an
existing technology to achieve the same
therapeutic outcome, the applicant
stated that IMI/REL’s mechanism of
action differentiates it from other
approved injectable antibiotics. The
applicant noted that there are three
other BL/BLI antibiotics that have
recently been FDA-approved, including
Zerbaxa®, Avycaz®, and VABOMERETM.
However, the applicant stated that the
properties of REL, a non-b-lactam, small
molecule diazabicyclooctane (DABCO)
BLI with inhibitory activity against
various b-lactamases including: Class A
carbapenemases (such as KPC), Class C
cephalosporinases (including AmpC),
and ESBLs, when combined with
imipenem and cilastatin, used as blactams, gives IMI/REL a different
mechanism of action from that of the
aforementioned BL/BLI antibiotics. The
applicant provided comparisons of
efficacy with other BL/BLI antibiotics as
evidence of IMI/REL’s unique
mechanism of action, and asserted that
the combination of REL and IMI would
be efficacious in most imipenemresistant strains at clinically achievable
doses and concentrations, and that both
IMI and REL are not subject to efflux
pumps in P. aeruginosa. The applicant
additionally submitted several studies
that noted that REL, as a non-b-lactam,
small-molecule BLI with dual Class A/
C activity, is suited to inactivate blactamase subtypes involved in
carbapenem resistance.272 273 By
272 Sims, et al., ‘‘Prospective, randomized,
double-blind, Phase 2 dose-ranging study
comparing efficacy and safety of imipenem/
cilastatin plus relebactam with imipenem/cilastatin
alone in patients with complicated urinary tract
infections.’’ Journal of Antimicrobial
Chemotherapy. 2017.
273 Rhee, et al., ‘‘Pharmacokinetics, Safety, and
Tolerability of Single and Multiple Doses of
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inhibiting these b-lactamases, the
applicant claims that REL has the
potential to restore IMI’s efficacy against
MDR pathogens previously expressing
resistance to IMI.
With respect to the second criterion,
whether the product is assigned to the
same or a different MS–DRG as existing
technologies, the applicant asserted that
patients who may be eligible to receive
treatment involving IMI/REL include
hospitalized patients who have been
diagnosed with a cUTI or cIAI. We
expect that cases involving IMI/REL
would most likely be assigned to the
same MS–DRGs to which cases
involving comparator treatments are
assigned.
With respect to the third criterion,
whether the new use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population, the applicant
asserted that the use of IMI/REL would
treat a different patient population than
existing and currently available
treatment options. As previously noted,
the applicant submitted several studies
that noted REL, as a non-b-lactam,
small-molecule BLI with dual Class A/
C activity, is suited to inactivate blactamase subtypes involved in
carbapenem resistance.274 275 By
inhibiting these b-lactamases, the
applicant asserts that REL has the
potential to restore IMI’s efficacy against
MDR pathogens previously expressing
resistance to IMI and, therefore, to
extend treatment to patient populations
that might have previously been
resistant to IMI. Additionally, the
applicant compared the administration
of IMI/REL to other comparator
antibiotics to demonstrate its unique
place in the armamentarium, beginning
with three older antibiotics. First, in
comparison to polymyxins, the
applicant asserts that even in colistinderived preparations of polymyxins,
nephrotoxicity is still evident and is the
potential adverse experience of most
Relebactam, a b-LactamaseInhibitor, in
Combination with Imipenem and Cilastatin in
Healthy Participants.’’ Antimicrobial Agents and
Chemotherapy, 2018.
274 Sims, et al., ‘‘Prospective, randomized,
double-blind, Phase 2 dose-ranging study
comparing efficacy and safety of imipenem/
cilastatin plus relebactam with imipenem/cilastatin
alone in patients with complicated urinary tract
infections.’’ Journal of Antimicrobial
Chemotherapy, 2017.
275 Rhee, et al., ‘‘Pharmacokinetics, Safety, and
Tolerability of Single and Multiple Doses of
Relebactam, a b-LactamaseInhibitor, in
Combination with Imipenem and Cilastatin in
Healthy Participants.’’ Antimicrobial Agents and
Chemotherapy, 2018.
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concern to prescribing clinicians,276 and
further asserted that neither polymyxin
B nor colistin have been subjected to
contemporary drug development
procedures.277 Second, the applicant
asserted that clinical data for fosfomycin
in the treatment of MDR bacterial
infections are very scarce. Third, the
applicant stated that tigecycline does
not have activity against Pseudomonas
spp.278 Furthermore, in a safety
announcement released by the FDA in
2013, it was noted that an increased risk
of death was observed with tigecycline
compared to other antibacterials used to
treat similar infections.279
The applicant also compared the
administration of IMI/REL to the three
other aforementioned BL/BLI
antibiotics. First, the applicant asserted
that the use of tazobactam in Zerbaxa®
is not effective against KPC-producing
bacteria 280 and some highly drugresistant strains of P. aeruginosa,
including some carbapenem-resistant
(CR) strains, which are able to escape
the antipseudomonal activity of
Zerbaxa®. Second, the applicant
asserted that there have been recent
reports of resistance to Avycaz®,281 282
including in a recent report published
by the European Centre for Disease
Prevention and Control (ECDC).283 The
276 Dalfino, L, et al., ‘‘High-Dose, extendedinterval colistin administration in critically ill
patients: is this the right dosing strategy? A
preliminary study,’’ Clin Infect Dis, 2012, vol.
54(12), pp. 1720–6.
277 American Thoracic Society, Infectious
Diseases Society of America, ‘‘Guidelines for the
management of adults with hospital lacquired,
ventilator-associated, and healthcare-associated
pneumonia,’’ Am J Respir Crit Care Med, 2005, vol.
171, pp. 388–416.
278 Giamarellou, H., Poulakou, G., ‘‘Multidrugresistant gram-negative infections; what are the
treatment options? Drugs,’’ Drugs, 2009, vol, 69(14),
pp. 1879–1901.
279 FDA Drug Safety Communication: ‘‘FDA
warns of increased risk of death with IV
antibacterial Tygacil (tigecycline) and approves new
Boxed Warning’’, Accessed at https://www.fda.gov/
Drugs/DrugSafety/ucm369580.htm on 11/10/2018.
280 Papp-Wallace, K.M., et al., ‘‘Substrate
selectivity and a novel role in inhibitor
discrimination by residue 237 in the KPC–2
betalactamase,’’ Antimicrob Agents Chemother, Jul
2010, vol. 54(7). pp. 2867–77, doi: 10.1128/
AAC.00197–10, Epub 2010, Apr 26.
281 Shields, R.K., et al., ‘‘Emergence of
ceftazidime-avibactam resistance due to plasmidborne blaKPC–3 mutations during treatment of
carbapenem-resistant Klebsiella pneumoniae
infections,’’ Antimicrob Agents Chemother, Feb 23,
2017, vol. ;61(3), pii: e02097–16, doi: 10.1128/
AAC.02097–16, Print 2017 Mar.
282 Haidar, G,, et al., ‘‘Identifying spectra of
activity and therapeutic niches for ceftazidimeavibactam and imipenem relebactam against
carbapenemresistant Enterobacteriaceae,’’
Antimicrob Agents Chemother, 2017, vol. 61, pp.
e00642–17.
283 European Centre for Disease Prevention and
Control, ‘‘Emergence of resistance to ceftazidimeavibactam in carbapenem-resistant
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applicant reports that additionally,
avibactam has been shown to be subject
to efflux in P. aeruginosa, which the
applicant asserts casts further concerns
regarding its utility.284 285 Third, the
applicant asserted that the use of
vaborbactam in VABOMERETM has little
impact on the activity of meropenem in
vitro against CR P. aeruginosa, arguably
due to vaborbactam being subject to
efflux.286 287 In addition, the applicant
stated that the U.S. Prescribing
Information (USPI) for VABOMERETM
indicates that vaborbactam has no effect
on meropenem activity against
meropenem-susceptible isolates.288
Finally, the applicant compared the
administration of IMI/REL to two
additional antibiotics. First, the
applicant asserted that XeravaTM has no
activity against P. aeruginosa.289
Second, the applicant asserted that
aminoglycosides, including ZemdriTM,
usually have minimal lung penetration,
limiting potential efficacy in HABP/
VABP. The applicant stated that
currently used aminoglycosides are
associated with nephrotoxicity and
ototoxicity, and, outside of UTI, are
rarely given as single agents in the
treatment of serious bacterial infections.
The applicant stated that the approved
USPI for ZemdriTM includes black-box
warnings for nephrotoxicity, ototoxicity,
neuromuscular blockade, and fetal
harm.290
We are concerned that the mechanism
of action of IMI/REL may be similar to
the mechanism of action of other BL/BLI
antibiotics. While we recognize that REL
is used as a unique molecular structure
with respect to other BLIs in BL/BLI
combination, the fundamental
mechanism of action of IMI/REL may be
Enterobacteriaceae, 12 June 2018,’’ Stockholm;
ECDC; 2018.
284 Poster presented at ECCMID 2017 (Apr 22–25),
Vienna (Austria). EP0469: Avibactam is a substrate
for MexAB-OprM in P.aeruginosa.
285 Chalhoub, H., et al., ‘‘Loss of activity of
ceftazidime-avibactam due to Mex-AB-OprM efflux
and overproduction of AmpC cephalosporinase in
Pseudomonas aeruginosa isolated from patients
suffering from cystic fibrosis,’’ Int J Antimicrob
Agents, August 3, 2018, pii: S0924–8579(18)30226–
7, doi: 10.1016/j.ijantimicag.2018.07.027. [Epub
ahead of print].
286 Castanheira, M., et al., ‘‘MeropenemVaborbactam Tested against contemporary gramnegative isolates collected worldwide during 2014,
including carbapenem-resistant, KPC-producing,
multidrug-resistant, and extensively drug-resistant
Enterobacteriaceae,’’ Antimicrob Agents Chemother.
August, 24, 2017, vol. 61(9), pii: e00567–17, doi:
10.1128/AAC.00567–17, Print September 2017.
287 Zhanel, G.G., et al., ‘‘Imipenem-relebactam
and meropenem-vaborbactam: two novel
carbapenem-b-lactamase inhibitor combinations,’’
Drugs, January 2018, vol. 78(1), pp. 65–98, doi:
10.1007/s40265–017–0851–9.
288 USPI for VABOMERETM.
289 USPI for XeravaTM.
290 USPI for ZemdriTM.
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similar to that of other BL/BLIs.
Additionally, with respect to whether
the use of IMI/REL would treat a
different patient population than
existing treatment options, we note that,
while the variety of antibiotic
resistance-patterns certainly warrants a
varied armamentarium for clinicians,
there are existing antimicrobials that are
approved to, generally, treat diagnoses
of cUTIs, cIAIs, and MDR pathogens.
We are concerned that non-uniform
resistance patterns among patients,
necessitating a range of drugs to treat
the same diseases, may not constitute a
new patient population. We are inviting
public comments on whether the IMI/
REL technology is substantially similar
to any existing technologies and
whether it meets the newness criterion,
including with respect to the concerns
we have raised.
The applicant conducted the
following analysis to demonstrate that
the technology meets the cost criterion.
To determine the MS–DRGs that
potential cases representing patients
who may be eligible for treatment
involving the administration of IMI/REL
would map to, the applicant identified
all MS–DRGs containing cases that
reported ICD–10–CM diagnosis codes
for cUTI or cIAI, as a primary or
secondary diagnosis, as well as a
diagnosis code(s) for CRE resistance.
Based on the FY 2017 MedPAR data file
and Hospital Limited Data Set (LDS),
the applicant identified a total of 21,111
cases representing patients who may be
eligible for treatment with the
administration of IMI/REL, which
mapped to 441 unique MS–DRGs. There
were 307 MS–DRGs with very minimal
frequencies (fewer than 11 cases), and a
total of 1,138 cases associated with
these low-volume MS–DRGs. After
trimming the cases that were mapped to
low-volume MS–DRGS, the applicant
identified 19,973 cases that were
mapped to 134 unique MS–DRGs, with
the top 10 MS–DRGs covering
approximately 74.3 percent of all
identified cases.
Using 100 percent of the 19,973 cases
considered, the applicant determined an
average case-weighted unstandardized
charge per case of $60,506. The
applicant standardized the charges for
each case and inflated each case’s
charges by applying the FY 2019 IPPS/
LTCH PPS final rule outlier charge
inflation factor of 1.08864 (83 FR
41722). (We note that this 2-year charge
inflation factor was revised in the FY
2019 IPPS/LTCH PPS final rule
correction notice. The corrected factor is
1.08986 (83 FR 49844). However, we
further note that even when using the
corrected final rule values to inflate the
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charges, the average case-weighted
standardized charge per case for each
scenario exceeded the average caseweighted threshold amount.) The
applicant then removed 100 percent of
the drug charges from the relevant cases
to estimate the charges for drugs that
potentially may be replaced or avoided
by the administration of IMI/REL. The
applicant then added charges for the
administration of IMI/REL by taking the
cost of the drug and converting it to a
charge by dividing the costs by the
national average CCR of 0.191 for drugs
from the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41273). The applicant
calculated an average case-weighted
standardized charge per case of $74,778,
using the percent distribution of MS–
DRGs as case-weights. Based on this
analysis, the applicant determined that
the final inflated average case-weighted
standardized charge per case for cases
involving the administration of IMI/REL
exceeded the average case-weighted
threshold amount of $50,417 by
$24,361.
The applicant conducted additional
analysis to demonstrate that the
technology meets the cost criterion. In
these analyses, the applicant repeated
the cost analysis above with one
analysis of cases with a diagnosis of
cUTI and the other analysis of cases
with a diagnosis of cIAI. In each of these
additional sensitivity analyses, the
applicant determined that the final
inflated average case-weighted
standardized charge per case exceeded
the final average case-weighed threshold
amount, by $21,677 and $44,119,
respectively. We are inviting public
comments on whether the
administration of IMI/REL meets the
cost criterion.
With regard to substantial clinical
improvement, the applicant believes
that the administration of IMI/REL
represents a substantial clinical
improvement over currently available
therapies because of the efficacy and
safety results of the completed Phase III
trial RESTORE–IMI 1. RESTORE–IMI 1
included 47 subjects who were
randomized in a randomized, doubleblind, active-controlled, parallel group,
multi-center Phase III trial of IMI/REL
(provided together in a single vial as a
fixed-dose combination product) +
placebo compared with colistin (in the
form of colistimethate sodium [CMS]) +
IMI in patients with imipenem nonsusceptible bacterial infections,
including HABP/VABP, cIAI, and cUTI.
The primary efficacy endpoint for
RESTORE–IMI 1 was overall response
based on the following: (a) All-cause
mortality through Day 28 postrandomization in patients who had been
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diagnosed with HABP/VABP, (b)
clinical response at Day 28 postrandomization for patients who had
been diagnosed with cIAI, and (c)
composite clinical and microbiological
response at early follow-up (EFU) (Day
5 to 9 following completion of therapy)
for patients who had been diagnosed
with cUTI. Key secondary efficacy
endpoints include estimation of clinical
response at Day 28 post-randomization
and all-cause mortality through Day 28.
A favorable clinical response for all
infection sites refers to resolution of
baseline clinical signs and symptoms
associated with the baseline infection.
The primary efficacy analysis
population for this study is the
microbiological modified intent-to treat
(m-MITT) population (31 patients),
defined as all randomized patients who
received at least one dose of the study
drug within a given stage/phase IV
study therapy regimen, and who had
been diagnosed with a qualifying
baseline bacterial pathogen.
With respect to efficacy, the applicant
stated that the administration of IMI/
REL demonstrates a substantial clinical
improvement due to the following three
study results: (1) Numerically
comparable overall response of the use
of IMI/REL compared to CMS + IMI, (2)
numerically favorable clinical response
at Day 28 for the use of IMI/REL
compared to CMS + IMI, and (3),
numerically lower all-cause mortality at
Day 28. First, the applicant indicated
that a favorable overall response
(primary endpoint) was achieved in 71.4
percent of the patients who received
treatment involving IMI/REL + placebo
and 70.0 percent of the patients who
received treatment with CMS + IMI.291
Second, the applicant asserted that
favorable clinical response (secondary
endpoint) was achieved by a higher
percentage of the patients who received
treatment involving IMI/REL + placebo
(71.4 percent) than patients who
received treatment with CMS + IMI
(40.0 percent) at Day 28, as well as at
all other time points assessed.292 Third,
the applicant states that all-cause
mortality at Day 28 favored IMI/REL +
placebo (9.5 percent) over CMS + IMI
(30 percent), although the difference
was not statistically significant at the 90
percent level.
With respect to safety, the applicant
indicated that the primary population
used for all safety evaluations was the
291 Motsch, J. et al., ‘‘RESTORE–IMI 1: A
Multicenter, Randomized, Double-Blind,
Comparator-Controlled Trial Comparing the
Efficacy and Safety of Imipenem/Relebactam vs
Colistin Plus Imipenem in Patients With
Imipenem–Non-susceptible Bacterial Infections.’’
292 Ibid.
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All-Subjects-as-Treated (ASaT)
population, which comprises all
patients who received at least one dose
of the study medication. The applicant
stated that the incidence of AEs,
including deaths, SAEs, drug-related
AEs and SAEs, and discontinuations
due to AEs, was lower in patients who
received treatment involving the
administration of IMI/REL + placebo
than in patients who received treatment
involving the CMS + IMI. Overall, the
most commonly reported AEs (greater
than or equal to 10 percent of the
patients overall) across both treatment
groups were pyrexia (12.8 percent of the
patients), increased AST (12.8 percent
of the patients), increased ALT (10.6
percent), and nausea (10.6 percent of
subjects). The incidences of increased
AST, increased ALT, and nausea were
lower in patients who received
treatment involving IMI/REL + placebo
than in patients who received treatment
involving CMS + IMI. The applicant
further stated that in accounting for
nephrotoxicity associated with the use
of CMS, a pre-specified key secondary
objective of the study was to estimate
the proportion of patients who
experienced treatment-emergent
nephrotoxicity following receipt of
treatment involving IMI/REL + placebo
or CMS + IMI and to compare the
treatment groups. From this analysis,
the applicant concluded that the
incidence of treatment-emergent
nephrotoxicity was significantly lower
in patients who received treatment
involving IMI/REL + placebo (10.3
percent) than in patients who received
treatment involving CMS + IMI (56.3
percent) (two-sided p-value of 0.002).
We have the following concerns
regarding whether IMI/REL meets the
substantial clinical improvement
criterion. First, we are concerned
regarding the comparator chosen for the
RESTORE–IMI 1 trial. We are not
certain why the combination of CMS +
IMI was chosen, and if other
comparators would have been more
appropriate. Second, 8 of the 21 cases in
the m-MITT population treated with
IMI/REL were cases of HABP/VABP,293
and further 7 out of the 15 cases of
positive clinical response in the mMITT population to IMI/REL were cases
of HABP/VABP.294 Because HABP/
VABP are not conditions for which the
applicant is seeking indications for IMI/
REL, it is possible that conclusions
drawn from the RESTORE–IMI 1 study
regarding safety and efficacy are not
specific to those indications described
293 18–1315–D
final.
294 Ibid.
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We are inviting public comments on
whether IMI/REL meets the substantial
clinical improvement criterion,
including with respect to the concerns
we have raised. We did not receive any
written comments in response to the
New Technology Town Hall meeting
notice published in the Federal Register
regarding the substantial clinical
improvement criterion for IMI/REL or at
the New Technology Town Hall
meeting.
in the application. Third, the favorable
clinical response after Day 28 is
measured at the 90 percent confidence
level,295 rather than the more common
95 percent level, without explanation.
Fourth, we note that the study is
composed of an initial sample of only
47 patients.296 With such a small
sample we are concerned about the
external validity of the conclusions,
specifically the generalizability of the
results to the Medicare population,
given the specific demographic makeup
of that population. Fifth, we have
another methodological concern
regarding the different endpoints
present in the study, along with the Day
28 assessment. We note that HABP/
VABP, cUTI, and cIAI are measured
respectively by mortality, favorable
clinical response (cure), and favorable
clinical response (cure OR sustained
eradication).297 We are uncertain why
different endpoints were chosen for the
different conditions. Additionally, we
are uncertain if the Day 28 assessment
cited in the application reflects
microbiological or just clinical response.
Sixth, the applicant defined the m-MITT
and ASaT populations as those patients
who received at least one dose of the
study drug. We are not certain whether
these analyses should also include those
patients in the comparator arm who did
not receive the study drug, as this could
violate the applicant’s definition of mMITT. Seventh, CMS also notes that
both the estimated difference in the
favorable overall response at the
primary endpoint and the estimated
difference in all-cause mortality are not
statistically significant 298 and,
therefore, may not represent a
substantial clinical improvement.
Finally, in addition, with respect to
safety, the applicant asserted that the
administration of IMI/REL induces less
nephrotoxicity compared to the use of
CMS + IMI. However, nephrotoxicity is
a known adverse effect of CMS, and
other available antimicrobials approved
to treat diagnoses of cUTIs and cIAIs
induce less nephrotoxicity (and were
not studied in the data provided to
support this application). Therefore, it is
not clear that IMI/REL induces less
nephrotoxicity compared to other
available treatments.
n. JAKAFITM (Ruxolitinib)
Incyte Corporation submitted an
application for new technology add-on
payments for JAKAFITM (ruxolitinib) for
FY 2020. JAKAFITM is an oral kinase
inhibitor that inhibits Janus-associated
kinases 1 and 2 (JAK1/JAK2). The JAK
pathway, which includes JAK1 and
JAK2, is involved in the regulation of
immune cell maturation and function.
According to the applicant, JAK
inhibition represents a novel
therapeutic approach for the treatment
of acute graft-versus-host disease
(GVHD) in patients who have had an
inadequate response to corticosteroids.
Allogeneic hematopoietic stem cell
transplantation (allo-HSCT) is a
treatment option for patients who have
been diagnosed with hematologic
cancers, some solid tumors, and some
non-malignant hematologic disorders.
According to the applicant,
approximately 9,000 allo-HSCTs were
performed in the U.S. in 2017. The most
common cause of death in allo-HSCT
recipients within the first 100 days is
relapsed disease (29 percent), infection
(16 percent), and GVHD (9 percent).299
GVHD is a condition where donor
immunocompetent cells attack the host
tissue. GVHD can be acute (aGVHD),
which generally occurs prior to day 100,
or chronic (cGVHD). aGVHD results in
systemic inflammation and tissue
destruction affecting multiple organs.
Systemic corticosteroids are used as
first-line therapy for the treatment of a
diagnosis of aGVHD, with response rates
between 40 percent and 60 percent.
However, the response is often not
durable, and there is no consensus on
optimal second-line treatment.300 The
applicant envisions the use of
JAKAFITM as second-line treatment (that
is, first-line steroid treatment failures)
295 18–1315–C MRPAB18304 IDWeek
Nephrotoxicity_final.
296 Ibid.
297 18–1315–D MRPAB18303 IDWeek SmMITT_
final.
298 Kaye, K.S., et al., ‘‘Results for the
Supplemental Microbiological Modified Intent-toTreat (SmMITT) Population of the RESTORE–IMI 1
Trial of Imipenem/Cilastatin/Relebactam Versus
Colistin Plus Imipenem/Cilastatin in Patients With
Imipenem-Nonsusceptible.’’
299 D’Souza, A., Lee, S., Zhu, X., Pasquini, M.,
‘‘Current use and trends in hematopoietic cell
transplantation in the United States,’’ Biol Blood
Marrow Transplant, 2017, vol. 23(9), pp. 1417–
1421.
300 Martin, P.J., Rizzo, J.D., Wingard, J.R., et al.,
‘‘First and second-line systemic treatment of acute
graft-versus-host disease: recommendations of the
American Society of Blood and Marrow
Transplantation,’’ Biol Blood Marrow Transplant,
2012, vol. 18(8), pp. 1150–1163.
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for the treatment of a diagnosis of
steroid-refractory aGVHD.
The applicant reports that there are no
FDA-approved treatments for patients
who have been diagnosed with steroidrefractory aGVHD, and despite available
treatment options, according to the
applicant, patients do not always
achieve a positive response,
underscoring the need for new and
innovative treatments for these patients.
The applicant also states that patients
who develop steroid-refractory aGVHD
can progress to severe disease, with 1year mortality rates of 70 to 80 percent.
A number of combination treatment
approaches are being investigated as
second-line therapy in patients who
have been diagnosed with steroidrefractory aGVHD, including
methotrexate, mycophenolate mofetil,
extracorporeal photopheresis, IL–2R
targeting agents (basiliximab,
daclizumab, denileukin, and diftitox),
alemtuzumab, horse antithymocyte
globulin, etancercept, infliximab, and
sirolimus. According to the applicant,
the American Society for Blood and
Marrow Transplantation (ASBMT) does
not provide any recommendations for
second-line therapy for patients who
have been diagnosed with steroidrefractory aGVHD, nor suggest
avoidance of any specific agent.
JAKAFITM received FDA approval in
2011 for the treatment of patients who
have been diagnosed with intermediate
or high-risk myelofibrosis (MF). In
addition, JAKAFITM received FDA
approval in December 2014 for the
treatment of patients who have been
diagnosed with polycythemia vera (PV)
who have had an inadequate response
to, or are intolerant of hydroxyurea.
JAKAFITM is primarily prescribed in the
outpatient setting for these indications.
The applicant has submitted a
supplemental new drug application
(sNDA) (with Orphan Drug and
Breakthrough Therapy designations)
seeking FDA’s approval for a new
indication for JAKAFITM for the
treatment of patients who have been
diagnosed with steroid-refractory
aGVHD who have had an inadequate
response to treatment with
corticosteroids. The applicant asserts
that for this new indication, JAKAFITM
is expected to be used in the inpatient
setting, during either hospital admission
for allo-HSCT, or upon need for hospital
re-admission for treating patients who
have been diagnosed with aGVHD who
have had an inadequate response to
treatment with corticosteroids.
Although as of the time of the
development of this FY 2020 IPPS/
LTCH PPS proposed rule it has not yet
received FDA approval, the applicant
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indicated that it expects FDA approval
for this new indication for the use of
JAKAFITM prior to the July 1, 2019
deadline.
There are currently no ICD–10–PCS
procedure codes that uniquely identify
the administration of JAKAFITM. We
note that the applicant submitted a
request for approval for a unique ICD–
10–PCS procedure code to describe
procedures involving the administration
of JAKAFITM beginning in FY 2020.
As stated above, if a technology meets
all three of the substantial similarity
criteria described above, it would be
considered substantially similar to an
existing technology and, therefore,
would not be considered ‘‘new’’ for
purposes of new technology add-on
payments.
With regard to the first criterion,
whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome, the applicant
asserts that there are no products that
utilize the same or similar mechanism
of action (that is, JAK inhibition) to
achieve the same therapeutic outcome
for the treatment of acute steroidresistant GVHD. The applicant further
explained that JAKAFITM functions to
inhibit the JAK pathway, and has been
shown in pre-clinical and clinical trials
to reduce GVHD. The applicant
explained that JAKs are intracellular,
non-receptor tyrosine kinases that relay
the signaling of inflammatory cytokines.
The applicant stated that, based on their
role in immune cell development and
function, JAKs might affect all phases of
aGVHD pathogenesis, including cell
activation, expansion, and destruction.
Specifically, JAKs regulate activities of
immune cells involved in aGVHD
etiology, including antigen-presenting
cells, T-cells, and B-cells, and function
downstream of many cytokines relevant
to GVHD-mediated tissue damage.
Inhibition of JAK1/JAK2 signaling in
aGVHD could be expected to block
signal transduction from
proinflammatory cytokines that activate
antigen-presenting cells, expansion and
differentiation of T-cells, suppression of
regulatory T-cells, and inflammation
and tissue destruction mediated by
infiltrating cytotoxic T-cells.301 The
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301 Martin, P.J., Rizzo, J.D., Wingard, J.R., et al.,
‘‘First and second-line systemic treatment of acute
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applicant stated that other agents that
are being investigated as second-line
treatments for patients who have been
diagnosed with steroid-resistant
aGVHD, such as methotrexate,
mycophenolate mofetil, extracorporeal
photopheresis, IL–2R targeting agents
(basiliximab, daclizumab, denileukin,
and diftitox), alemtuzumab, horse
antithymocyte globulin, etancercept,
infliximab, and sirolimus, use a
different mechanism of action than that
of JAKAFITM. The applicant believes
that the mechanism of action of
JAKAFITM differs from that of existing
technologies used to achieve the same
therapeutic outcome.
With regard to the second criterion,
whether a product is assigned to the
same or a different MS–DRG, the
applicant asserts that there are currently
no FDA-approved medicines for the
treatment of patients who have been
diagnosed with steroid-refractory
aGVHD who have had an inadequate
response to corticosteroids and,
therefore, JAKAFITM would not be
assigned to the same MS–DRG as
existing technologies.
With respect to the third criterion,
whether the new use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population, the applicant
stated that there are no existing
treatment options for patients who have
been diagnosed with steroid-refractory
aGVHD who have had an inadequate
response to corticosteroids and,
therefore, JAKAFITM represents a new
treatment option for a patient
population without existing or
alternative options. The applicant stated
that, based on its knowledge, there are
no other prospective studies evaluating
the effects of treatment with JAK
inhibitors for the treatment of aGVHD in
this patient population, and there are no
FDA-approved agents for the treatment
of patients who have been diagnosed
with steroid-refractory aGVHD who
have inadequately responded to
treatment with corticosteroids.
For the reasons summarized above,
the applicant maintained that JAKAFITM
graft-versus-host disease: recommendations of the
American Society of Blood and Marrow
Transplantation,’’ Biol Blood Marrow Transplant,
2012, vol. 18(8), pp. 1150–1163.
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is not substantially similar to any
existing technology. We note, however,
that there are a number of available
second-line treatment options for a
diagnosis of aGVHD that treat the same
patient population. We also note that a
number of these treatment options use
a method of immunomodulation and
suppress the body’s immune response
similar to the mechanics and goals of
JAKAFITM and, therefore, we believe
that JAFAKITM may have a similar
mechanism of action as existing
therapies. Finally, for patients receiving
treatment involving any current secondline therapies for a diagnosis of steroidrefractory aGVHD, CMS would expect
these patient cases to be generally
assigned to the same MS–DRGs as a
diagnosis for aGVHD, as would cases
representing patients who may be
eligible for treatment involving
JAKAFITM. We are inviting public
comments on whether JAKAFITM is
substantially similar to any existing
technologies, including with respect to
the concerns we have raised, and
whether the technology meets the
newness criterion.
With regard to the cost criterion, the
applicant conducted the following
analysis to demonstrate that the
technology meets the cost criterion. To
identify cases representing patients who
may be eligible for treatment involving
JAKAFITM, the applicant searched the
FY 2017 MedPAR Limited Data Set
(LDS) for cases reporting ICD–10–CM
diagnosis codes for acute or unspecified
GVHD in combination with either ICD–
10–CM diagnosis codes for associated
complications of bone marrow
transplant or ICD–10–PCS procedure
codes for transfusion of allogeneic bone
marrow, as identified in the table below.
The applicant used this methodology to
capture patients who developed aGVHD
during their initial stay for allo-HSCT
treatment, as well as those patients who
were discharged and needed to be
readmitted for a diagnosis of aGVHD.
The applicant submitted the following
table displaying a complete list of the
ICD–10–CM diagnosis codes and ICD–
10–PCS procedure codes it used to
identify cases representing patients who
may be eligible for treatment with
JAKAFITM.
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List of Diagnosis and Procedure Codes Used for Incyte JAKAFI'M Cost Analysis
Group
Code Type
Description
Codes
Group 1:
D89.810 Acute graft-versus-host disease
Acute or
ICD-10-CM
unspecified
D89.812 Acute on chronic graft-versus-host disease
Diagnosis
GVHD
Codes
(Graft-versusD89.813 Graft-versus-host disease, unspecified
host disease)
Unspecified complication ofbone marrow
Group 2:
T86.00
transplant
Complications
ICD-10-CM
T86.01
Bone marrow transplant rejection
of bone
Diagnosis
T86.02
Bone marrow transplant failure
marrow
Codes
T86.03
Bone marrow transplant infection
transplant
Other complications of bone marrow transplant
Group 3:
Transfusion
of allogeneic
bone marrow
ICD-10-PCS
Procedure
Codes
30230G2
30230G3
30230G4
30230X2
30230X3
30230X4
30230Y2
30230Y3
30230Y4
30233G2
30233G3
30233G4
30233X2
30233X3
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Transfusion of allogeneic related bone marrow into
peripheral vein, open approach
Transfusion of allogeneic unrelated bone marrow
into peripheral vein, open approach
Transfusion of allogeneic unspecified bone marrow
into peripheral vein, open approach
Transfusion of allogeneic related cord blood stem
cells into peripheral vein, open approach
Transfusion of allogeneic unrelated cord blood
stem cells into peripheral vein, open approach
Transfusion of allogeneic unspecified cord blood
stem cells into peripheral vein, open approach
Transfusion of allogeneic related hematopoietic
stem cells into peripheral vein, open approach
Transfusion of allogeneic unrelated hematopoietic
stem cells into peripheral vein, open approach
Transfusion of allogeneic unspecified
hematopoietic stem cells into peripheral vein, open
approach
Transfusion of allogeneic related bone marrow into
peripheral vein, percutaneous approach
Transfusion of allogeneic unrelated bone marrow
into peripheral vein, percutaneous approach
Transfusion of allogeneic unspecified bone marrow
into peripheral vein, percutaneous approach
Transfusion of allogeneic related cord blood stem
cells into peripheral vein, percutaneous approach
Transfusion of allogeneic unrelated cord blood
stem cells into peripheral vein, percutaneous
approach
Transfusion of allogeneic unspecified cord blood
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List of Diagnosis and Procedure Codes V sed for Incyte JAKAFI™ Cost Analysis
Group
Code Type
Description
Codes
stem cells into peripheral vein, percutaneous
approach
Transfusion of allogeneic related hematopoietic
30233Y2 stem cells into peripheral vein, percutaneous
approach
Transfusion of allogeneic unrelated hematopoietic
30233Y3 stem cells into peripheral vein, percutaneous
approach
Transfusion of allogeneic unspecified
30233Y4 hematopoietic stem cells into peripheral vein,
percutaneous approach
Transfusion of allogeneic related bone marrow into
30240G2
central vein, open approach
Transfusion of allogeneic unrelated bone marrow
30240G3
into central vein, open approach
Transfusion of allogeneic unspecified bone marrow
30240G4
into central vein, open approach
Transfusion of allogeneic related cord blood stem
30240X2
cells into central vein, open approach
Transfusion of allogeneic unrelated cord blood
30240X3
stem cells into central vein, open approach
Transfusion of allogeneic unspecified cord blood
30240X4
stem cells into central vein, open approach
Transfusion of allogeneic related hematopoietic
30240Y2
stem cells into central vein, open approach
Transfusion of allogeneic unrelated hematopoietic
30240Y3
stem cells into central vein, open approach
Transfusion of allogeneic unspecified
30240Y4 hematopoietic stem cells into central vein, open
approach
Transfusion of allogeneic related bone marrow into
30243G2
central vein, percutaneous approach
Transfusion of allogeneic unrelated bone marrow
30243G3
into central vein, percutaneous approach
Transfusion of allogeneic unspecified bone marrow
30243G4
into central vein, percutaneous approach
Transfusion of allogeneic related cord blood stem
30243X2
cells into central vein, percutaneous approach
Transfusion of allogeneic unrelated cord blood
30243X3
stem cells into central vein, percutaneous approach
Transfusion of allogeneic unspecified cord blood
30243X4
stem cells into central vein, percutaneous approach
Transfusion of allogeneic related hematopoietic
30243Y2
stem cells into central vein, percutaneous approach
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The applicant identified a total of 210
cases mapping to MS–DRGs 014
(Allogeneic Bone Marrow Transplant),
808 (Major Hematological and
Immunological Diagnoses except Sickle
Cell Crisis and Coagulation Disorders
with MCC), 809 (Major Hematological
and Immunological Diagnoses except
Sickle Cell Crisis and Coagulation
Disorders with CC), and 871 (Septicemia
or Severe Sepsis without MV >96 hours
with MCC). The applicant indicated
that, because it is difficult to determine
the realistic amount of drug charges to
be replaced or avoided as a result of the
use of JAKAFITM, it provided two
scenarios to demonstrate that JAKAFITM
meets the cost criterion. In the first
scenario, the applicant removed 100
percent of pharmacy charges to
conservatively estimate the charges for
drugs that potentially may be replaced
or avoided by the use of JAKAFITM. The
applicant then standardized the charges
and applied a 2-year inflation factor of
8.864 percent, which is the same
inflation factor used by CMS to update
the outlier threshold in the FY 2019
IPPS/LTCH PPS final rule (83 FR
41722). (We note that this figure was
revised in the FY 2019 IPPS/LTCH PPS
final rule correction notice. The
corrected final 2-year inflation factor is
1.08986 (83 FR 49844).) The applicant
then added charges for JAKAFITM to the
inflated average case-weighted
standardized charges per case. No other
related charges were added to the cases.
Under the assumption of 100 percent
of historical drug charges removed, the
applicant calculated the inflated average
case-weighted standardized charge per
case to be $261,512 and the average
case-weighted threshold amount to be
$172,493. Based on this analysis, the
applicant believed that JAKAFITM meets
the cost criterion because the inflated
average case-weighted standardized
charge per case exceeds the average
case-weighted threshold amount.
As noted above, the applicant also
submitted a second scenario to
demonstrate that JAKAFITM meets the
cost criterion. The applicant indicated
that removing all charges for previous
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technologies as demonstrated in the first
scenario is unlikely to reflect the actual
case because many drugs are used in
treating a diagnosis of aGVHD,
especially during the initial bone
marrow transplant. Therefore, the
applicant also provided a sensitivity
analysis where it did not remove any
pharmacy charges or any other
historical charges, which it indicated
could be a more realistic assumption.
Under this scenario, the final average
case-weighted standardized charge per
case is $377,494, which exceeds the
average case-weighted threshold amount
of $172,493. The applicant maintained
that JAKAFITM also meets the cost
criterion under this scenario.
We are inviting public comments on
whether JAKAFITM meets the cost
criterion.
With respect to the substantial
clinical improvement criterion, the
applicant asserted that JAKAFITM
represents a substantial clinical
improvement because: (1) The
technology offers a treatment option for
a patient population previously
ineligible for treatments because
JAKAFITM (if approved) would be the
first FDA-approved treatment option for
patients who have been diagnosed with
GVHD who have had an inadequate
response to corticosteroids; and (2) use
of the technology significantly improves
clinical outcomes in patients with
steroid-refractory aGVHD, which the
applicant asserts is supported by the
results from REACH1, a prospective,
open-label, single-cohort Phase II study
of the use of JAKAFITM, in combination
with corticosteroids, for the treatment of
Grade II to IV steroid-refractory aGVHD.
The applicant stated that there are
very few prospective studies evaluating
second-line therapy for a diagnosis of
steroid-refractory aGVHD, and
interpretation of these studies is
hampered by the heterogeneity of the
patient population, small sample sizes,
and lack of standardization in the study
design (including timing of the
response, different response criteria,
and absence of validated endpoints).
Agents that have been investigated over
the last 2 decades in these studies
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include low-dose methotrexate,
mycophenolate mofetil, extracorporeal
photopheresis, IL–2R targeting (that is,
basiliximab, daclizumab, denileukin,
and diftitox), alemtuzumab, horse
antithymocyte globulin, etanercept,
infliximab, and sirolimus. The applicant
stated that second-line treatments,
especially those associated with
suppression of T-cells, are associated
with increased infection and viral
reactivation (including cytomegalovirus
(CMV), Epstein-Barr virus, human
herpes virus 6, adenovirus, and
polyoma). Numerous combination
approaches (for example, antibodies
directed against IL–2 receptor,
mammalian target of rapamycin
inhibitors, or other immunosuppressive
agents) also have been studied for the
treatment of steroid-refractory aGVHD,
but the applicant indicated that data do
not support the recommendation or
exclusion of any particular regimen. The
applicant also asserted that such
treatment combination approaches have
been associated with significant
toxicities, high failure rates, and an
average 6-month survival rate of 49
percent.302 Therefore, the applicant
maintains that therapeutic options are
limited for patients who are refractory to
corticosteroid treatment for a diagnosis
of aGVHD.
The applicant asserted that the
clinical benefit of the use of JAKAFITM
in patients who have been diagnosed
with steroid-refractory aGVHD is
supported by the results from five
clinical studies, including a mixture of
prospective and retrospective studies.
The first study is REACH1, a
prospective, open-label, single-cohort
Phase II study of the use of JAKAFITM,
in combination with corticosteroids, for
the treatment of Grade II to IV steroidrefractory aGVHD. REACH1 included 71
patients who had been diagnosed with
steroid-refractory aGVHD. Included
eligible patients were those that were 12
302 Martin, P.J., Rizzo, J.D., Wingard, J.R., et al.,
‘‘First and second-line systemic treatment of acute
graft-versus-host disease: recommendations of the
American Society of Blood and Marrow
Transplantation,’’ Biol Blood Marrow Transplant,
2012, vol. 18(8), pp. 1150–1163.
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years old or older, had undergone at
least one allogeneic hematopoietic stem
cell transplantation from any donor
source and donor type and were
diagnosed with Grade II to IV steroidrefractory aGVHD, and presented
evidence of myeloid engraftment. The
patients’ median age was 58 years old
(ages 18 years old to 73 years old); 66
patients were white and 36 patients
were female. The majority of patients
had peripheral blood stem cells as the
graft source (57 patients or 80.3
percent). The starting dose of JAKAFITM
was 5 mg twice daily (BID). The dose
could be increased to 10 mg BID after
3 days, if hematologic parameters were
stable and in the absence of any
treatment-related toxicities.
Methylprednisolone (or prednisone
equivalent) was administered at a
starting dose of 2 mg/kg/day on the first
day of treatment and tapered as
appropriate. Patients receiving
calcineurin inhibitors or other
medications for GVHD prophylaxis were
permitted to continue at the
investigator’s discretion. The primary
endpoint was overall response rate
(ORR) at Day 28, which the applicant
indicated has been shown to be
predictive of non-relapse mortality
(NRM). No description of the statistical
methods used in the REACH1 study was
provided by the applicant.
The applicant stated that the ORR at
Day 28 was achieved by 54.9 percent of
patients; nearly half (48.7 percent) of the
responding patients achieved a
complete response (CR). The best ORR
was 73.2 percent. Median time to first
response for all responders was 7 days.
Median duration of response was 345
days for both Day 28 responders (lower
limit, 159 days) and for other
responders (lower limit, 106 days).
Event-free probability estimates for Day
28 responders at 3 and 6 months were
81.6 percent and 65.2 percent,
respectively. Among all patients,
median (95 percent CI) overall survival
was 232.0 (93.0–not evaluable) days.
Mean survival rates for the 39
responders at Day 28 were 73.2 percent
at 6 months, 69.9 percent at 9 months,
and 66.2 percent at 12 months with nonrelapsed mortality of 21.2 percent at 6
months, 24.5 percent at 9 months, and
28.2 percent at 12 months. Mean
survival rates for the 13 other
responders were 35.9 percent at 6 and
9 months and were not evaluable at 12
months with non-relapsed mortality at
64.1 percent at 6 and 9 months and not
evaluable at 12 months. Mean survival
rates for non-responders were 15.8
percent at 6 months and 10.5 percent at
9 months and 12 months with non-
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relapsed mortality at 78.9 percent at 6
months and 84.2 percent at 9 and 12
months. Most patients (55.8 percent)
had a greater than or equal to 50 percent
reduction from baseline in
corticosteroid dose.
The applicant stated that the
additional use of JAKAFITM to
corticosteroid-based treatment did not
result in unexpected toxicities or
exacerbation of known toxicities related
to high-dose corticosteroids or aGVHD.
Cytopenias were among the most
common treatment-emergent adverse
events. The applicant indicated that
JAKAFITM was well tolerated, and the
adverse event profile was consistent
with the observed safety profiles of the
use of JAKAFITM and that of patients
who had been diagnosed with steroidrefractory aGVHD. The most common
treatment emergent adverse events in
the REACH1 study were anemia (64.8
percent), hypokalemia (49.3 percent),
peripheral edema (45.1 percent),
decreased platelet count (45.1 percent),
decreased neutrophil count (39.4
percent), muscular weakness (33.8
percent), dyspnea (32.4 percent),
hypomagnesaemia (32.4 percent),
hypocalcemia (31 percent), and nausea
(31 percent). The most common
treatment emergent infections were
sepsis (12.7 percent) and bacteremia (9.9
percent).
All patients who had a CMV event
(n=14) had a positive CMV donor or
recipient serostatus or both at baseline.
No deaths were attributed to CMV
events. The applicant asserted that the
results of the prospective REACH1
study demonstrate the potential of the
use of JAKAFITM to meaningfully
improve the outcomes of allo-HSCT
patients who develop steroid-refractory
aGVHD, and further underscore the
promise of JAK inhibition to advance
the treatment of this potentiallydevastating condition. Longer term
follow-up analyses from REACH1 are
expected to yield additional insights
into the long-term efficacy and safety
profile of the use of JAKAFITM in this
patient population.
In a second prospective, open-label
study, 14 patients who had been
diagnosed with acute or chronic GVHD
that were refractory to corticosteroids
and at least 2 other lines of treatment
were treated with JAKAFITM at a dose of
5 mg twice a day and increased to 10 mg
twice a day. Of the 14 patients, 13
responded with respect to clinical
GVHD symptoms and serum levels of
pro-inflammatory cytokines. Three
patients with histologically-proven
acute skin or intestinal GVHD Grade I,
achieved a CR. One non-responder
discontinued use of JAKAFITM after 1
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19351
week because of lack of efficacy. In all
other patients, corticosteroids could be
reduced after a median treatment period
of 1.5 weeks. CMV reactivation was
observed in 4 out of the 14 patients, and
they responded well to antiviral
therapy. Until last follow-up, no patient
experienced a relapse of GVHD.
The applicant asserted that the
efficacy and safety of the use of
JAKAFITM for the treatment of steroidrefractory aGVHD is further supported
by the results from a third study, a
retrospective, multi-center study of 95
patients who received JAKAFITM as
salvage therapy for corticosteroidrefractory GVHD. In the 54 patients who
had been diagnosed with aGVHD, the
median number of GVHD therapies
received was 3. The (best) ORR was 81.5
percent. A CR and partial response (PR)
was achieved in 46.3 percent and 35.2
percent of patients, respectively.
Median time to response was 1.5 weeks
(range 1 to 11 weeks). Cytopenias and
cytomegalovirus reactivation were seen
in 55.5 percent (Grade III or IV) and 33.3
percent of patients who had been
diagnosed with aGVHD, respectively. Of
those patients responding to treatment
with JAKAFITM, with either CR or PR
(n=44), the rate of GVHD-relapse was
6.8 percent (3/44). The 6-month-survival
was 79 percent (67.3 percent to 90.7
percent, 95 percent CI). The median
follow-up time was 26.5 weeks (range 3
to 106 weeks). Underlying malignancy
relapse occurred in 9.2 percent of
patients who had been diagnosed with
aGVHD.
A fourth retrospective study evaluated
data from the same 95 patients in 19
stem cell transplant centers in Europe
and the United States. For long-term
results, CR was defined as the absence
of any symptoms related to GVHD; PR
was defined as the improvement of
greater than or equal to 1 in stage
severity in one organ, without
deterioration in any other organ. A
response had to last for at least or more
than 3 weeks. Of the 54 patients who
had been diagnosed with aGVHD, the 1year overall survival (OS) rate was 62.4
percent (CI: 49.4 percent to 75.4
percent). The estimated median OS (50
percent death) was 18 months for
aGVHD patients. The median duration
of JAKAFITM treatment was 5 months.
At follow-up, 22/54 (41 percent) of the
patients had an ongoing response and
were free of any immunosuppression.
Cytopenias (any grade) and CMVreactivation were observed during
JAKAFITM-treatment (30/54, 55.6
percent and 18/54, 33.3 percent,
respectively).
A fifth retrospective study evaluated
79 patients who received treatment
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using JAKAFITM for refractory GVHD at
13 centers in Spain. Twenty-two
patients had a diagnosis of aGVHD
(Grades II to IV) and received a median
of 2 previous GVHD therapies (range, 1
to 5 therapies). The median daily dose
of JAKAFITM was 20 mg. The overall
response rate was 68.2 percent, which
was obtained after a median of 2 weeks
of treatment, and 18.2 percent (4/22) of
the patients reached CR. Overall, steroid
doses were tapered in 72 percent of the
patients who had been diagnosed with
aGVHD. Cytomegalovirus reactivation
was reported in 54.5 percent of the
patients who had been diagnosed with
aGVHD. Overall, 26 patients (32.9
percent) discontinued treatment using
JAKAFITM due to: Lack of response (14),
cytopenias (3 patients had
thrombocytopenia, 3 had anemia, and 3
had both); infections (1 patient); other
causes (2 patients). Ten deaths occurred
in patients who had been diagnosed
with aGVHD.
We note the following concerns with
respect to whether JAKAFITM represents
a substantial clinical improvement.
First, while the applicant has submitted
data from several clinical studies to
support the efficacy of the use of
JAKAFITM in treatment of patients who
have been diagnosed with steroidresistant aGVHD, including an overall
response rate at Day 28 for 54.9 percent
of the patients enrolled in one study,
with nearly half of the responding
patients achieving CR, the applicant has
not provided any data directly
comparing the use of JAKAFITM to any
second-line treatments. As noted
previously, a number of different agents
can be used for second-line treatment as
described by recommendations from the
American Society of Blood and Marrow
Transplantation (ASBMT).303 Numerous
combination approaches have been
investigated for second-line therapy for
diagnoses of steroid-refractory aGVHD
in allo-HSCT patients. These studied
agents include methotrexate,
mycophenolate mofetil, extracorporeal
photopheresis, IL–2R targeting agents
(basiliximab, daclizumab, denileukin,
and diftitox), alemtuzumab, horse
antithymocyte globulin, etancercept,
infliximab, and sirolimus.
Recommendations from professional
societies for the treatment of diagnoses
of aGVHD describe the lack of data
demonstrating superior efficacy of any
single agent as second-line therapy for
patients who have been diagnosed with
303 Martin,
P.J., Rizzo, J.D., Wingard, J.R., et al.,
‘‘First and second-line systemic treatment of acute
graft-versus-host disease: recommendations of the
American Society of Blood and Marrow
Transplantation,’’ Biol Blood Marrow Transplant,
2012, vol. 18(8), pp. 1150–1163.
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steroid-resistant aGVHD and, therefore,
suggest that choice of second-line
treatment be guided by clinical
considerations.304 Because the applicant
has not provided any data directly
comparing the use of JAKAFITM to any
other second-line treatments (for
example, current standard-of-care), it
may make it difficult to directly assess
whether the use of JAKAFITM provides
a substantial clinical improvement
compared to these existing therapies.
Second, we have concerns regarding
the methodologic approach of the
studies submitted by the applicant in
support of its assertions regarding
substantial clinical improvement. While
two of the clinical studies provided by
the applicant are prospective in nature,
the other three clinical studies provided
in support of the application are
retrospective studies and, therefore,
provide a weaker basis of evidence for
making conclusions of the causative
effects of the drug compared to
prospective studies. Additionally, no
blinding or randomization occurred to
minimize potential biases from the lack
of a control group, and no Phase III
study data were submitted by the
applicant, to assist in our evaluation of
substantial clinical improvement.
Although we acknowledge that the
patient population that would be
eligible for treatment involving
JAKAFITM under its proposed indication
is likely relatively small because it is a
subset of the patient population
receiving allo-HSCTs, it may be difficult
to evaluate the impact of the technology
on longer term outcomes, such as
overall survival and durability of
response based on the studies submitted
because the clinical studies are based on
relatively small sample sizes.
Third, given the variable amount of
detail provided on the studies generally
(for example, the number of patients
from the United States, how many are
Medicare eligible and the results for
these Medicare-eligible patients, what
specific first-line treatments enrolled
patients received and for what duration,
how CRs and PRs were defined and
assessed, statistical methods and
assumptions), it is more difficult to fully
assess the generalizability of the
applicant’s assertions to the Medicare
population.
Fourth, we note that several patients
enrolled in each of the studies provided
by the applicant had safety-related
complications, including cytopenias
304 Martin,
P.J., Rizzo, J.D., Wingard, J.R., et al.,
‘‘First and second-line systemic treatment of acute
graft-versus-host disease: recommendations of the
American Society of Blood and Marrow
Transplantation,’’ Biol Blood Marrow Transplant,
2012, vol. 18(8), pp. 1150–1163.
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and CMV reactivation. These
complications are concerning because
the target population is already
immunocompromised and at risk of
serious infections.
We are inviting public comments on
whether JAKAFITM meets the
substantial clinical improvement
criterion, including with respect to the
concerns we have raised.
We did not receive any written
comments in response to the New
Technology Town Hall Meeting notice
published in the Federal Register
regarding the substantial clinical
improvement criterion for JAKAFITM or
at the New Technology Town Hall
meeting.
o. Supersaturated Oxygen (SSO2)
Therapy (DownStream® System)
TherOx, Inc. submitted an application
for new technology add-on payments for
Supersaturated Oxygen (SSO2) Therapy
(the DownStream® System) for FY 2020.
We note that the applicant previously
submitted an application for new
technology add-on payments for FY
2019, which was withdrawn prior to the
issuance of the FY 2019 IPPS/LTCH PPS
final rule. The DownStream® System is
an adjunctive therapy that creates and
delivers superoxygenated arterial blood
directly to reperfused areas of
myocardial tissue which may be at risk
after an acute myocardial infarction
(AMI), or heart attack. SSO2 Therapy’s
proposed indication is for patients
receiving treatment for an ST-segment
elevation myocardial infarction
(STEMI), a type of AMI where the
anterior wall infarction impacts the left
ventricle (LV) and which carries a
substantial risk of death and disability.
Elderly patients have an elevated risk of
AMI, and the vast majority of AMI occur
in the Medicare population.305 The
applicant stated that the net effect of the
SSO2 Therapy is to reduce the size of
the infarction and, therefore, lower the
risk of heart failure and mortality, as
well as improve quality of life for
STEMI patients.
SSO2 Therapy consists of three main
components: The DownStream® System;
the DownStream cartridge; and the SSO2
delivery catheter. The DownStream®
System and cartridge function together
to create an oxygen-enriched saline
solution called SSO2 solution from
hospital-supplied oxygen and
physiologic saline. A small amount of
305 Wang, Y., Lichtman, J.H., Dharmarajan, K.,
Masoudi, F.A., Ross, J.S., Dodson, J.A., Chen, J.,
Spertus, J.A., Chaudhry, S.I., Nallamothu, B.K.,
Krumholz, H.M., 2014, ‘‘National trends in stroke
after acute myocardial infarction among Medicare
patients in the United States: 1999 to 2010,’’
American Heart Journal, vol. 169(1), pp. 78–85.e4.
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the patient’s blood is then mixed with
the SSO2 solution, producing oxygenenriched hyperoxemic blood, which is
delivered to the left main coronary
artery (LMCA) via the delivery catheter
at a flow rate of 100 ml/min. The
duration of the SSO2 Therapy is 60
minutes and the infusion is performed
in the catheterization laboratory. The
oxygen partial pressure (pO2) of the
infusion is elevated to ∼1,000 mmHg,
therefore providing oxygen locally to
the myocardium at a hyperbaric level
for 1 hour. After the 60-minute SSO2
infusion is complete, the cartridge is
unhooked from the patient and
discarded per standard practice.
Coronary angiography is performed as a
final step before removing the delivery
catheter and transferring the patient to
the intensive care unit (ICU).
The applicant for the SSO2 Therapy
received premarket approval from the
FDA on April 4, 2019. The applicant
stated that use of the SSO2 Therapy can
be identified by the ICD–10–PCS
procedure codes 5A0512C
(Extracorporeal supersaturated
oxygenation, intermittent) and 5A0522C
(Extracorporeal supersaturated
oxygenation, continuous).
As discussed earlier, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and would not be
considered ‘‘new’’ for purposes of new
technology add-on payments. The
applicant identified three treatment
options currently available to restore
coronary artery blood flow in AMI
patients. These options are fibronolytic
therapy (plasminogen activators) with or
without glycoprotein IIb/IIIa inhibitors,
percutaneous coronary intervention
(PCI) with or without stent placement,
and coronary artery bypass graft
(CABG). The applicant noted that all of
these therapies restore blood flow at the
macrovascular level by targeting the
coronary artery thrombosis that is the
direct cause of the AMI. The applicant
also noted that PCI with stenting is the
preferred treatment for STEMI patients.
The applicant asserted that SSO2
Therapy is not substantially similar to
these existing treatment options and,
therefore, meets the newness criterion.
Below we summarize the applicant’s
assertions with respect to whether the
SSO2 Therapy meets each of the three
substantial similarity criteria.
With regard to the first criterion,
whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome, the applicant
asserted that SSO2 Therapy is a unique
therapy designed to deliver localized
hyperbaric oxygen equivalent to the
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coronary arteries immediately after
administering the standard-of-care, PCI
with stenting. The applicant describes
SSO2 Therapy’s mechanism of action as
two-fold: (1) First, the increased oxygen
levels act to re-open the
microcirculatory system within the
infarct zone, which has experienced
ischemia during the occlusion period,
and (2) second, once the
microcirculatory system is re-opened,
the blood flow containing the additional
oxygen re-starts metabolic processes
within the stunned myocardium.
According to the applicant, the net
result is to reduce the extent of necrosis
as measured by infarct size in the
myocardium post-AMI and thereby
improve left ventricular function,
leading to improved patient outcomes.
The applicant maintained that this
mechanism of action is not comparable
to that of any existing treatment because
no other therapy has demonstrated an
infarct size reduction over and above
the routine delivery of PCI. As
mentioned above, the applicant asserted
that currently available therapies restore
blood flow at the macrovascular level by
targeting the coronary artery thrombosis
that is the direct cause of the AMI.
With respect to the second criterion,
whether a product is assigned to the
same or a different MS–DRG, the
applicant reiterated that the standard
procedure for treating patients with AMI
is PCI with stent placement, and that
these cases are typically assigned to
MS–DRG 246 (Percutaneous
Cardiovascular Procedures with DrugEluting Stent with MCC or 4+ Arteries/
Stents), MS–DRG 247 (Percutaneous
Cardiovascular Procedures with DrugEluting Stent without MCC), MS–DRG
248 (Percutaneous Cardiovascular
Procedures with Non-Drug-Eluting Stent
with MCC or 4+ Arteries/Stents), MS–
DRG 249 (Percutaneous Cardiovascular
Procedures with Non-Drug-Eluting Stent
without MCC), MS–DRG 250
(Percutaneous Cardiovascular
Procedures without Coronary Artery
Stent with MCC), or MS–DRG 251
(Percutaneous Cardiovascular
Procedures without Coronary Artery
Stent without MCC). The applicant
maintained that because no other
technologies exist that can deliver
localized hyperbaric oxygen in the acute
care setting, SSO2 Therapy has no
analogous MS–DRG assignment.
However, we note that potential cases
that may be eligible for treatment
involving SSO2 Therapy may be
assigned to the same MS–DRG(s) as
other cases involving PCI with stent
placement also used to treat patients
who have been diagnosed with AMI.
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With respect to the third criterion,
whether the new use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population, according to
the applicant, the target patient
population of SSO2 Therapy is patients
who are receiving treatment after a
diagnosis of AMI and specifically STsegment elevation myocardial infarction
(STEMI) where the anterior wall
infarction impacts the left ventricle
(LV). The applicant acknowledged that,
because SSO2 Therapy is administered
following completion of successful PCI,
its target patient population includes a
subset of patients with the same or
similar type of disease process as
patients treated with PCI with stent
placement. However, the applicant also
asserted that, while PCI with stenting
achieves the goal of re-opening a
blocked artery, SSO2 Therapy delivers
localized hyperbaric oxygen to reduce
the extent of the myocardial necrosis
that occurs as a consequence of
experiencing AMI. Therefore, the
applicant believed that SSO2 Therapy
offers a treatment option for a different
type of disease than currently available
treatments.
We are inviting public comments on
whether the SSO2 Therapy is
substantially similar to existing
technologies and whether it meets the
newness criterion.
With regard to the cost criterion, the
applicant conducted the following
analysis to demonstrate that SSO2
Therapy meets the cost criterion. The
applicant searched the FY 2017
MedPAR file for claims reporting
diagnoses of anterior STEMI by ICD–10–
CM diagnosis codes I21.0 (ST elevation
myocardial infarction of anterior wall),
I21.01 (ST elevation (STEMI)
myocardial infarction involving left
main coronary artery), I21.02 (ST
elevation (STEMI) myocardial infarction
involving left anterior descending
coronary artery), or I21.09 (ST elevation
(STEMI) myocardial infarction
involving other coronary artery of
anterior wall) as a primary diagnosis,
which the applicant believed would
describe potential cases representing
potential patients who may be eligible
for treatment involving the SSO2
Therapy. The applicant identified
11,668 cases mapping to 4 MS–DRGs,
with approximately 91 percent of all
potential cases mapping to MS–DRG
246 (Percutaneous Cardiovascular
Procedures with Drug-Eluting Stent
with MCC or 4+ Arteries/Stents) and
MS–DRG 247 (Percutaneous
Cardiovascular Procedures with DrugEluting Stent without MCC). The
remaining 9 percent of potential cases
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mapped to MS–DRG 248 (Percutaneous
Cardiovascular Procedures with NonDrug-Eluting Stent with MCC or 4+
Arteries/Stents) and MS–DRG 249
(Percutaneous Cardiovascular
Procedures with Non-Drug-Eluting Stent
without MCC).
The applicant determined that the
average case-weighted unstandardized
charge per case was $98,846. The
applicant then standardized the charges.
The applicant did not remove charges
for the current treatment because, as
discussed above, SSO2 Therapy would
be used as an adjunctive treatment
option following successful PCI with
stent placement. The applicant then
added charges for the technology, which
accounts for the use of 1 cartridge per
patient, to the average charges per case.
The applicant did not apply an inflation
factor to the charges for the technology.
The applicant also added charges
related to the technology, to account for
the additional supplies used in the
administration of SSO2 Therapy, as well
as 70 minutes of procedure room time,
including technician labor and
additional blood tests. The applicant
inflated the charges related to the
technology. Based on the FY 2019 IPPS/
LTCH PPS final rule correction notice
data file thresholds, the average caseweighted threshold amount was
$96,267. In the applicant’s analysis, the
inflated average case-weighted
standardized charge per case was
$144,364. Because the inflated average
case-weighted standardized charge per
case exceeds the average case-weighted
threshold amount, the applicant
maintained that the technology meets
the cost criterion.
We are inviting public comments on
whether the SSO2 Therapy meets the
cost criterion.
With regard to the substantial clinical
improvement criterion, the applicant
asserted that SSO2 Therapy represents a
substantial clinical improvement over
existing technologies because it
improves clinical outcomes for STEMI
patients as compared to the currently
available standard-of-care treatment, PCI
with stenting alone. Specifically, the
applicant asserted that: (1) Infarct size
reduction improves mortality outcomes;
(2) infarct size reduction improves heart
failure outcomes; (3) SSO2 Therapy
significantly reduces infarct size; (4)
SSO2 Therapy prevents left ventricular
dilation; and (5) SSO2 Therapy reduces
death and heart failure at 1 year. The
applicant highlighted the importance of
the SSO2 Therapy’s mechanism of
action, which treats hypoxemic damage
at the microvascular or microcirculatory
level. Specifically, the applicant noted
that microvascular impairment in the
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myocardium is irreversible and leads to
a greater extent of infarction. According
to the applicant, the totality of the data
on myocardial infarct size, ventricular
remodeling, and clinical outcomes
strongly supports the substantial
clinical benefit of SSO2 Therapy
administration over the standard-ofcare.
To support the claims that infarct size
reduction improves mortality and heart
failure outcomes, the applicant cited an
analysis of the Collaborative
Organization for RheothRx Evaluation
(CORE) trial and a pooled patient-level
analysis.
• The CORE trial was a prospective,
randomized, double-blinded, placebocontrolled trial of Poloxamer 188, a
novel therapy adjunctive to
thrombolysis at the time the study was
conducted.306 The applicant sought to
relate left ventricular ejection fraction
(EF), end-systolic volume index (ESVI)
and infarct size (IS), as measured in a
single, randomized trial, to 6-month
mortality after myocardial infarction
treated with thrombolysis. According to
the applicant, subsets of clinical centers
participating in CORE also participated
in one or two radionuclide sub-studies:
(1) Angiography for measurement of EF
and absolute, count-based LV volumes;
and (2) single-photon emission
computed tomographic sestamibi
measurements of IS. These sub-studies
were performed in 1,194 and 1,181
patients, respectively, of the 2,948
patients enrolled in the trial.
Furthermore, ejection fraction, ESVI,
and IS, as measured by central
laboratories in these sub-studies, were
tested for their association with 6-month
mortality. According to the applicant,
the results of the study showed that
ejection fraction (n=1,137; p=0.0001),
ESVI (n=945; p=0.055) and IS (n=1,164;
p=0.03) were all associated with 6month mortality, therefore,
demonstrating the relationship between
these endpoints and mortality.307
• The pooled patient-level analysis
was performed from 10 randomized,
controlled trials (with a total of 2,632
patients) that used primary PCI with
stenting.308 The analysis assessed
infarct size within 1 month after
randomization by either cardiac
magnetic resonance (CMR) imaging or
306 Burns, R.J., Gibbons, R.J., Yi, Q., et al., ‘‘The
relationships of left ventricular ejection fraction,
end-systolic volume index and infarct size to sixmonth mortality after hospital discharge following
myocardial infarction treated by thrombolysis,’’ J
Am Coll Cardiol, 2002, vol. 39, pp. 30–6.
307 Ibid.
308 Stone, G.W., Selker, H.P., Thiele, H., et al.,
‘‘Relationship between infarct size and outcomes
following primary PCI,’’ J Am Coll Cardiol, 2016,
vol. 67(14), pp. 1674–83.
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technetium-99m sestamibi singlephoton emission computed tomography
(SPECT), with clinical follow-up for 6
months. Infarct size was assessed by
CMR in 1,889 patients (71.8 percent of
patients) and by SPECT in 743 patients
(28.2 percent of patients) including both
inferior wall and more severe anterior
wall STEMI patients. According to the
applicant, median infarct size (or
percent of left ventricular myocardial
mass) was 17.9 percent and median
duration of clinical follow-up was 352
days. The Kaplan-Meier estimated 1year rates of all-cause mortality, reinfarction, and HF hospitalization were
2.2 percent, 2.5 percent, and 2.6
percent, respectively. The applicant
noted that a strong graded response was
present between infarct size (per 5
percent increase) and the 2 outcome
measures of subsequent mortality (Coxadjusted hazard ratio: 1.19 [95 percent
confidence interval: 1.18 to 1.20];
p<0.0001) and hospitalization for heart
failure (adjusted hazard ratio: 1.20 [95
percent confidence interval: 1.19 to
1.21]; p<0.0001), independent of other
baseline factors.309 The applicant
concluded from this study that infarct
size, as measured by CMR or
technetium-99m sestamibi SPECT
within 1 month after primary PCI, is
strongly associated with all-cause
mortality and hospitalization for heart
failure within 1 year.
Next, to support the claim that SSO2
Therapy significantly reduces infarct
size, the applicant cited the AMIHOT I
and II studies.
• The AMIHOT I clinical trial was
designed as a prospective, randomized
evaluation of patients who had been
diagnosed with AMI, including both
anterior and inferior patients, and
received treatment with either PCI with
stenting alone or with SSO2 Therapy as
an adjunct to successful PCI within 24
hours of symptom onset.310 The study
included 269 randomized patients and 3
co-primary endpoints: Infarction size
reduction, regional wall motion score
improvement at 3 months, and
reduction in ST segment elevation. The
study was designed to demonstrate
superiority of the SSO2 Therapy group
as compared to the control group for
each of these endpoints, as well as to
demonstrate non-inferiority of the SSO2
Therapy group with respect to 30-day
Major Adverse Cardiac Event (MACE).
The applicant stated that results for the
control versus SSO2 Therapy group
309 Ibid.
310 O’Neill, W.W., Martin, J.L., Dixon, S.R., et al.,
‘‘Acute Myocardial Infarction with Hyperoxemic
Therapy (AMIHOT), J Am Coll Cardiol, 2007, vol.
50(5), pp. 397–405.
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comparisons for the three co-primary
effectiveness endpoints demonstrated a
nominal improvement in the test group,
although this nominal improvement did
not achieve clinical and statistical
significance in the entire population.
The applicant further stated that a prespecified analysis of the SSO2 Therapy
patients who were revascularized
within 6 hours of AMI symptom onset
and who had anterior wall infarction
showed a marked improvement in all 3
co-primary endpoints as compared to
the control group.311 Key safety data
revealed no statistically significant
differences in the composite primary
endpoint of 1-month (30 days) MACE
rates between the SSO2 Therapy and
control groups. MACE includes the
combined incidence of death, reinfarction, target vessel
revascularization, and stroke. In total,
9/134 (6.7 percent) of the patients in the
SSO2 Therapy group and 7/135 (5.2
percent) of the patients in the control
group experienced 30-day MACE
(p=0.62).312
• The AMIHOT II trial randomized
301 patients who had been diagnosed
with and receiving treatment for
anterior AMI with either PCI plus the
SSO2 Therapy or PCI alone.313 The
AMIHOT II trial had a Bayesian
statistical design that allows for the
informed borrowing of data from the
previously completed AMIHOT I trial.
The primary efficacy endpoint of the
study required proving superiority of
the infarct size reduction, as assessed by
Tc-99m Sestamibi SPECT imaging at 14
days post PCI/stenting, with the use of
SSO2 Therapy as compared to patients
who were receiving treatment involving
PCI with stenting alone. The primary
safety endpoint for the AMIHOT II trial
required a determination of noninferiority in the 30-day MACE rate,
comparing the SSO2 Therapy group
with the control group, within a safety
delta of 6.0 percent.314 Endpoint
evaluation was performed using a
Bayesian hierarchical model that
evaluated the AMIHOT II result
conditionally in consideration of the
AMIHOT I 30-day MACE data.
According to the applicant, the results
of the AMIHOT II trial showed that the
use of SSO2 therapy, together with PCI
and stenting, demonstrated a relative
reduction of 26 percent in the left
ventricular infarct size and absolute
reduction of 6.5 percent compared to
PCI and stenting alone.315
Next, to support the claim that SSO2
Therapy prevents left ventricular
dilation, the applicant cited the Leiden
study, which represents a single-center,
sub-study of AMIHOT I patients treated
at Leiden University in the Netherlands.
The study describes outcomes of
randomized selective treatment with
intracoronary aqueous oxygen (AO), the
therapy delivered by SSO2 Therapy,
versus standard care in patients who
had acute anterior wall myocardial
infarction within 6 hours of onset. Of
the 50 patients in the sub-study, 24
received treatment using adjunctive AO
and 26 were treated according to
standard care after PCI, with no
significant differences in baseline
characteristics between groups. LV
volumes and function were assessed by
contrast echocardiography at baseline
and 1 month. According to the
applicant, the results demonstrated that
treatment with aqueous oxygen prevents
LV remodeling, showing a reduction in
LV volumes (3 percent decrease in LV
end-diastolic volume and 11 percent
decrease in LV end-systolic volume) at
1 month as compared to baseline in AOtreated patients, as compared to
increasing LV volumes (14 percent
increase in LV end diastolic volume and
18 percent increase in LV end-systolic
volume) at 1 month in control
patients.316 The results also show that
treatment using AO preserves LV
ejection fraction at 1 month, with AOtreated patients experiencing a 10
percent increase in LV ejection fraction
as compared to a 2 percent decrease in
LV ejection fraction among patients in
the control group.317
Finally, to support the claim that
SSO2 Therapy reduces death and heart
failure at 1 year, the applicant submitted
the results from the IC–HOT clinical
trial, which was designed to confirm the
safety and efficacy of the use of the
SSO2 Therapy in those individuals
presenting with a diagnosis of anterior
AMI who have undergone successful
PCI with stenting of the proximal and/
or mid left anterior descending artery
within 6 hours of experiencing AMI
symptoms. It is an IDE, nonrandomized,
single arm study. The study primarily
focused on safety, utilizing a composite
endpoint of 30-day Net Adverse Clinical
Events (NACE). A maximum observed
event rate of 10.7 percent was
311 Ibid.
312 Ibid.
315 Ibid.
313 Stone,
G.W., Martin, J.L., de Boer, M.J., et al.,
‘‘Effect of Supersaturated Oxygen Delivery on
Infarct Size after Percutaneous Coronary
Intervention in Acute Myocardial Infarction,’’ Circ
Cardiovasc Intervent, 2009, vol. 2, pp. 366–75.
314 Ibid.
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316 Warda, H.M., Bax, J.J., Bosch, J.G., et al.,
‘‘Effect of intracoronary aqueous oxygen on left
ventricular remodeling after anterior wall STelevation acute myocardial infarction,’’ Am J
Cardiol, 2005, vol. 96(1), pp. 22–4.
317 Ibid.
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established based on a contemporary
PCI trial of comparable patients who
had been diagnosed with anterior wall
STEMI. The results of the IC–HOT trial
exhibited a 7.1 percent observed NACE
rate, meeting the study endpoint.
Notably, no 30-day mortalities were
observed, and the type and frequency of
30-day adverse events occurred at
similar or lower rates than in
contemporary STEMI studies of PCItreated patients who had been
diagnosed with anterior AMI.318
Furthermore, according to the applicant,
the results of the IC–HOT study
supported the conclusions of
effectiveness established in AMIHOT II
with a measured 30-day median infarct
size = 19.4 percent (as compared to the
AMIHOT II SSO2 Therapy group infarct
size = 20.0 percent).319 The applicant
stated that notable measures include 4day microvascular obstruction (MVO),
which has been shown to be an
independent predictor of outcomes, 4day and 30-day left ventricular end
diastolic and end systolic volumes, and
30-day infarct size.320 The applicant
also stated that the IC–HOT study
results exhibited a favorable MVO as
compared to contemporary trial data,
and decreasing left ventricular volumes
at 30 days, compared to contemporary
PCI populations that exhibit increasing
left ventricular size.321 The applicant
asserted that the IC–HOT clinical trial
data continue to demonstrate the
substantial clinical benefit of the use of
SSO2 Therapy as compared to the
standard-of-care, PCI with stenting
alone.
The applicant also performed
controlled studies in both porcine and
canine AMI models to determine the
safety, effectiveness, and mechanism of
action of the SSO2 Therapy.322 323
According to the applicant, the key
summary points from these animal
studies are:
• SSO2 Therapy administration postAMI acutely improves heart function as
measured by left ventricular ejection
fraction (LVEF) and regional wall
318 David, SW, Khan, Z.A., Patel, N.C., et al.,
‘‘Evaluation of intracoronary hyperoxemic oxygen
therapy in acute anterior myocardial infarction: The
IC–HOT study,’’ Catheter Cardiovasc Interv, 2018,
pp. 1–9.
319 Ibid.
320 Ibid.
321 Ibid.
322 Spears, J.R., Henney, C., Prcevski, P., et al.,
‘‘Aqueous Oxygen Hyperbaric Reperfusion in a
Porcine Model of Myocardial Infarction,’’ J Invasive
Cardiol, 2002, vol. 14(4), pp. 160–6.
323 Spears, J.R., Prcevski, P., Xu, R., et al.,
‘‘Aqueous Oxygen Attenuation of Reperfusion
Microvascular Ischemia in a Canine Model of
Myocardial Infarction,’’ ASAIO J, 2003, vol. 49(6),
pp. 716–20.
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motion as compared with non-treated
control subjects.
• SSO2 Therapy administration postAMI results in tissue salvage, as
determined by post-sacrifice histological
measurements of the infarct size.
Control animals exhibit larger infarcts
than the SSO2-treated animals.
• SSO2 Therapy has been shown to be
non-toxic to the coronary arteries,
myocardium, and end organs in
randomized, controlled swine studies
with or without induced acute
myocardial infarction.
• SSO2 Therapy administration postAMI has exhibited regional myocardial
blood flow improvement in treated
animals as compared to controls.
• A significant reduction in
myeloperoxidase (MPO) levels in the
SSO2-treated animals versus controls,
which indicate improvement in
underlying myocardial hypoxia.
• Transmission electron microscopy
(TEM) photographs showing
amelioration of endothelial cell edema
and restoration of capillary patency in
ischemic zone cross-sectional
histological examination of the SSO2treated animals, while non-treated
controls exhibit significant edema and
vessel constriction at the microvascular
level.
We have the following concerns
regarding whether the technology meets
the substantial clinical improvement
criterion. We note that the standard-ofcare for STEMI has evolved since the
AMIHOT I and AMIHOT II studies were
conducted, such that it is unclear
whether use of SSO2 Therapy would
demonstrate the same clinical
improvement as compared to the
current standard-of-care. We also note
that the AMIHOT II study used SPECT
infarct size data 14 days post-MI for
efficacy and MACE events (including
death, re-infarction, revascularization,
and stroke) by 30 days post-MI for
safety. We are concerned that there is no
long-term data to demonstrate the
validity of these statistics, and that
infarct size has not been completely
validated as a surrogate marker for the
combination of PCI plus SSO2. With
respect to the IC–HOT study, we are
concerned that the lack of a control may
limit the interpretation of the data. We
also are concerned that the safety data
(death, re-infarction, re-vascularization,
stent thrombosis, severe heart failure,
and bleeding) for the IC–HOT study
were limited to the 30 days post-MI,
with no long-term data being available.
We are inviting public comments on
whether the SSO2 Therapy meets the
substantial clinical improvement
criterion, including with respect to
whether the results of the AMIHOT I
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and AMIHOT II studies remain valid
given the advancements in STEMI care
since these trials were conducted, and
the availability of long-term data to
validate the efficacy and safety data of
the AMIHOT II and IC–HOT studies.
We did not receive any written
comments in response to the New
Technology Town Hall meeting notice
published in the Federal Register
regarding the substantial clinical
improvement criterion for the SSO2
Therapy or at the New Technology
Town Hall meeting.
p. T2Bacteria® Panel (T2 Bacteria Test
Panel)
T2 Biosystems, Inc. submitted an
application for new technology add-on
payments for the T2 Bacteria Test Panel
(T2Bacteria® Panel) for FY 2020.
According to the applicant, the
T2Bacteria® Panel is indicated as an aid
in the diagnosis of bacteremia, bacterial
presence in the blood which is a
precursor for sepsis. It is a multiplex
diagnostic panel that detects five major
bacterial pathogens (Enterococcus
faecium, Escherichia coli, Klebsiella
pneumoniae, Pseudomonas aeruginosa,
and Staphylococcus aureus) associated
with sepsis. According to the applicant,
the T2Bacteria® Panel is capable of
detecting bacterial pathogens directly in
whole blood more rapidly and with
greater sensitivity as compared to the
current standard-of-care, blood culture.
The applicant noted that the
T2Bacteria® Panel’s major detected
species are five of the most common and
virulent sepsis-causing organisms.324 325
The applicant asserted that, by enabling
the rapid administration of speciesspecific antimicrobial therapies, the
T2Bacteria® Panel helps to reduce
patients’ hospital lengths-of-stay and
substantially improves clinical
outcomes. Furthermore, the applicant
asserted that the T2Bacteria® Panel
helps to reduce the overuse of
ineffective or unnecessary antimicrobial
therapy, reducing patient side effects,
lowering hospital costs, and potentially
counteracting the growing resistance to
antimicrobial therapy.
The applicant stated that the
T2Bacteria® Panel runs on the T2Dx
Instrument, which is a bench-top
diagnostic instrument that utilizes
developments in magnetic resonance
324 Boucher, H., Talbot, G., Bradley, J., Edwards,
J., Gilbert, D., Rice, L., Bartlett, J., ‘‘Bad Bugs, No
Drugs: No ESKAPE! An update from the infectious
disease society of America,’’ Clinical Infectious
Diseases, 2009, vol. 48, pp. 1–12, doi:10.1086/
595011.
325 Rice, L., ‘‘Federal Funding for the Study of
Antimicrobial Resistance in Nosocomial Pathogens:
No ESKAPE,’’ Journal of Infectious Diseases, 2008,
vol. 197, pp. 1079–1081, doi:10.1086/533452.
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and nanotechnology to detect pathogens
directly in whole blood, plasma, serum,
saliva, sputum and urine at limits of
detection as low as one colony forming
unit per milliliter. The applicant
explained that the T2Dx breaks down
red blood cells, concentrates microbial
cells and cellular debris, amplifies DNA
using a thermostable polymerase and
target-specific primers, and detects
amplified product by amplicon-induced
agglomeration of supermagnetic
particles and T2MR measurement.326 To
perform a diagnostic test, the patient’s
sample tube is snapped onto the
disposable test cartridge, which is preloaded with all necessary reagents. The
cartridge is then inserted into the T2Dx,
which automatically processes the
sample and then delivers a diagnostic
test result. The applicant asserted that
each test panel is comprised of a test
cartridge and a reagent tray and that
each are required to run the T2Bacteria®
Test Panel.
As stated above, the current standardof-care for identifying bacterial
bloodstream infections that cause sepsis
is a blood culture. The applicant
explained that blood culture diagnostics
have many limitations, beginning with a
series of time and labor intensive
analyses. According to the applicant,
completing a blood culture requires
typically 20 mLs or more of a patient’s
blood, which is obtained in two 10 mL
draws and placed into two blood culture
bottles containing nutrients formulated
to grow bacteria. The applicant
explained that before the blood culture
indicates if a patient is infected,
pathogens typically must reach a
concentration of 1,000,000 to
100,000,000 CFU/mL in the blood
specimen. This growth process typically
takes 1 to 6 or more days because the
pathogen’s initial concentration in the
blood specimen is often less than 10
CFU/mL. The applicant stated that a
typical blood culture provides a result
in a 2 to 4 day timeframe for species ID
and yields 50 to 65 percent clinical
sensitivity.327 328 According to the
applicant, a recent retrospective
analysis of 13 U.S. hospitals and over
326 Clancy, C., & Nguyen, H., ‘‘T2 magnetic
resonance for the diagnosis of bloodstream
infections: charting a path forward,’’ Journal of
Antimicrobial Chemotherapy, 2018, vol. 73(4), pp.
iv2–iv5, doi:10.1093/jac/dky050.
327 Clancy, C., & Nguyen, M. H., ‘‘Finding the
‘‘Missing 50%’’ of Invasive Candidiasis: How
nonculture Diagnostics will improve understanding
of disease spectrum and transform patient care,’’
Clinical Infectious Diseases, 2013, vol. 56(9), pp.
1284–1292, doi:10.1093/cid/cit006.
328 Cockerill, F., Wilson, J., Vetter, E., Goodman,
K., Torgerson, C., Harmsen, W., Wilson, W.,
‘‘Optimal Testing Parameters for Blood Cultures,’’
Clinical Infectious Diseases, 2004, vol. 38, pp.
1724–1730.
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150,000 cultures found a median blood
culture time for species ID of 43
hours.329
According to the applicant, blood
cultures provide results at multiple
stages. A negative test result requires a
minimum of 5 days for blood cultures.
A positive blood culture typically
means that some pathogen is present,
but additional steps must be performed
to identify the specific pathogen and
provide targeted therapy. The applicant
submitted data stating that during the
T2Bacteria® Panel’s pivotal study, blood
cultures took an average of 63.2 hours
(off T2Bacteria® Panel) and 38.5 hours
(on T2Bacteria® Panel) to obtain
positive results and 96.0 hours (off
T2Bacteria® Panel) and 71.7 hours (on
T2Bacteria® Panel) to achieve species
identification.330 The applicant stated
that, given this length of time to species
identification, the first therapy for a
patient at risk of sepsis is often broadspectrum antibiotics, which treats some,
but not all bacteria types. In addition,
the applicant indicated that the time to
species identification in blood culture
diagnostics causes delays in
administration of species-specific
targeted therapies, increasing hospital
lengths-of-stay and risk of death.
With respect to the newness criterion,
the applicant filed a section 510(k)
premarket notification with the FDA on
September 8, 2017 for the T2Bacteria®
Panel. According to the applicant, the
T2Bacteria® Panel received FDA 510(k)
clearance on May 24, 2018, based on a
determination of substantial
equivalence to a legally marketed
predicate device. The applicant noted
that the T2Bacteria® Panel has a very
broad application in the inpatient
hospital setting and, as a result,
potential cases available for use of the
T2Bacteria® Panel may be identified by
thousands of ICD–10–CM diagnosis
codes. We note that the applicant has
submitted a request to the ICD–10
Coordination and Maintenance
Committee for approval for a unique
ICD–10–PCS procedure code, effective
in FY 2020, to describe procedures
which use the T2Bacteria® Panel.
Currently, there are no ICD–10–PCS
procedure codes to uniquely identify
procedures involving the use of the
T2Bacteria® Panel.
329 Tabak, Y., Vankeepuram, L., Ye, G., Jeffers, K.,
Gupta, V., & Murray, P., ‘‘Blood Culture
Turanaround Time in US Acute Care Hospitals and
Implications for Laboratory Process Optimization,’’
Journal of Clinical Microbiology, August 2018, pp.
1–15.
330 T2 Biosystems, Inc., ‘‘T2Bacteria® Panel for
use on the T2Dx® Instrument, 510(k) summary,’’
Lexington, 2018.
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As discussed above, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and would not be
considered ‘‘new’’ for purposes of new
technology add-on payments.
With regard to the first criterion,
whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome, the applicant
asserted that the T2Bacteria® Panel: (1)
Has a different mechanism of action
when compared to the current standardof-care for the diagnosis of bacterial
pathogens directly from whole blood;
and (2) is designed to achieve a different
therapeutic outcome when compared to
the other diagnostic test panel that is
based on the same technological
diagnostic platform. Specifically, the
applicant asserted that the standard-ofcare blood culture is a laboratory test in
which blood, taken from the patient, is
inoculated into bottles containing
culture media and incubated over a
period of time to determine whether
infection-causing micro-organisms
(bacteria or fungi) are present in the
patient’s bloodstream. In contrast, the
applicant stated that the T2Bacteria®
Panel relies on developments in
magnetic resonance and nanotechnology
to determine the presence of bacterial
pathogens in a patient’s blood by
exploiting the physics of magnetic
resonance. Furthermore, the applicant
indicated that the only other product on
the U.S. market that uses the same or
similar mechanism of action as the
T2Bacteria® Panel is the T2Candida
Panel, which detects five clinically
relevant species of Candida, a fungal
pathogen known to cause sepsis.
However, the applicant noted that the
T2Candida Panel achieves a different
therapeutic outcome than the
T2Bacteria® Panel, which is the
diagnostic aid in the treatment of sepsis
caused by fungal infections in the blood.
With regard to the second criterion,
whether the technology is assigned to
the same or different MS–DRG, the
applicant did not comment. However,
we believe that cases involving the use
of the technology would be assigned to
the same MS–DRGs as cases involving
the current standard-of-care laboratory
blood cultures.
With respect to the third criterion,
whether the new use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population, according to
the applicant, the T2Bacteria® Panel
would be used as a diagnostic aid in the
treatment of similar diseases and patient
populations as the current standard-ofcare laboratory blood cultures.
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We are concerned that the mechanism
of action of the T2Bacteria® Test Panel
may be similar to the mechanism of
action used by the current standard-ofcare laboratory blood cultures or other
available diagnostic tests. While the
applicant states that the technology has
a different mechanism of action because
its differs from the standard-of-care,
blood cultures, we note that like other
available diagnostic tests, the
T2Bacteria® Test Panel uses DNA to
identify bacterial species. Similarly, in
order to obtain species identification
from the current standard-of-care, blood
cultures, a DNA test is also required.
Therefore, we are concerned with the
similarity of this mechanism of action.
We are inviting public comments on
whether the T2Bacteria® Test Panel is
substantially similar to the standard-ofcare laboratory blood cultures or other
diagnostic tests and whether this
technology meets the newness criterion.
With regard to the cost criterion, the
applicant provided the following
analysis. To identify the MS–DRGs to
which potential cases available for use
of the T2Bacteria® Panel would most
likely map, a selection of ICD–10–CM
diagnosis codes associated with the
clinical presence of the on-panel sepsiscausing bacteria for which the
T2Bacteria® Test Panel tests was
identified.331 332 333 334 335 The applicant
asserted that the T2Bacteria® Test Panel
can identify three Gram-negative blood
331 Calderwood, S., ‘‘Clinical manifestations,
diagnosis and treatment of enterohemorrhagic
Escherichia coli (EHEC) infection,’’ September
2017. Available at: https://www.uptodate.com/
contents/clinical-manifestations-diagnosis-andtreatment-of-enterohemorrhagic-escherichia-coliehec-infection.
332 Yu, W.L., & Chuang, Y.C., ‘‘Clinical features,
diagnosis, and treatment of Klebsiella pneumoniae
infection,’’ May 18, 2017. Available at: https://
www.uptodate.com/contents/clinical-featuresdiagnosis-and-treatment-of-klebsiella-pneumoniaeinfection?search=Klebsiella%20
pneumoniae&source=search_result&selectedTitle=
1∼150&usage_type=default&display_rank=1.
333 Kanj, S., & Sexton, D., ‘‘Epidemiology,
microbiology, and pathogenesis of Pseudomonas
aeruginosa infection,’’ October 9, 2018. Available at:
https://www.uptodate.com/contents/epidemiologymicrobiology-and-pathogenesis-of-pseudomonasaeruginosa-infection?search=Pseudomonas%20
aeruginosa&source=search_result&selected
Title=2∼150&usage_type=default&display_rank=2.
334 Holland, T., & Fowler, V., ‘‘Clinical
manifestations of Staphylococcus aureus infection
in adults,’’ September 22, 2017. Available at:
https://www.uptodate.com/contents/clinicalmanifestations-of-staphylococcus-aureus-infectionin-adults?search=Staphylococcus
%20aureus&source=search_result&selectedTitle=
3∼150&usage_type=default&display_rank=3.
335 Murray, B., ‘‘Microbiology of enterococci,’’
August 31, 2017. Available at: https://
www.uptodate.com/contents/microbiology-ofenterococci?search=Enterococcus
%20faecium&source=search_
result&selectedTitle=2∼21&usage_
type=default&display_rank=2.
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stream infections (Escherichia coli,
Klebsiella pneumoniae, Pseudomonas
aeruginosa) and two Gram-positive
bloodstream infection species
(Staphylococcus aureus, and
Enterococcus faecium). A total of 67
ICD–10–CM diagnosis codes were
identified and segmented by two
categories, infections (39 codes) and
sepsis (28 codes). The applicant asserted
that the former category represents
potential cases available to be diagnosed
by the T2Bacteria® Panel for patients
who are at risk for sepsis and the latter
represents potential cases available for
use of the T2Bacteria® Panel for patients
who have been diagnosed with a
confirmed sepsis. The applicant stated
that distinguishing between the two was
necessary due to the varying costs
associated with the treatment of patients
at risk for sepsis versus confirmed cases
of sepsis.
After the identification of the 39
infection and 28 sepsis diagnosis codes,
both selections were refined by the
applicant with the removal of cases
identified by a total of 15 codes that
represent pathogens not within the
spectrum of blood infections that the
T2Bacteria® Panel has been tested with
and/or has been confirmed to detect.
From the infection diagnosis codes,
cases identified by two ICD–10–CM
diagnosis codes: A021 (Salmonella
sepsis); and A227 (Anthrax sepsis) were
removed. From the sepsis diagnosis
codes, cases identified by 13 diagnosis
codes were removed: A021 (Salmonella
sepsis); A227 (Anthrax sepsis); A400
(Sepsis due to streptococcus, group A);
A401 (Sepsis due to streptococcus,
group B); A403 (Sepsis due to
streptococcus pneumonia); A408 (Other
streptococcal sepsis); A409
(Streptococcal sepsis, unspecified);
A413 (Sepsis due to hemophilus
influenza); A414 (Sepsis due to
anaerobes); A4153 (Sepsis due to
serratia); A427 (Actinomycotic sepsis);
A5486 (Gonococcal sepsis); and B377
(Candidal sepsis). The remaining
infection and sepsis diagnosis codes
were then used to query the FY 2017
MedPAR database to identify inpatient
discharges reporting these diagnosis
codes under the primary and secondary
position.
According to the applicant, the
resulting sets of MS–DRGs from both
diagnosis code selection queries had
visible commonalities when looking at
only the MS–DRGs that contained
potential cases which represented at
least 1 percent of the discharge volume
for the specific diagnoses. According to
the applicant, due to the high volume of
cases pulled and visible trends,
provider-specific discharges at the MS–
DRG level with fewer than 11 discharges
were omitted from the analysis. In
reconciling the list of MS–DRGs
containing potential cases identified for
the specific infection and sepsis codes,
the applicant stated that MS–DRGs 853
(Infectious & Parasitic Diseases with
O.R. Procedure with MCC), 870
(Septicemia or Severe Sepsis with
Mechanical Ventilation >96 Hours), 871
(Septicemia or Severe Sepsis without
Mechanical Ventilation >96 Hours with
MCC) and 872 (Septicemia or Severe
Sepsis without Mechanical Ventilation
>96 Hours without MCC) contain at
least 1 percent of the potential case
volume under both scenarios and are
the MS–DRGs to which these potential
cases available for use of the
T2Bacteria® Test Panel would most
closely map.
The applicant provided multiple cost
analysis scenarios to demonstrate that
the T2Bacteria® Test Panel meets the
cost criterion. Eight scenarios were
provided for the Sepsis and Infection
diagnosis codes, separately, using the
ICD–10–CM selections and based on the
following methodologies: (1) Applicable
discharges for the potential cases
contained in 4 MS–DRGs (853, 870, 871
and 872); (2) applicable discharges for
cases inclusive of all identified MS–
DRGs; (3) applicable discharges with
ICU usage for potential cases contained
in 4 MS–DRGs (853, 870, 871 and 872);
(4) applicable discharges with ICU usage
for potential cases inclusive of all
identified MS–DRGs; (5) applicable
discharges for cases contained in 4 MS–
DRGs (853, 870, 871 and 872) with
removal of 50 percent of pharmacy
charges for prior technology; (6)
applicable discharges for potential cases
inclusive of all identified MS–DRGs
with removal of 50 percent of pharmacy
charges for prior technology; (7)
applicable discharges with ICU usage
for potential cases contained in 4 MS–
DRGs (853, 870, 871 and 872) with
removal of 75 percent of pharmacy
charges for prior technology; and (8)
applicable discharges with ICU usage
for potential cases contained inclusive
of all identified MS–DRGs with removal
of 75 percent of pharmacy charges for
prior technology.
The applicant’s order of operations
used for each analysis is as follows: (1)
Using the 15 sepsis or 37 infection
diagnosis codes; (2) using the complete
set of cases or those who had an ICU
stay; (3) removing pharmacy charges at
0 percent, 50 percent, or 75 percent (for
ICU patients only); and (4)
standardizing the charges per cases
using the Impact File published with
the FY 2019 IPPS/LTCH PPS final rule
correction notice data file. After
removing the charges for the prior
technology and standardizing charges,
the applicant applied an inflation factor
of 1.08986, which is the 2-year inflation
factor from the FY 2019 IPPS/LTCH PPS
final rule correction notice (83 FR
49844) to update the charges from FY
2017 to FY 2019. The applicant then
added charges for the T2Bacteria®
Panel. Under each scenario, the
applicant stated that the inflated average
case-weighted standardized charge per
case exceeded the average caseweighted threshold amount. Below we
provide a table depicting the applicant’s
results for all 16 scenarios that the
applicant indicated demonstrates that
the technology meets the cost criterion.
Final inflated
average
caseweighted
standardized
charge
per case
amozie on DSK9F9SC42PROD with PROPOSALS2
Scenario
Sepsis Discharges for Cases Contained in 4 MS–DRGs (872, 871, 870 and 853) ...............................................
Sepsis Discharges for Cases Inclusive of All Identified MS–DRGs .......................................................................
Sepsis Discharges for Cases with ICU Usage Contained in 4 MS–DRGs (872, 871, 870 and 853) ....................
Sepsis Discharges for Cases with ICU Usage Inclusive of All Identified MS–DRGs .............................................
Sepsis Discharges for Cases Contained in 4 MS–DRGs (872, 871, 870 and 853) with Removal of 50 Percent
of Pharmacy Charges for Prior Technology ........................................................................................................
Sepsis Discharges for Cases Inclusive of All Identified MS–DRGs with Removal of 50 Percent of Pharmacy
Charges for Prior Technology ..............................................................................................................................
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Average
caseweighted
threshold
amount
$69,088
74,630
94,385
103,285
$62,699
64,991
69,194
73,349
63,503
62,699
68,555
64,991
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Final inflated
average
caseweighted
standardized
charge
per case
Scenario
amozie on DSK9F9SC42PROD with PROPOSALS2
Sepsis Discharges for Cases with ICU Usage Contained in 4 MS–DRGs (872, 871, 870, and 853) with Removal of 75 Percent of Pharmacy Charges for Prior Technology ......................................................................
Sepsis Discharges for Cases with ICU usage Inclusive of All Identified MS–DRGs with Removal of 75 Percent
of Pharmacy Charges for Prior Technology ........................................................................................................
Infection Discharges for Cases Contained in 4 MS–DRGs (872, 871, 870 and 853) ............................................
Infection Discharges for Cases Inclusive of All Identified MS–DRGs .....................................................................
Infection Discharges for Cases with ICU Usage Contained in 4 MS–DRGs (872, 871, 870 and 853) .................
Infection Discharges for Cases with ICU Usage Inclusive of All Identified MS–DRGs ..........................................
Infection Discharges for Cases Contained in 4 MS–DRGs (872, 871, 870 and 853) with Removal of 50 Percent of Pharmacy Charges for Prior Technology ................................................................................................
Infection Discharges for Cases Inclusive of All Identified MS–DRGs with Removal of 50 Percent of Pharmacy
Charges for Prior Technology ..............................................................................................................................
Infection Discharges for Cases with ICU Usage Contained in 4 MS–DRGs (872, 871, 870, and 853) with Removal of 75 Percent of Pharmacy Charges for Prior Technology ......................................................................
Infection Discharges for Cases with ICU Usage Inclusive of All Identified MS–DRGs with Removal of 75 Percent of Pharmacy Charges for Prior Technology ................................................................................................
The applicant noted that, in all 16
scenarios, the average case-weighted
standardized charge per case for
potential cases available for aid by use
of the T2Bacteria® Test Panel would
exceed the average case-weighted
threshold amounts in the FY 2019 IPPS/
LTCH PPS final rule correction notice
data file by between $803.87 and
$33,488.82. Supplementary analyses
were provided by the applicant, which
included eight additional scenarios that
combined the 15 sepsis and 37 infection
diagnosis codes into one set of 52
diagnosis codes. The applicant again
utilized an inflation factor of 1.08986
and followed the same methodology as
the previously discussed cost analyses.
The applicant again noted that the final
inflated average case-weighted
standardized charge per case exceeded
the average case-weighted threshold
amounts in all scenarios, ranging
between $1,083.67 and $32,430.57.
We are inviting public comments on
whether the T2Bacteria® Panel meets
the cost criterion.
With respect to the substantial
clinical improvement criterion, the
applicant asserted that the T2Bacteria®
Panel represents a substantial clinical
improvement over existing technologies.
According to the applicant, the
T2Bacteria® Panel is the only FDAcleared diagnostic aid that has the
ability to rapidly and accurately identify
sepsis-causing bacteria species directly
from whole blood within 3 to 5 hours,
instead of the 1 to 5 days required by
current standard-of-care laboratory
blood cultures or other diagnostic
technology. The applicant also asserted
that the use of the T2Bacteria® Panel
provides more rapid beneficial
resolution of the disease process due to
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enabling faster treatment. Several
studies provided by the applicant
suggest that effective detection prior to
therapy can lead to a reduction in
hospital lengths-of-stay and likelihood
of death.336 337 According to the
applicant, in these studies for every
hour reduction in time to effective
therapy or species ID, the length-of-stay
decreased by 2.7 hours.
The applicant stated that the
T2Bacteria® pivotal trial that led to the
FDA clearance enrolled 11 hospitals in
the United States and 1,427 patients
with a blood culture ordered as the
standard-of-care, with species ID
determined by MALDI–TOF or
Vitek2.338 Furthermore, due to the low
prevalence of panel specific organisms,
an additional 250 contrived specimens
were evaluated. The T2Bacteria® Panel
result was blinded to the managing staff
and did not influence care. Blood
samples were drawn for culture and
T2Bacteria® Panel from the same line at
the same time. The mean time to blood
culture positivity was 51.0 ± 43.0 hours
(mean ± SD) and the mean time to
species ID was 83.7 ± 47.6 hours (mean
± SD). In contrast, the mean time to
336 Huang, A., Newton, D., Kunapuli, A., Gandhi,
T., Washer, L., Isip, J., Nagel, J., ‘‘Impact of Rapid
Organism Identification via Matrix-Assisted Laser
Desorption/Ionization Time-of-Flight Combined
with Antimicrobial Stewardship Team Intervention
in Adult Patients with Bacteremia and
Candidemia,’’ Clinical Infectious Diseases, 2013,
vol. 57(9), pp. 1237–1245.
337 Perez, K., Olsen, R., Musick, W., Cernoch, P.,
Davis, J., Peterson, L., & Musser, J., ‘‘Integrating
Rapid Diagnostics and Antimicrobial Stewardship
Improves Outcomes in Patients with AntibioticResistant Gram-Negative Bacteremia,’’ Journal of
Infection, 2014, vol. 69(3), pp. 216–225.
338 T2 Biosystems, Inc., ‘‘T2Bacteria® Panel for
use on the T2Dx® Instrument, 510(k) summary,’’
Lexington, 2018.
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Average
caseweighted
threshold
amount
82,415
69,194
90,151
69,349
61,299
95,952
102,171
73,350
60,696
52,595
67,024
68,682
63,744
60,696
56,833
52,595
83,760
67,024
90,091
68,683
T2Bacteria® Panel result was 6.5 ± 1.9
hours, where a full load of 7 samples
completed in 7.70 ± 1.4 hours and a
single sample completed in 3.6 ± 0.02
hours. Therefore, the difference in mean
time to result between blood culture and
the T2Bacteria® Panel assay was 77.2
hours or 3.2 days (p<0.001). Compared
to the matched draw blood culture and
contrived samples, the overall
sensitivity ranged from 81.3 percent to
100 percent and specificity ranged from
95.0 percent to 100 percent,
respectively. Of the 190 positive
T2Bacteria® Panel results, 35 had
matching blood culture results and 155
were potentially false positive. Of these
155, 35 had a positive blood culture at
another blood draw within 14 days; 30
had positive results by amplification
and gene sequencing; and 23 had other
positive non-blood specimens for the
same organism. Sixty-three of the 190
(33 percent) positive results were not
associated with evidence of infection.
Later testing by the applicant confirmed
that reagent contamination caused the
high false positive rates specifically for
E. coli of 1.7 percent and P. aeruginosa
(1.7 percent) in stored blood samples.
Compared to blood culture results for
species identified with the T2Bacteria®
Panel, the assay detected 3.2-times more
positives associated with infection.
Nguyen, et al., a submitted
publication manuscript based on the
pivotal study data used by the FDA,
found that the species identification of
the T2Bacteria® Panel took an average
mean time of 3.61 ± 0.2 hours up to 7.70
± 1.38 hours (mean time dependent on
the number of samples loaded, 1 to 7),
which was shorter than that of the
standard-of-care blood culture with a
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mean time of 71.7 ± 39.3 hours.339 In
addition to faster species identification,
the applicant asserted that the
T2Bacteria® Panel identifies more
infection-positive cases than blood
cultures when verified by nonconcurrent test results 340 or when
verified with proven, probably, or
possible criteria (concurrent blood
culture positive results, non-concurrent
blood culture results with positive
culture results from another site within
21 days, and no culture match, but the
T2Bacteria® Panel bacteria was a
plausible cause of disease, respectively).
In this study, 66 percent of patients with
concomitant blood culture results and
T2Bacteria® Panel positive results were
not on active antibiotics at the time of
the blood draw, while 24 percent of
patients with probable or possible blood
stream infections that were positive by
T2Bacteria® Panel alone were not on
effective therapy.
In another study submitted by the
applicant, 137 blood cultures and
T2Bacteria® Panel tests were obtained
from participants in the emergency
department.341 T2Bacteria® Panel
results were verified with concordant
blood culture results, or when
discordant with blood cultures from
another location drawn within 14 days
of the matched draw, or with the whole
blood Sanger sequencing method. No
samples generated an invalid result for
the T2Bacteria® assay. The T2Bacteria®
Panel identified 15 positives for which
blood cultures had concordant matches
for 12. The three unmatched positives
were verified via other means. As
compared to blood cultures, the
T2Bacteria® Panel had an overall
positive percent agreement of 100
percent (12/12) and a negative percent
agreement of 98.4 percent (662/673).
The negative percent agreement is
shown to be due to blood culture results
that are indeterminate, or false positive.
In the same study,342 the T2Bacteria®
Panel results relative to standard-of-care
blood culture identification were
classified into four impact level
categories: (1) Minimal impact results
339 Nguyen, M.H., Clancy, C., Pasculle, A.W.,
Pappas, P., Alangaden, G., Pankey, G., Mylonakis,
E. ‘‘Clinical performance of the T2Bacteria panel for
diagnosis bloodstream infections due to five
common bacterial pathogens,’’ Manuscript for
submission.
340 T2 Biosystems, Inc., ‘‘T2Bacteria® Panel for
use on the T2Dx® Instrument, 510(k) summary,’’
Lexington, 2018.
341 Voigt, C., Silbert, S., Widen, R., Marturano, J.,
Lowery, T., Ashcraft, D., & Pankey, G., ‘‘The
T2Bacteria assay is a sensitive and rapid detector
of bacteremia that can be initiated in the emergency
department and has potential to favorably influence
subsequent therapy,’’ Journal of Emergency Medical
Review, pp. 1–30.
342 Ibid.
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have negative blood culture results with
no evidence of infection for which
results would have little to no impact;
(2) some impact results occur for
patients who have an effective therapy
at the time of results, but the number of
antibiotics administered could have
been reduced; (3) moderate impact
results are for those on effective therapy
at the time of results, but were switched
to species-directed therapy within 12
hours of a standard-of-care blood
culture identification; and (4) direct
impact results relate to those who could
have been placed on effective therapy
earlier based on the results of the
T2Bacteria® Panel.343 The study
identified 7 ‘‘minimal impact’’
incidents, 8 ‘‘some impact’’ incidents, 4
‘‘moderate impact’’ incidents, and 4
‘‘direct impact’’ incidents, indicating
that 16/23 (69.6 percent) of positive test
results could have potentially
influenced patient care.
In articles provided by the applicant
which concerned separate studies, the
T2Bacteria® Panel was found to have a
shorter time to species identification
than blood cultures.344 345 The study
analysis by De Angelis, et al., 2018, an
international, prospective observational
study involving 129 patients (144
enrolled) 18 years of age and older who
had a blood culture and for whom a
T2Bacteria® Panel was also obtained,
showed that the T2Bacteria® Panel
provided a mean time to species
identification and negative result of 5.5
± 1.4 hours and 6.1 ± 1.5 hours,
respectively as compared to 25.2 ± 15.2
hours and 120 ± 0.0 hours resulting
from the standard-of-care blood culture
method, respectively.346 There were a
total of 10 concordantly identified
micro-organisms, 2 identified by
standard-of-care blood culture only, and
343 Voigt, C., Silbert, S., Widen, R., Marturano, J.,
Lowery, T., Ashcraft, D., & Pankey, G., ‘‘The
T2Bacteria assay is a sensitive and rapid detector
of bacteremia that can be initiated in the emergency
department and has potential to favorably influence
subsequent therapy,’’ Journal of Emergency Medical
Review, pp. 1–30.
344 De Angelis, G., Posteraro, B., Dr Carolis, E.,
Menchinelli, G., Franceschi, F., Tumbarello, M.,
Sanguinetti, M., ‘‘T2Bacteria magnetic resonance
assay for the rapid detection of ESKAPEc pathogens
directly in whole blood,’’ Journal of Antimicrobial
Chemotherapy, 2018, vol. 73, pp. iv20–iv26,
doi:10.1093/jac/dky049.
345 Nguyen, M. H., Clancy, C., Pasculle, A. W.,
Pappas, P., Alangaden, G., Pankey, G., Mylonakis,
E., ‘‘Clinical performance of the T2Bacteria panel
for diagnosis bloodstream infections due to five
common bacterial pathogens,’’ Manuscript for
submission.
346 De Angelis, G., Posteraro, B., Dr Carolis, E.,
Menchinelli, G., Franceschi, F., Tumbarello, M.,
Sanguinetti, M., ‘‘T2Bacteria magnetic resonance
assay for the rapid detection of ESKAPEc pathogens
directly in whole blood,’’ Journal of Antimicrobial
Chemotherapy, 2018, vol. 73, pp. iv20–iv26,
doi:10.1093/jac/dky049.
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20 detected by the T2Bacteria® Panel
only. As compared to the results from
the standard-of-care blood culture
method, the results from the
T2Bacteria® Panel had a sensitivity that
ranged from 50 percent to 100 percent
across the 5 detection channels, with an
aggregate of 83.3 percent and a
specificity that ranged from 94.8 percent
to 100 percent, with an aggregate of 97.6
percent. For patients who had a
matched blood culture positive (n=8)
and who met the criterion of infection
(n=6), a total of 36 percent (5/14) of the
patients were receiving inappropriate
antimicrobial therapy at the time of the
T2Bacteria® Panel result. The results of
this study are again discussed in
another article submitted by the
applicant, which states that these results
may have the potential to rapidly
identify the five on-panel pathogens that
may include cases missed by results of
the standard-of-care blood culture.347
The applicant further asserted that the
T2Bacteria® Panel provides a decreased
rate of subsequent diagnostic or
therapeutic interventions. The applicant
discussed the results of a meta-analysis
of 70 studies, in which the proportion
of patients on an inappropriate empiric
therapy was 46.5 percent.348 The
applicant indicated that the results
show that amongst patients with a blood
culture draw, typical antibiotic
administration rates range from 50 to 70
percent.349 350 351 The applicant asserted
that based on the results of the analysis
by the Voigt, et al., manuscript, 35
percent (8/23) of the patients, receiving
3.6 ± 1.1 (mean ± SD) unique antibiotics
per patient, could have potentially seen
347 Clancy, C., & Nguyen, H., ‘‘T2 magnetic
resonance for the diagnosis of bloodstream
infections: charting a path forward,’’ Journal of
Antimicrobial Chemotherapy, 2018, vol. 73(4), pp.
iv2–iv5, doi:10.1093/jac/dky050.
348 Paul, M., Shani, V., Muchtar, E., Kariv, G.,
Robenshtok, E., & Leibovici, L., ‘‘Systematic Review
and Meta-Analysis of the Efficacy of Appropriate
Empiric Antibiotic Therapy for Sepsis,’’
Antimicrobial Agents and Chemotherapy, 2010, vol.
54(11), pp. 4851–4863.
349 Castellanos-Ortega, A., Suberviola, B., GarciaAstudillo, L., Holanda, M., Ortiz, F., Llorca, J., &
Delgado-Rodriguez, M., ‘‘Impact of the Surviving
Sepsis Campaign Protocols on Hospital Length of
Stay and Mortality in Septic Shock Patients: Results
of a three-year follow-up quasi-experimental
study,’’ Crit Care Med, 2010, vol. 38(4), pp. 1036–
1043, doi:10.1097/CCM.0b0bl3e3181d455b6.
350 Karlsson, S., Varpula, M., Pettila, V., &
Parvlainen, I., ‘‘Incidence, Treatment, and Outcome
of Severe Sepsis in ICU-treated Adults in Finland:
The Finnsepsis study,’’ Intensive Care Medicine,
2007, vol. 33, pp. 435–443, doi:10.1007/s00134–
006–0504–z.
351 Suberviola, B., Marquez-Lopez, A.,
Castellanos-Ortega, A., Fernandez-Mazarrasa, C.,
Santibanez, M., & Martinez, L., ‘‘Microbiological
Diagnosis of Speis: Polymerase chain reaction
system versus blood cultures,’’ American Journal of
Critical Care, 2016, vol. 25(1), pp. 68–75.
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a reduction in the number of
administered antibiotics.352 The
applicant further stated via a
supplementary presentation to CMS that
the use of the T2Bacteria® Panel allows
for earlier species directed therapy than
that allowed for by standard-of-care
blood cultures. The applicant believed
that the use of the T2Bacteria® Panel
may allow the provider to move from
broad potentially unnecessary empiric
to species-targeted therapy. The
applicant stated that using hospital
antibiograms and being informed of the
species by the T2Bacteria® Panel, the
physician is able to use species-directed
therapy and place up to 90 percent of
patients on an effective therapy in a few
hours instead of 2 to 3 days.
According to the applicant, the
practice of antibiotic de-escalation was
recently evaluated across 23 studies and
found to be safe and effective.353 Given
the toxicity associated with antibiotics,
where some antibiotics cause
encephalopathies including seizures 354
and in extreme cases show up to a 4.5
percent mortality rate due to the
antibiotic itself,355 the applicant
asserted that judicious use of antibiotics
is necessary. The applicant further
stated that rapid diagnostics such as that
able to be accomplished by the use of
the T2Bacteria® Panel assay, due to its
negative predictive value (NPV) of 99.7
percent,356 will enable physicians to
focus therapy and reduce the use of
unnecessary drugs, where a targeted
therapy is possible in 3.8 hours instead
of 2 days, reducing toxicity and
development of resistance.357
352 Voigt, C., Silbert, S., Widen, R., Marturano, J.,
Lowery, T., Ashcraft, D., & Pankey, G., ‘‘The
T2Bacteria assay is a sensitive and rapid detector
of bacteremia that can be initiated in the emergency
department and has potential to favorably influence
subsequent therapy,’’ Journal of Emergency Medical
Review, pp. 1–30.
353 Ohji, G., Doi, A., Yamamoto, S., & Iwata, K.,
‘‘Is De-escalation of Antimicrobials Effective? A
systematic review and meta-analysis,’’ International
Journal of Infectious Diseases, 2016, vol. 49, pp. 71–
79, Retrieved from https://dx.doi.org/10.1016/
j.ijid.2016.06.002.
354 Bhattacharyya, S., Darby, R.R., Raibagkar, P.,
Gonzalez Castro, L.N., & Berkowitz, A., ‘‘Antibioticassociated Encephalopathy,’’ American Academy of
Neurology, 2016, pp. 963–971.
355 Koch-Weser, J., Sidel, V., Federman, E.,
Kanarek, P., Finer, D., & Eaton, A., ‘‘Adverse Effects
of Sodium Colistimethate; Manifestations and
specific reaction rates during 317 courses of
therapy,’’ Annals of Internal Medicine, 1970, vol.
72, pp. 857–868.
356 Nguyen, M. H., Clancy, C., Pasculle, A.W.,
Pappas, P., Alangaden, G., Pankey, G., Mylonakis,
E., ‘‘Clinical performance of the T2Bacteria panel
for diagnosis bloodstream infections due to five
common bacterial pathogens,’’ Manuscript for
submission.
357 Weisz, E., Newton, E., Estrada, S., & Saunders,
M., ‘‘Early Experience with the T2Bacteria Research
Use Only (RUO) Panel at a Community Hospital,’’
Lee Memorial Hospital, Fort Meyers.
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The applicant stated that the use of
the T2Bacteria® Panel will result in
reduced mortality. The applicant
indicated that the results of large
retrospective analyses show that every
hour delaying time to appropriate
antibiotic therapy increased odds of
death by 4 percent or reduced survival
by 7.6 percent.358 359 360 The applicant
stated that the results of the T2Bacteria®
Panel Pivotal trial show that out of 23
positive patients, 4 (17 percent) could
have seen a reduction in time to
effective therapy, with mean time of
28.0 hours. An additional 4 (17 percent)
could have seen a reduction in time to
species-directed therapy, with mean
time reduction of 52.6 hours. The
applicant stated that by using the
T2Bacteria® Panel assay relative to
standard-of-care blood cultures, they
expect a potential reduction in the odds
of death to be 52.8 percent. According
to the applicant, this factor of 2
difference is consistent with a two-time
higher odds of death in patients given
inappropriate empiric antibiotics
relative to appropriate empiric
antibiotics.361 The applicant indicated
that this result suggests that employing
the use of the T2Bacteria® Panel assay
should reduce mortality in bacteremia
patients who are not immediately on
appropriate therapy.
In the form of supplementary
information, the applicant stated that
the use of the T2Bacteria® Panel covers
5 species, which account for 50 percent
to 70 percent of all blood stream
infections, depending on local
epidemiology. According to the
applicant, the remaining 30 percent to
50 percent of patients would continue to
need standard-of-care blood cultures for
species identification. Based on all of
the above, the applicant believed that
the T2Bacteria® Test Panel represents a
358 Paul, M., Shani, V., Muchtar, E., Kariv, G.,
Robenshtok, E., & Leibovici, L., ‘‘Systematic Review
and Meta-Analysis of the Efficacy of Appropriate
Empiric Antibiotic Therapy for Sepsis,’’
Antimicrobial Agents and Chemotherapy, 2010, vol.
54(11), pp. 4851–4863.
359 Kumar, A., Roberts, D., Wood, K., Light, B.,
Parrillo, J., Sharma, S., Cheang, M., ‘‘Duration of
Hypotension before Initiation of Effective
Antimicrobial Therapy is the Critical Determinant
of Survival in Human Septic Shock,’’ Crit Care Med,
2006, vol. 34(6), pp. 1589–1596, doi:10.1097/
01.CCM.0000217961.75225.E9.
360 Seymour, C., Gesten, F., Prescott, H.,
Friedrich, M., Iwashyna, T., Phillips, G., Levy, M.,
‘‘Time to Treatment and Mortality during Mandated
Emergency Care for Sepsis,’’ The New England
Journal of Medicine, 2017, vol. 376(23), pp. 2235–
2244, doi:10.1056/NEJMoa1703058.
361 Paul, M., Shani, V., Muchtar, E., Kariv, G.,
Robenshtok, E., & Leibovici, L., ‘‘Systematic Review
and Meta-Analysis of the Efficacy of Appropriate
Empiric Antibiotic Therapy for Sepsis,’’
Antimicrobial Agents and Chemotherapy, 2010, vol.
54(11), pp. 4851–4863.
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19361
substantial clinical improvement over
existing technologies.
We have the following concerns
regarding whether the T2Bacteria®
Panel meets the substantial clinical
improvement criterion. First, we are not
certain that the applicant has provided
sufficient evidence to demonstrate that
the early identification without
antibiotic susceptibility provided by the
use of the T2 Bacteria® Panel is enough
to prevent unnecessary empiric therapy
because specific identification and
antibiotic susceptibilities may still be
required by blood cultures to adequately
treat sepsis. For instance, if an on-panel
bacteria were identified it remains
possible that this species could be
resistant to the standard-of-care
treatment for such bacteria used in a
hospital. In addition, we believe that not
only is it possible for an identified
species to be resistant to typical empiric
therapy, therefore diminishing the
utility of its early identification, it also
is possible for off-panel organisms to be
present and also not be affected by
species-targeted empiric treatment. The
applicant provided supplemental
information in which it stated that
consistent with its labeling, the use of
the T2Bacteria® Test Panel would not
replace blood cultures for specific
organisms. Given this information, we
are concerned that the use of the
T2Bacteria® Panel may not be a
substantial clinical improvement over
standard-of-care blood cultures, the
existing comparator.
Second, the applicant provided
research and analyses, which is
suggestive that the use of the
T2Bacteria® Test Panel may lead to
decreased hospital lengths-of-stay, and
decreased mortality. Specifically, these
analyses and articles show that there is
a possibility for a correlated relationship
between the T2Bacteria® Panel’s time to
species ID and these identified
outcomes. The applicant addressed this
issue in a qualitative manuscript
analysis involving identification of
potential impacts of the T2Bacteria®
Test Panel.362 We recognize that this
qualitative analysis is informative, but
we are concerned that the low number
of cases (under 10) may limit
generalizability of these results. Given
this information, we are concerned that
in lieu of direct testing, these suggestive
362 Voigt, C., Silbert, S., Widen, R., Marturano, J.,
Lowery, T., Ashcraft, D., & Pankey, G., ‘‘The
T2Bacteria assay is a sensitive and rapid detector
of bacteremia that can be initiated in the emergency
department and has potential to favorably influence
subsequent therapy,’’ Journal of Emergency Medical
Review, pp. 1–30.
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findings may not show a causative
relationship.
Third, we are concerned that in all of
the studies provided, the comparator for
the T2Bacteria® Panel is a single blood
culture draw. It is well established that
blood culture sensitivity and specificity
increase with repeat blood draws.
According to research provided by the
applicant, a single set of blood cultures
should not be drawn, but rather
surveillance blood cultures, involving
multiple draws over time, should be
practiced.363 Therefore, we believe that
initial blood cultures followed by
repeated blood draws would have been
a better comparator. Furthermore, we
believe an even stronger comparator for
the T2Bacteria® Test Panel would be
other DNA based tests, such as
polymerase chain reaction (PCR), which
also utilize DNA to identify bacterial
infections.
Ultimately, we are concerned that the
use of the T2Bacteria® Test Panel may
not alter the clinical course of treatment.
We believe that the variable sensitivity
and specificity for the T2Bacteria®
Panel may be of concern if these results
do not compare favorably to other
available DNA tests. While some of the
false positives in the pivotal trial were
explained by reagent contamination (43
of the 63 false positives),364 the high
false positive rate seen in the applicant’s
literature, (for example, 13 of 32
positives (40.6 percent),365 58 of 146
positives (39.7 percent),366 and a
potential 20 of 63 (31.7 percent) from
the pivotal trial) may result in
unnecessary treatment of patients.
Furthermore, use of a contrived arm in
the pivotal trial and low overall
incidence of these five specific sepsiscausing organisms may make it difficult
to determine a substantial clinical
improvement in the complex clinical
setting. Lastly, it seems that blood
cultures may still be necessary to
identify species susceptibility because
363 Wilson, M., Mitchell, M., Morris, A., Murray,
P., Reimer, L., Reller, L. B., Welch, D., ‘‘Prinicples
and Procedures for Blood Cultures; Approved
Guildeline,’’ Clinical and Laboratory Standards
Institute, 2007.
364 T2 Biosystems, Inc., ‘‘T2Bacteria® Panel for
use on the T2Dx® Instrument, 510(k) summary,’’
Lexington, 2018.
365 De Angelis, G., Posteraro, B., Dr Carolis, E.,
Menchinelli, G., Franceschi, F., Tumbarello, M.,
Sanguinetti, M., ‘‘T2Bacteria magnetic resonance
assay for the rapid detection of ESKAPEc pathogens
directly in whole blood,’’ Journal of Antimicrobial
Chemotherapy, 2018, vol. 73, pp. iv20–iv26,
doi:10.1093/jac/dky049.
366 Nguyen, M. H., Clancy, C., Pasculle, A. W.,
Pappas, P., Alangaden, G., Pankey, G., Mylonakis,
E., ‘‘Clinical performance of the T2Bacteria panel
for diagnosis bloodstream infections due to five
common bacterial pathogens,’’ Manuscript for
submission.
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the T2Bacteria® Test Panel does not
identify susceptibility and subsequent
treatment based upon its results will
still require empiric treatment. If these
points are true, then the inferred
decreased hospital lengths-of-stay,
decreased mortality, and better clinical
outcomes may not be achieved with the
use of the T2Bacteria® Test Panel.
We are inviting public comments on
whether the T2Bacteria® Test Panel
technology meets the substantial
clinical improvement criterion,
including with respect to the specific
concerns we have raised. We did not
receive any written comments in
response to the New Technology Town
Hall meeting notice published in the
Federal Register regarding the
substantial clinical improvement
criterion for the T2Bacteria® Test Panel
or at the New Technology Town Hall
meeting.
q. VENCLEXTA®
AbbVie Pharmaceuticals, Inc.
submitted an application for new
technology add-on payments for
VENCLEXTA® (venetoclax tablets) for
FY 2020. According to the applicant,
VENCLEXTA® is an oral anti-cancer
drug previously FDA-approved for the
treatment of patients who have been
diagnosed with chronic lymphocytic
leukemia (CLL) with 17p deletion, as
detected by an FDA-approved test, who
have received at least one prior therapy.
VENCLEXTA® received additional FDA
approval on November 21, 2018, for the
treatment of adult patients who have
been diagnosed with CLL or small
lymphocytic lymphoma (SLL), with or
without 17p deletion, who have
received at least one prior therapy, and
in combination with azacitidine or
decitabine or low-dose cytarabine for
the treatment of newly-diagnosed acute
myeloid leukemia (AML) in adults who
are age 75 years old or older, or who
have comorbidities that preclude use of
intensive induction chemotherapy.
AML is a type of cancer in which the
bone marrow makes abnormal
myeloblasts (a type of white blood cell),
red blood cells, or platelets.367 The
applicant stated that more than half of
the patients who are diagnosed with
AML annually (19,520) 368 are of
Medicare age.369 The leukemic cells
367 National Cancer Institute, ‘‘Adult Acute
Myeloid Leukemia Treatment—Patient Version,’’
https://www.cancer.gov/types/leukemia/patient/
adult-aml-treatment-pdq, Accessed September 11,
2018.
368 Siegel, R.L., Miller, K.D., Jemal, A., ‘‘Cancer
Statistics,’’ CA: A Cancer Journal for Clinicians,
2018, vol, 68(1), pp. 7–30, doi:10.3322/caac.21442.
369 National Cancer Institute. ‘‘SEER Stat Fact
Sheets: Acute Myeloid Leukemia,’’ Bethesda, MD,
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proliferate in the marrow and interfere
with production of normal blood cells,
causing weakness, infection, bleeding,
and other symptoms and complications.
In approximately half of these patients,
nonrandom chromosomal abnormalities
are found by cytogenetic analysis, and
these are used for classification,
management, and prognostication. AML
is generally rapidly lethal unless treated
with intensive chemotherapy and/or
targeted therapies together with
supportive care.370
According to the applicant, in
younger patients who have been
diagnosed with AML, intensive
combination chemotherapy is the
primary treatment modality.371 Options
for induction chemotherapy include
standard or high-dose cytarabine in
combination with an anthracycline. The
most commonly used induction
regimens for diagnoses of AML are the
so-called ‘‘7+3’’ regimens, which
combine a 7-day continuous
intravenous infusion of cytarabine with
a short infusion or bolus of an
anthracycline given on days 1 through
3. The applicant indicated that the most
commonly used anthracycline in this
regimen is daunorubicin, but other
anthracyclines or synthetic
anthracycline analogs have been used.
Depending on age and patient selection,
up to 70 to 80 percent of younger adults
achieve complete remission with the
use of these regimens.372 373
However, the applicant indicated that
older adults over the age of 55 years
old 374 are more frequently refractory to
such cytotoxic-intensive induction
chemotherapy when compared to
younger patients because of biological
disease-related factors such as increased
https://seer.cancer.gov/statfacts/html/amyl.html,
Accessed September 11, 2018.
370 Wolters Kluwer Health, ‘‘Overview of acute
myeloid leukemia in adults,’’ https://
www.uptodate.com/contents/induction-therapy-foracute-myeloid-leukemia-in-younger-adults,
Accessed October 9, 2018.
371 Wolters Kluwer Health, ‘‘Induction therapy for
acute myeloid leukemia in younger adults,’’ https://
www.uptodate.com/contents/induction-therapy-foracute-myeloid-leukemia-in-younger-adults,
Accessed September 11, 2018.
372 Ohtake, S., Miyawaki, S., Fujita, H., et al.,
‘‘Randomized study of induction therapy
comparing standard-dose idarubicin with high-dose
daunorubicin in adult patients with previously
untreated acute myeloid leukemia: the JALSG
AML201 Study,’’ Blood, 2010, vol. 117(8), pp.
2358–65, doi:10.1182/blood–2010–03–273243.
373 Fernandez, H.F., Sun, Z., Yao, X., et al.,
‘‘Anthracycline Dose Intensification in Acute
Myeloid Leukemia,’’ New England Journal of
Medicine, 2009, vol. 361(13), pp. 1249–59,
doi:10.1056/nejmoa0904544.
374 Wolters Kluwer Health, ‘‘Induction therapy for
acute myeloid leukemia in younger adults,’’ https://
www.uptodate.com/contents/induction-therapy-foracute-myeloid-leukemia-in-younger-adults,
Accessed September 11, 2018.
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frequency of adverse-risk cytogenetic
and molecular features, secondary AML,
and increased expression of multi-drug
resistance phenotypes.375 Elderly
patients also present with more
comorbidities and compromised organ
function than do younger patients,
which means they have decreased
tolerance to intensive therapies which
can lead to unacceptably high
treatment-related mortality.376 377 378 The
applicant explained that prognostic
algorithms that can predict the
probability of achieving a complete
response (CR) and the risk for an early
death for elderly patients with untreated
AML have been developed, and can
help a physician determine whether or
not the patient is eligible for intensive
chemotherapy.379 For these reasons,
only 40 percent of Medicare-aged
patients who have been diagnosed with
AML receive chemotherapy for the
treatment of the disease.380 The
applicant stated that, in patients not
considered fit for intensive treatment
and who, therefore, were treated with
lower intensity regimens of low-dose
cytarabine and hydroxyurea, with or
without, all-trans retinoic acid for
diagnoses of AML and high-risk
myelodysplastic syndrome, only 25
percent of the patients on low-dose
cytarabine survived for 12 months.381
According to the applicant, in an
international Phase III study comparing
the use of azacitidine with conventional
375 Krug, U., Bu
¨ chner, T., Berdel, W.E., Mu¨llerTidow, C., ‘‘The treatment of elderly patients with
acute myeloid leukemia,’’ Dtsch Arztebl Int, 2011,
vol. 108, pp. 863–70.
376 Pettit, K., Odenike, O., ‘‘Defining and treating
older adults with acute myeloid leukemia who are
ineligible for intensive therapies,’’ Front Oncol,
2015, vol. 5, pp. 280.
377 Kantarjian, H., Ravandi, F., O’Brien, S., et al.,
‘‘Intensive chemotherapy does not benefit most
older patients (age 70 years or older) with acute
myeloid leukemia,’’ Blood, 2010, vol. 116, pp.
4422–9.
378 Kantarjian, H., O’Brien, S., Cortes, J., et al.,
‘‘Results of intensive chemotherapy in 998 patients
age 65 years or older with acute myeloid leukemia
or high-risk myelodysplastic syndrome: predictive
prognostic models for outcome,’’ Cancer, 2006, vol.
106, pp. 1090–98.
379 O’Donnell, Margaret R., et al. ‘‘Acute Myeloid
Leukemia, Version 3.2017, NCCN Clinical Practice
Guidelines in Oncology.’’ Journal of the National
Comprehensive Cancer Network, vol. 15, no. 7,
2017, pp. 926–957., doi:10.6004/jnccn.2017.0116.
380 Medeiros, B.C., Satram-Hoang, S., Hurst, D.,
Hoang, K.Q., Momin, F., Reyes, C., ‘‘Big data
analysis of treatment patterns and outcomes among
elderly acute myeloid leukemia patients in the
United States,’’ Annals of Hematology, 2015, vol.
94(7), pp. 1127–38, doi:10.1007/s00277–015–2351–
x.
381 Burnett, Alan K., et al., ‘‘A Comparison of
Low-Dose Cytarabine and Hydroxyurea with or
without All-Trans Retinoic Acid for Acute Myeloid
Leukemia and High-Risk Myelodysplastic
Syndrome in Patients Not Considered Fit for
Intensive Treatment,’’ Cancer, vol. 109, no. 6, 2007,
pp. 1114–1124, doi:10.1002/cncr.22496.
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care regimens in older patients who had
been newly diagnosed with AML, only
18.6 percent of the patients receiving
best supportive care survived for 12
months.382 Accordingly, the applicant
believed that more effective, bettertolerated therapies for elderly patients
who have been diagnosed with AML are
needed.383
We note that, the applicant has
submitted a request for approval for a
unique ICD–10–PCS code to identify
procedures involving the administration
of VENCLEXTA®, effective for FY 2020.
As discussed earlier, if a technology
meets all three of the substantial
similarity criteria, it would be
considered substantially similar to an
existing technology and, therefore,
would not be considered ‘‘new’’ for
purposes of new technology add-on
payments. Current treatments include
decitabine, azacitidine, low-dose
cytarabine, MYLOTARGTM, and
supportive care such as anti-emetics,
transfusions, and antibiotics/
antifungals.384 385
With regard to the first criterion,
whether a product uses the same or a
similar mechanism of action to achieve
a therapeutic outcome, the applicant
asserted that VENCLEXTA® does not
use the same or similar mechanism of
action when compared with an existing
technology to achieve a therapeutic
outcome for patients diagnosed with
AML who are ineligible for intensive
chemotherapy The applicant stated that
VENCLEXTA® is the first and only
FDA-approved, selective oral antiapoptotic B-cell lymphoma 2 (BCL–2)
inhibitor, and works by inhibiting the
BCL–2 protein, which regulates cell
death and is associated with
chemotherapy-resistance and poor
outcomes in patients who have been
diagnosed with AML.386 The applicant
further asserted that VENCLEXTA® is
known to synergize with
382 Dombret, H., et al., ‘‘International Phase 3
Study of Azacitidine vs Conventional Care
Regimens in Older Patients with Newly Diagnosed
AML with >30% Blasts,’’ Blood, vol. 126, no. 3,
2015, pp. 291–299, doi:10.1182/blood–2015–01–
621664.
383 DiNardo, C.D., Pratz, K.W., Letai, A., et al.,
‘‘Safety and preliminary efficacy of venetoclax with
decitabine or azacitidine in elderly patients with
previously untreated acute myeloid leukemia: a
non-randomized, open-label, phase Ib study,’’ The
Lancet Oncology, 2018, vol. 19(2), pp. 216–28,
doi:10.1016/s1470–2045(18)30010–x.
384 Ibid.
385 Wolters Kluwer Health, ‘‘Induction therapy for
acute myeloid leukemia in younger adults,’’ https://
www.uptodate.com/contents/induction-therapy-foracute-myeloid-leukemia-in-younger-adults,
Accessed September 11, 2018.
386 Pan, R., Hogdal, L.J., Benito, J.M., et al.,
‘‘Selective BCL–2 inhibition by ABT–199 causes ontarget cell death in acute myeloid leukemia,’’
Cancer Discov, 2014, vol. 4(3), pp. 362–75.
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19363
hypomethylating agents (azacitidine/
decitabine) and low-dose cytarabine in
the treatment of AML.387 In AML,
malignant cells are dependent on BCL–
2 and other pro-survival proteins such
as MCL–1 for their survival. A
hypomethylator like azacitidine
increases BCL–2 dependence and
sensitivity to VENCLEXTA® through
inhibition of MCL–1, therefore
sensitizing the cell to VENCLEXTA®induced apoptosis.388 389 The applicant
indicated that because the combination
of drugs in the recently-approved
indication for the treatment of AML is
new, and VENCLEXTA® works
synergistically when administered as
part of this treatment combination, this
creates a unique mechanism of action
for the treatment of AML.
With respect to the second criterion,
whether a product is assigned to the
same or a different MS–DRG, the
applicant asserted that potential cases
representing patients who have been
diagnosed with CLL who may be
eligible for treatment using
VENCLEXTA® would be assigned to
different MS–DRGs than cases
representing patients who have been
diagnosed with AML. According to the
applicant, potential cases representing
patients who have been diagnosed with
CLL who may be eligible for treatment
using VENCLEXTA® would be assigned
to the following MS–DRGs: 808 (Major
Hematological And Immunological
Diagnoses Except Sickle Cell Crisis And
Coagulation Disorders With MCC), 809
(Major Hematological And
Immunological Diagnoses Except Sickle
Cell Crisis And Coagulation Disorders
With CC), 823 (Lymphoma And NonAcute Leukemia With Other Procedure
With MCC), 824 (Lymphoma And NonAcute Leukemia With Other Procedure
With CC), 825 (Lymphoma And NonAcute Leukemia With Other Procedure
Without CC/MCC), 834 (Acute
Leukemia Without Major O.R.
Procedure With MCC), 835 (Acute
Leukemia Without Major O.R.
Procedure With CC), 836 (Acute
Leukemia Without Major O.R.
Procedure Without CC/MCC), and 839
387 Bogenberger, J.M., Delman, D., Hansen, N., et
al., ‘‘Ex vivo activity of BCL–2 family inhibitors
ABT–199 and ABT–737 combined with 5azacitidine in myeloid malignancies,’’ Leukemia &
Lymphoma, 2014, vol. 56(1), pp. 226–229,
doi:10.3109/10428194.2014.910657.
388 Konopleva, M., et al., ‘‘Efficacy and Biological
Correlates of Response in a Phase II Study of
Venetoclax Monotherapy in Patients with Acute
Myelogenous Leukemia,’’ Cancer Discovery, vol. 6,
no. 10, Dec. 2016, pp. 1106–1117, doi:10.1158/
2159–8290.cd–16–0313.
389 Valentin, Rebecca, et al., ‘‘The Rise of
Apoptosis: Targeting Apoptosis in Hematologic
Malignancies,’’ Blood, 2018, vol. 132, no. 12, pp.
1248–1264, doi:10.1182/blood–2018–02–791350.
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(Chemotherapy With Acute Leukemia
As SDX Without CC/MCC). We believe
that potential cases representing
patients who have been newly
diagnosed with AML, as well as
potential cases representing patients
who have been diagnosed with CLL,
could both be assigned to the following
3 MS–DRGs: 820 (Lymphoma and
Leukemia With Major O.R. Procedure
With MCC), 821 (Lymphoma and
Leukemia With Major O.R. Procedure
With CC), and 822 (Lymphoma and
Leukemia With Major O.R. Procedure
Without CC/MCC). We expect that cases
involving treatment with VENCLEXTA®
would most likely be assigned to the
same MS–DRGs to which cases
involving comparable treatments are
assigned.
With respect to the third criterion,
whether the new use of the technology
involves the treatment of the same or
similar type of disease and the same or
similar patient population, the applicant
asserted that VENCLEXTA® does not
involve the treatment of the same or
similar type of disease or same or
similar patient population because there
are currently no curative treatment
options available for elderly patients
who have been newly diagnosed with
AML who are ineligible for intensive
chemotherapy.
The applicant further asserted that the
disease and patient population for
which VENCLEXTA® provides
treatment is unique. There are no other
FDA-approved therapies specific to this
patient population—newly diagnosed
AML patients who are ineligible for
intensive chemotherapy—and currently
these patients receive only lowerintensity treatments without curative
intent, but rather treatment is focused
on alleviating symptoms, prolonging
life, and/or improving quality of life.390
The applicant stated that where patients
on intensive chemotherapy have
benefited from improvements in overall
survival over the past 50 years,
ineligible patients have not; and more
effective, better-tolerated therapies for
elderly patients who have been
diagnosed with AML are urgently
needed.391 The applicant further stated
that this unmet medical need is one
reason why VENCLEXTA® received
390 Wolters Kluwer Health, ‘‘Acute myeloid
leukemia: Treatment and outcomes in older adults,’’
https://www.uptodate.com/contents/acute-myeloidleukemia-treatment-and-outcomes-in-older-adults,
Accessed September 11, 2018.
391 DiNardo, C.D., Pratz, K.W., Letai, A., et al.,
‘‘Safety and preliminary efficacy of venetoclax with
decitabine or azacitidine in elderly patients with
previously untreated acute myeloid leukemia: a
non-randomized, open-label, phase Ib study,’’ The
Lancet Oncology, 2018, vol. 19(2), pp. 216–28,
doi:10.1016/s1470–2045(18)30010–x.
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Breakthrough Therapy designation from
the FDA for this patient population.392
With respect to whether the
technology involves the treatment of a
unique patient population, we note that
as the applicant indicated, there are
lower-intensity chemotherapeutic
regimens available as standard-of-care
therapies for patients who have been
newly diagnosed with AML who are
ineligible for intensive chemotherapy.
We are inviting public comments on
whether VENCLEXTA® is substantially
similar to any existing technology and
whether it meets the newness criterion,
including with respect to the concerns
we have raised.
With regard to the cost criterion, the
applicant conducted the following
analysis. The applicant used the FY
2017 MedPAR Hospital Limited Data
Set (LDS) to assess the MS–DRGs to
which cases representing potential
patient hospitalizations that may be
eligible for treatment involving
VENCLEXTA® would most likely be
assigned. These potential cases
representing patients who may be
VENCLEXTA® candidates were
identified if these cases reported a
diagnosis of AML. The cohort was
limited by excluding patients who were
discharged as not classified with one of
the relevant ICD–10–CM codes.
From the resulting data, the applicant
determined the most applicable MS–
DRGs to use in order to determine the
average length-of-stay by identifying the
codes with at least 1 percent of total
discharge volume, which limited the
selection to 16 codes. According to the
applicant, in an effort to limit impact
from MS–DRGs with probable low
relevance and/or not usually
representing solely AML inpatient stays,
a number of high-volume MS–DRGs
were not included in the calculation.
These excluded codes included those
representing high-dose chemotherapy
inpatient stays, sepsis cases, pneumonia
inpatient stays, and heart failure and
circulation disorders. This left potential
cases represented in MS–DRGs 808, 809,
834, 835, 836, and 839 to determine the
average length-of-stay, which under this
criterion resulted in 7.25 days.
The applicant noted that two
limitations of this calculation method
are: (1) That the average length-of-stay
may have changed since FY 2017 for the
MS–DRGs selected; and (2) the
approach of relevant case identification
may not adequately capture patients
392 Hoffjman-LaRoche, Ltd., F., ‘‘FDA grants
breakthrough therapy designation for
VENCLEXTA® in acute myeloid Leukaemia,’’
https://www.roche.com/dam/jcr:0cf1ad70-02c844b4-94ac-ccdf1dbca95a/en/inv-update-2017-0728-e.pdf, Accessed October 9, 2018.
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who are ineligible for intensive
chemotherapy.
The applicant provided additional
analyses with the VENCLEXTA®
charges under six separate cost
threshold scenarios. According to the
applicant, the cost criterion was
satisfied in each of these scenarios, with
charges in excess of the average caseweighted threshold amount. Scenario 1
captures discharges classified with one
or more of seven subtypes of patients
who have been diagnosed with AML
who have not achieved remission or
who have been diagnosed with AML in
relapse; a subgroup to capture patients
who have not been responsive to
existing treatments. Scenario 2 captures
discharges classified with one or more
of seven subtypes of patients who had
been diagnosed with AML who never
have achieved remission; a population
that will have a high concentration of
patients who have been newly
diagnosed with AML. Lastly, scenario 3
is a combination of all discharges that
classified patients who have been
diagnosed with AML who have not
relapsed.
While the VENCLEXTA®
Breakthrough Therapy designation is for
use in elderly patients who have been
newly diagnosed with AML, the
applicant determined it was necessary
to produce separate cost threshold
calculations based on the three
diagnosis code selections pending the
final VENCLEXTA® label. Scenarios 1
through 3 have additional exclusions
and inclusion codes that: (1) Add
comorbidities to patients between 65
years old and 74 years old; (2) remove
affects from related non-AML
conditions; and (3) ensure that all
discharges were administered drugs.
Scenarios 4, 5, and 6 use the same base
ICD–10–CM inclusion codes as
scenarios 1, 2, and 3, respectively,
however, they do not use additional
inclusion and exclusion codes, which
makes the cost threshold results
representative of a broader patient
population. For each cost threshold
scenario, the applicant also applied a
deduction of 50 percent of pharmacy
charges to account for the replacement
of hospital expenditures when
VENCLEXTA® is used as first-line
therapy.
The applicant produced cost
threshold results for 6 scenarios, each
with 4 MS–DRGs, for a total of 24 cost
threshold calculations. All four MS–
DRGs had identical volume percentages
in each of the six scenarios. The average
dollar amount by which the average
case-weighted standardized charges per
case exceeded the average caseweighted threshold amount is
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$17,612.75 for scenario 1, $15,730.27 for
scenario 2, $15,566.70 for scenario 3,
$33,868.18 for scenario 4, $32,098.60 for
scenario 5, and $30,860.67 for scenario
6. The applicant asserted that
considering only the most applicable
MS–DRGs, MS–DRG 834 and MS–DRG
835, the average case-weighted
threshold amounts were exceeded by a
range of $16,169.02 at the lowest
(scenario 2) and $50,185.99 at the
highest (scenario 4) and, therefore, the
applicant believes VENCLEXTA® meets
the cost criterion.
Based on all of the analyses above, the
applicant maintained that
VENCLEXTA® meets the cost criterion.
We are inviting public comments on
whether VENCLEXTA® meets the cost
criterion.
With regard to substantial clinical
improvement, the applicant asserted
that VENCLEXTA®, in combination
with either azacitidine or decitabine,
and VENCLEXTA®, in combination
with low-dose cytarabine, both
constitute a substantial clinical
improvement over currently available
treatments for patients who have been
newly diagnosed with AML who are
ineligible for intensive chemotherapy.
The applicant submitted two main
studies to support its assertion that the
technology represents a substantial
clinical improvement over existing
technologies.
The first study submitted was M14–
358, a Phase Ib, open-label, multicenter, non-randomized study of the use
of VENCLEXTA®, in combination with
azacitidine or decitabine, in the
treatment of patients who have been
newly diagnosed with AML who are not
eligible for standard induction therapy.
Eligible patients were 60 years old and
older, had previously undiagnosed
AML, had intermediate- or poor-risk
cytogenetics, and were not eligible for
standard induction therapy. Patients
received VENCLEXTA® via a daily
ramp-up to a final 400 mg once-daily
dose. During the ramp-up, patients
received tumor lysis syndrome (TLS)
prophylaxis and were hospitalized for
monitoring. Azacitidine at 75 mg/m2
was administered either intravenously
or subcutaneously on Days 1 through 7
of each 28-day cycle beginning on Cycle
1 Day 1. Decitabine at 20 mg/m2 was
administered intravenously on Days 1
through 5 of each 28-day cycle
beginning on Cycle 1 Day 1. Patients
continued to receive treatment cycles
until disease progression or
unacceptable toxicity. Azacitidine dose
reduction was implemented in the
clinical trial for management of
hematologic toxicity. Dose reductions
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for decitabine were not implemented in
the clinical trial.
The primary objective of the
escalation stage of this trial was to
evaluate the safety and
pharmacokinetics of orally-administered
VENCLEXTA®, combined with
decitabine or azacitidine, at standard
doses and schedules in patients who
had been newly diagnosed with AML
who were 60 years old and older and
who are not eligible for standard
induction therapy due to comorbidities.
Secondary objectives for the dose
escalation included assessing the
preliminary efficacy of the use of
VENCLEXTA® administered orally, in
combination with either decitabine or
azacitidine, in this patient population.
The primary objectives of the expansion
stage were to confirm the safety and to
assess efficacy including complete
remission (CR) and complete remission
with incomplete blood count recovery
(CRi) and determine overall survival
(OS) of the use of VENCLEXTA®
combined with decitabine or azacitidine
in the treatment of patients who had
been newly diagnosed with AML. A
secondary objective for the expansion
was to evaluate duration of response
(DOR). Complete remission was defined
as absolute neutrophil count greater
than 1,000/microliter, platelets greater
than 100,000/microliter, red blood cell
transfusion independence, and bone
marrow with less than 5 percent blast,
absence of circulating blasts and blasts
with Auer rods, and absence of
extramedullary disease. Complete
remission with partial hematological
recovery (CRh) was defined as less than
5 percent of blasts in the bone marrow,
no evidence of disease, and partial
recovery of peripheral blood counts
(platelets greater than 50,000/microliter
and ANC greater 500/microliter).
The study arm with VENCLEXTA®, in
combination with azacitadine, had 67
patients with a mean age of 76 years old
(range 61 years old to 90 years old).
Eighty-seven percent of this group was
white, 64 percent had an ECOG
performance status of 0 to 1, and 34
percent had poor cytogenetic risk
detected. The study arm with
VENCLEXTA®, in combination with
decitabine, had 13 patients with a mean
age of 75 years old (range 68 years old
to 86 years old). Seven-seven percent of
this group was white, 92 percent had an
ECOG performance status of 0 to 1, and
62 percent had poor cytogenetic risk
detected.
For patients who received
VENCLEXTA®, in combination with
azacitadine, 37.5 percent (95 percent CI
26, 50) achieved CR and 24 percent (95
percent CI 14, 36) achieved CRh. Sixty-
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19365
one percent of the patients achieved CR
or CRh. The median time to first CR or
CRh was 1 month (range 0.7 months to
8.9 months), and median observed time
in remission for those patients who
achieved CR was 5.5 months (range 0.4
months to 30 months) for this group.
The median OS was 16.9 months, the
12-month OS estimate was 57 percent,
and median duration of response was
21.2 months. For patients who received
VENCLEXTA®, in combination with
decitabine, 54 percent (95 percent CI, 25
months to 81 months) achieved CR and
8 percent (95 percent CI, 0.2 months to
36 months) achieved CRh. Sixty-two
percent of the patients achieved CR or
CRh. The median time to first CR or CRh
was 1.9 months (range 0.8 months to 4.2
months), and median observed time in
remission for those who achieved CR
was 4.7 months (range 1 month to 18
months) for this group. The median OS
was 16.2 months, the 12-month OS
estimate was 61 percent, and median
duration of response was 15 months.
The study enrolled 35 additional
patients (age range 65 years old to 74
years old) who did not have known
comorbidities that precluded the use of
intensive induction chemotherapy and
were treated with VENCLEXTA®, in
combination with azacitidine (n=17) or
decitabine (n=18). For the additional
patients treated with VENCLEXTA®, in
combination with azacitidine, the CR
rate was 35 percent (95 percent CI 14,
62). The CRh rate was 41 percent (95
percent CI 18, 67). For the additional
patients treated with VENCLEXTA®, in
combination with decitabine, the CR
rate was 56 percent (95 percent CI 31,
79). The CRh rate was 22 percent (95
percent CI 6.4, 48).
In terms of safety, for patients
receiving azacitadine, the most common
adverse reactions (greater than or equal
to 30 percent) of any grade were nausea,
diarrhea, constipation, neutropenia,
thrombocytopenia, hemorrhage,
peripheral edema, vomiting, fatigue,
febrile neutropenia, rash, and anemia.
Serious adverse reactions were reported
in 75 percent of the patients. The most
frequent serious adverse reactions
(greater than or equal to 5 percent) were
febrile neutropenia, pneumonia
(excluding fungal), sepsis (excluding
fungal), respiratory failure, and multiple
organ dysfunction syndrome. The
incidence of fatal adverse drug reactions
was 1.5 percent within 30 days of
starting treatment. No reaction had an
incidence of greater than or equal to 2
percent. Discontinuations due to
adverse reactions occurred in 21 percent
of the patients. The most frequent
adverse reactions leading to drug
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discontinuation (greater than or equal to
2 percent) were febrile neutropenia and
pneumonia (excluding fungal). Dosage
interruptions due to adverse reactions
occurred in 61 percent of the patients.
The most frequent adverse reactions
leading to dose interruption (greater
than or equal to 5 percent) were
neutropenia, febrile neutropenia, and
pneumonia (excluding fungal). Dosage
reductions due to adverse reactions
occurred in 12 percent of the patients.
The most frequent adverse reaction
leading to dose reduction (greater than
or equal to 5 percent) was neutropenia.
For patients receiving decitabine, the
most common adverse reactions (greater
than or equal to 30 percent) of any grade
were febrile neutropenia, constipation,
fatigue, thrombocytopenia, abdominal
pain, dizziness, hemorrhage, nausea,
pneumonia (excluding fungal), sepsis
(excluding fungal), cough, diarrhea,
neutropenia, back pain, hypotension,
myalgia, oropharyngeal pain, peripheral
edema, pyrexia, and rash. Serious
adverse reactions were reported in 85
percent of the patients. The most
frequent serious adverse reactions
(greater than or equal to 5 percent) were
febrile neutropenia, sepsis (excluding
fungal), pneumonia (excluding fungal),
diarrhea, fatigue, cellulitis, and
localized infection. One (8 percent) fatal
adverse drug reaction of bacteremia
occurred within 30 days of starting
treatment. Discontinuations due to
adverse reactions occurred in 38 percent
of the patients. The most frequent
adverse reaction leading to drug
discontinuation (greater than or equal to
5 percent) was pneumonia (excluding
fungal). Dosage interruptions due to
adverse reactions occurred in 62 percent
of the patients. The most frequent
adverse reactions leading to dose
interruption (greater than or equal to 5
percent) were febrile neutropenia,
neutropenia, and pneumonia (excluding
fungal). Dosage reductions due to
adverse reactions occurred in 15 percent
of the patients. The most frequent
adverse reaction leading to dose
reduction (greater than or equal to 5
percent) was neutropenia.
The second study submitted was
M14–387, a non-randomized, open-label
Phase I/II study of the use of
VENCLEXTA®, in combination with
low-dose cytarabine, in patients who
had been newly diagnosed with AML
who are ineligible for standard
anthracycline-based induction therapy.
The study enrolled patients who were
60 years old and older who had been
diagnosed with AML and who were not
eligible for standard induction therapy.
Patients initiated use of
VENCLEXTA® via daily ramp-up to a
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final 600 mg once-daily dose. During the
ramp-up, patients received TLS
prophylaxis and were hospitalized for
monitoring. Cytarabine at a dose of 20
mg/m2 was administered
subcutaneously once-daily on Days 1
through 10 of each 28-day cycle
beginning on Cycle 1 Day 1.
This study consisted of three distinct
portions. The first portion of the study
was a Phase I, or dose-escalation
portion, that evaluated the safety and
pharmacokinetics (PK) profile of
VENCLEXTA® administered with lowdose azacitidine with the objectives of
defining the maximum-tolerated dose
(MTD) and generating data to support a
recommended Phase II dose (RPTD). A
subsequent initial Phase II portion
evaluated whether the RPTD had
sufficient efficacy and acceptable
toxicity to warrant further development
of the combination therapy.
Subsequently, a Phase II, Cohort C was
enrolled to evaluate the ORR for
patients who were allowed additional
supportive medications (for example,
strong CYP3A inhibitors), if medically
indicated, because new PK data
emerged from external studies
demonstrating that these previously
excluded concomitant medications may
be tolerable with an appropriate
VENCLEXTA® dose adjustment during
co-administration.
The primary objectives of the Phase I
portion were to assess the safety profile,
characterize the (PK), and determine the
dose schedule, the MTD, and the RPTD
of the use of VENCLEXTA®, in
combination with low-dose azacitidine
or cytarabine in the treatment of
patients who had been newly diagnosed
with AML who were 60 years old and
older and who were not eligible for
standard induction therapy due to comorbidity or other factors. The primary
objectives of the initial Phase II portion
of the study were to evaluate the
preliminary estimates of efficacy
including the overall response rate
(ORR) and to characterize the toxicities
of the combination at the RPTD. The
primary objective of Phase II, Cohort C
was to evaluate the ORR for patients
allowed additional supportive
medications (strong cytochrome P450
[CYP]3A inhibitors), if medically
indicated. The secondary objectives of
the initial Phase II portion and Phase II,
Cohort C were to evaluate leukemia
response (rates of complete remission
(CR)), complete remission with
incomplete blood count recovery (Cri),
partial remission (PR), and
morphologically leukemia-free status
(MLFS)), duration of response (DOR),
and OS. Patients continued to receive
treatment cycles until disease
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progression or unacceptable toxicity.
Dose reduction for low-dose cytarabine
was not implemented in the clinical
trial.
The study enrolled 61 patients with a
median age of 76 years old (range 63
years old to 90 years old), 92 percent of
whom were white, 66 percent of whom
had an ECOG performance status of 0 to
1, and 34 percent of whom had poor
cytogenetic risk detected. Twenty-one
percent (95 percent CI 12, 34) achieved
CR and 21 percent (95 percent CI 12, 34)
achieved CRh. Overall 43 percent of the
patients achieved CR or CRh. The
median OS was 10.1 months and
median duration of response was 8.1
months. The study enrolled 21
additional patients (age ranged 67 years
old to 74 years old) who did not have
known comorbidities that precluded the
use of intensive induction
chemotherapy and were treated with
VENCLEXTA®, in combination with
low-dose cytarabine. The CR rate was 33
percent (95 percent CI: 15, 57). The CRh
rate was 24 percent (95 percent CI: 8.2,
47).
In terms of safety, the most common
adverse reactions (greater than or equal
to 30 percent) of any grade were nausea,
thrombocytopenia, hemorrhage, febrile
neutropenia, neutropenia, diarrhea,
fatigue, constipation, and dyspnea.
Serious adverse reactions were reported
in 95 percent of the patients. The most
frequent serious adverse reactions
(greater than or equal to 5 percent) were
febrile neutropenia, sepsis (excluding
fungal), hemorrhage, pneumonia
(excluding fungal), and device-related
infection. The incidence of fatal adverse
drug reactions was 4.9 percent within
30 days of starting treatment with no
reaction having an incidence of greater
than or equal to 2 percent.
Discontinuations due to adverse
reactions occurred in 33 percent of the
patients. The most frequent adverse
reactions leading to drug
discontinuation (greater than or equal to
2 percent) were hemorrhage and sepsis
(excluding fungal). Dosage interruptions
due to adverse reactions occurred in 52
percent of the patients. The most
frequent adverse reactions leading to
dose interruption (greater than or equal
to 5 percent) were thrombocytopenia,
neutropenia, and febrile neutropenia.
Dosage reductions due to adverse
reactions occurred in 8 percent of the
patients. The most frequent adverse
reaction leading to dose reduction
(greater than or equal to 2 percent) was
thrombocytopenia. On the basis of these
studies, the applicant asserted that
median OS, 12-month OS, CR + CRi,
and DOR for VENCLEXTA® are all
substantially higher than the outcomes
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achieved by standard-of-care as reported
by studies. The applicant asserted that
these improvements, especially the
more than doubling of the remission
rates as compared to other available
low-intensity therapies (range reported
as 0 to 28 percent), are substantial and
clinically meaningful.
In regard to the substantial clinical
improvement criterion for
VENCLEXTA®, we reviewed the data
the applicant provided on outcomes (for
example, CR, CRh, CRi, DOR, and OS)
using historical controls of other
chemotherapeutic regimens used for
this target patient population, and we
note that the data is lacking information
with regard to a direct comparator. The
studies did not detail the demographics
and outcomes for patients over the age
of 75 versus younger patients. We note
that the applicant did not provide any
information on how many enrolled
patients are from the United States. We
further note that fatal adverse drug
reactions occurred in both submitted
studies in patients receiving treatment
involving the use of VENCLEXTA®, and
dosage interruptions due to adverse
events occurred in a significant
proportion of the patients receiving the
drug. We also are concerned about the
lack of conclusive data on the efficacy
of VENCLEXTA®.
We are inviting public comments on
whether VENCLEXTA® meets the
substantial clinical improvement
criterion. We did not receive any
written public comments in response to
the New Technology Town Hall meeting
notice published in the Federal Register
regarding the substantial clinical
improvement criterion for
VENCLEXTA® or at the New
Technology Town Hall meeting.
6. Request for Information on the New
Technology Add-On Payment
Substantial Clinical Improvement
Criterion
Under the Hospital Inpatient
Prospective Payment System (IPPS),
CMS has established policies to provide
additional payment for new medical
services and technologies. Similarly,
under the Hospital Outpatient
Prospective Payment System (OPPS),
CMS has established policies to provide
separate payment for innovative
medical devices, drugs and biologicals.
Sections 1886(d)(5)(K) and (L) of the Act
require the Secretary to establish a
mechanism to recognize the costs of
new medical services and technologies
under the IPPS, and section 1833(t)(6) of
the Act requires the Secretary to provide
an additional payment amount, known
as a transitional pass–through payment,
for the additional costs of innovative
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medical devices, drugs, and biologicals
under the OPPS. The substantial clinical
improvement criterion that is used to
evaluate a technology that is the subject
of an application for new technology
add-on payments under the IPPS or an
application for the transitional passthrough payment for the additional
costs of innovative devices under the
OPPS (both categories of technologies
are hereafter collectively referred to as
‘‘new technology’’) is the subject of the
potential revisions discussed in this
section to the new technology add-on
payment policy’s substantial clinical
improvement criteria.
Under the IPPS, the regulations at
§ 412.87 implement these provisions
and specify three criteria for a new
medical service or technology to receive
the additional payment: (1) The medical
service or technology must be new; (2)
the medical service or technology must
be costly such that the DRG rate
otherwise applicable to discharges
involving the medical service or
technology is determined to be
inadequate; and (3) the service or
technology must demonstrate a
substantial clinical improvement over
existing services or technologies. Under
this third criterion, § 412.87(b)(1) of our
existing regulations provides that a new
technology is an appropriate candidate
for an additional payment when it
represents an advance that substantially
improves, relative to technologies
previously available, the diagnosis or
treatment of Medicare beneficiaries (we
refer readers to the September 7, 2001
final rule for a more detailed discussion
of this criterion (66 FR 46902)). For
more background on add-on payments
for new medical services and
technologies under the IPPS, we refer
readers to the FY 2009 IPPS/LTCH PPS
final rule (73 FR 48552).
In the CY 2001 OPPS interim final
rule with comment period (65 FR
67798), we implemented the transitional
device pass-through payment
requirements in section 1833(t)(6) of the
Act under our regulation at 42 CFR
419.66. Under § 419.66(b), a medical
device must meet the following
requirements to be eligible for
transitional pass-through payments: (1)
If required by FDA, the device must
have received FDA premarket approval
or clearance (except for a device that has
received an FDA investigational device
exemption (IDE) and has been classified
as a Category B device by the FDA), or
another appropriate FDA exemption;
and the pass-through payment
application must be submitted within 3
years from the date of the initial FDA
approval or clearance, if required,
unless there is a documented, verifiable
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delay in U.S. market availability after
FDA approval or clearance is granted, in
which case CMS will consider the passthrough payment application if it is
submitted within 3 years from the date
of market availability; (2) the device is
determined to be reasonable and
necessary for the diagnosis or treatment
of an illness or injury or to improve the
functioning of a malformed body part,
as required by section 1862(a)(1)(A) of
the Act; and (3) the device is an integral
part of the service furnished, is used for
one patient only, comes in contact with
human tissue, and is surgically
implanted or inserted (either
permanently or temporarily), or applied
in or on a wound or other skin lesion.
In addition, according to § 419.66(b)(4),
a device is not eligible to be considered
for device pass-through payment if it is
any of the following: (1) Equipment, an
instrument, apparatus, implement, or
item of this type for which depreciation
and financing expenses are recovered as
depreciation assets as defined in
Chapter 1 of the Medicare Provider
Reimbursement Manual (CMS Pub. 15–
1); or (2) a material or supply furnished
incident to a service (for example, a
suture, customized surgical kit, or clip,
other than a radiological site marker).
Finally, we use the following criteria,
as set forth under § 419.66(c), to
determine whether a new category of
pass-through payment devices should
be established. The devices to be
included in the new category must:
• Not be appropriately described by
an existing category or by any category
previously in effect established for
transitional pass-through payments, and
were not being paid for as an outpatient
service as of December 31, 1996;
• Have an average cost that is not
‘‘insignificant’’ relative to the payment
amount for the procedure or service
with which the device is associated as
determined under § 419.66(d) by
demonstrating: (1) The estimated
average reasonable costs of the devices
in the category exceeds 25 percent of the
applicable APC payment amount for the
service related to the category of
devices; (2) the estimated average
reasonable cost of the devices in the
category exceeds the cost of the devicerelated portion of the APC payment
amount for the related service by at least
25 percent; and (3) the difference
between the estimated average
reasonable cost of the devices in the
category and the portion of the APC
payment amount for the device exceeds
10 percent of the APC payment amount
for the related service (with the
exception of brachytherapy and
temperature-monitored cryoblation,
which are exempt from the cost
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requirements as specified at
§§ 419.66(c)(3) and (e)); and
• Demonstrate a substantial clinical
improvement, that is, substantially
improve the diagnosis or treatment of an
illness or injury or improve the
functioning of a malformed body part
compared to the benefits of a device or
devices in a previously established
category or other available treatment.
For more background on transitional
pass-through payments for devices
under the OPPS, we refer readers to the
CMS website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/HospitalOutpatientPPS/
passthrough_payment.html.
CMS posts on its website the
application forms (OMB control #:
0938–1347 for IPPS, and OMB control #:
0938–0857 for OPPS) that applicants
must use to apply for IPPS new
technology add-on payments at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/newtech.html and
for OPPS transitional pass-through
payments for devices at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
HospitalOutpatientPPS/passthrough_
payment.html). Each application
describes the information specifically
requested from each applicant,
including what information is needed to
support claims of substantial clinical
improvement. For example, CMS
requests that the applicant provide a
summary of substantial clinical
improvement claim(s), along with the
data supporting each claim. For IPPS
new technology add-on payments, in
order to provide an opportunity for
public input prior to publication of each
proposed rule, CMS publishes a notice
in the Federal Register to announce a
town hall meeting at the CMS
Headquarters Office in Baltimore, MD,
which provides an opportunity for
public discussion of the substantial
clinical improvement criterion for each
IPPS application. This meeting can be
attended in-person or through a
telephone line, and is also live-streamed
on the CMS YouTube web page. CMS
considers each IPPS applicant’s
presentation made at the town hall
meeting, as well as written comments
submitted on the applications that were
received by the applicable deadline, in
our evaluation of the new technology
add-on payment applications in the
IPPS/LTCH PPS proposed rule. For both
IPPS and OPPS applicants, CMS
summarizes each applicant’s claim(s) of
substantial clinical improvement as part
of its discussion of the entire
application in the relevant proposed
rule, as well as any concerns regarding
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those claims. In the relevant final rule
for the IPPS, CMS summarizes and
responds to public comments received
on the proposed rule and presents its
decision whether to approve or
disapprove the application for
additional payment for the technology
for the upcoming fiscal year. In the
relevant final rule for the OPPS, CMS
similarly responds to public comments
and discusses its decision to approve or
deny the application for separate
transitional pass-through payment for
the device for the upcoming calendar
year.
A stakeholder comment received in
response to the most recent New
Technology Town Hall meeting held in
December 2018 expressed appreciation
for CMS’ statements in the FY 2019
IPPS/LTCH PPS proposed rule (83 FR
20278 through 20279) related to the
relationship between the data which
satisfies FDA designations and the data
which satisfies the substantial clinical
improvement criterion under the IPPS
regulations, and stated that the
clarification would help future
applicants understand which types of
data can serve as the foundation for
satisfying the substantial clinical
improvement criterion. Commenters
also stated that CMS’ statements
presented in the FY 2019 IPPS/LTCH
PPS proposed rule explaining that it
accepts a wide range of data, including
peer-reviewed articles, study results,
letters from major associations, or other
evidence that would support the
conclusion of substantial clinical
improvement were appreciated.
However, feedback from applicants for
new technology add-on payments and
commenters in prior years have
indicated that it would be helpful for
CMS to provide greater guidance on
what constitutes ‘‘substantial clinical
improvement.’’ We understand that
greater clarity regarding what would
substantiate the requirements of this
criterion would help the public,
including innovators, better understand
how CMS evaluates new technology
applications for add-on payments and
provide greater predictability about
which applications will meet the
criterion for substantial clinical
improvement. We are considering
potential revisions to the substantial
clinical improvement criteria under the
IPPS new technology add-on payment
policy, and the OPPS transitional passthrough payment policy for devices, and
are seeking public comments on the
type of additional detail and guidance
that the public and applicants for new
technology add-on payments would find
useful. This request for public
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comments is intended to be broad in
scope and provide a foundation for
potential rulemaking in future years.
In addition to this broad request for
public comments for potential
rulemaking in future years, as discussed
in greater detail in section II.H.7. of the
preamble of this proposed rule, in order
to respond to stakeholder feedback
requesting greater understanding of
CMS’ approach to evaluating substantial
clinical improvement, we are soliciting
comments from the public on specific
changes or clarifications to the IPPS and
OPPS substantial clinical improvement
criterion that CMS might consider
making in the FY 2020 IPPS/LTCH PPS
final rule to provide greater clarity and
predictability.
In the applications for both the IPPS
new technology add-on payment, and
for OPPS limited to the transitional
pass-through payment for devices, CMS
lists the following criteria that it uses to
determine whether a new medical
service or technology would represent a
substantial clinical improvement:
(1) The technology offers a treatment
option for a patient population
unresponsive to, or ineligible for,
currently available treatments.
(2) The technology offers the ability to
diagnose a medical condition in a
patient population where that medical
condition is currently undetectable or
offers the ability to diagnose a medical
condition earlier in a patient population
than allowed by currently available
methods. There must also be evidence
that use of the device to make a
diagnosis affects the management of the
patient.
(3) Use of the technology significantly
improves clinical outcomes for a patient
population as compared to currently
available treatments. Some examples of
outcomes that are frequently evaluated
in studies of technologies are the
following:
• Reduced mortality rate with use of
the device;
• Reduced rate of device-related
complications;
• Decreased rate of subsequent
diagnostic or therapeutic interventions
(for example, due to reduced rate of
recurrence of the disease process);
• Decreased number of future
hospitalizations or physician visits;
• More rapid beneficial resolution of
the disease process treatment because of
the use of the device;
• Decreased pain, bleeding, or other
quantifiable symptom; and
• Reduced recovery time.
CMS considers the totality of the
substantial clinical improvement claims
and supporting data, as well as public
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comments, when evaluating this aspect
of each application.
We are requesting feedback on
whether new or changed regulatory
provisions or new or changed guidance
regarding additional aspects of the
substantial clinical improvement
evaluation process in the following
areas would be helpful. Comments we
receive in response to the following
general questions will inform future
rulemaking after the issuance of the
final rule for FY 2020:
• What role should substantial
clinical improvement play in our
payment policies to ensure these
policies do not discourage appropriate
utilization of new medical services and
technologies?
• How should CMS determine what
existing technologies are appropriate
comparators to new technologies? How
should CMS evaluate a technology
when its comparators have different
measured clinical outcomes?
• Should CMS provide more
specificity or greater clarity on the types
of evidence or study designs that may be
considered by the agency in evaluating
substantial clinical improvement?
For example, what data should be
used to demonstrate whether the use of
the technology substantially improves
clinical outcomes for patients relative to
existing technologies? To what extent, if
any, should the data be focused on the
Medicare population? What clinical
outcomes data and patient reported
measures data should be assessed to
demonstrate substantial clinical
improvement?
What particular types of study
designs, types of inclusion and
exclusion criteria, or types of statistical
methodologies, either generally or in
comparison to existing technologies,
could a new technology use to
demonstrate that the technology meets
the substantial clinical improvement
criterion?
Are there certain study designs that
are technically or ethically challenging
for specific medical technologies and, if
so, should that be more explicitly
reflected in the regulations?
Should potential limitations related to
cross-trial comparisons with any
existing therapies be more explicitly
reflected in the regulations?
For non-inferiority studies, the goal of
such studies is to show that the
difference between the new and active
control treatment is small—small
enough to allow the known
effectiveness of the active control, based
on its performance in past studies and
the assumed effectiveness of the active
control in the current study, to support
the conclusion that the new technology
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is also effective. Are there particular
instances where non-inferiority studies
should be considered sufficient for an
evaluation for substantial clinical
improvement because a non-inferiority
study is the most appropriate study
design for a given technology?
• Are there instances where it would
be appropriate for CMS to infer
substantial clinical improvement (for
example, technical or financial
challenges to study accrual)?
• Should CMS consider evidence
regarding the off-label use of a new
technology? If so, what is the
appropriate use of that evidence when
evaluating a new technology for an FDA
approved or cleared indication? Are
there other new technology add-on
payment or device pass-through
payment changes that CMS should
consider regarding off-label use?
• We note that, while additional
specificity and guidance on substantial
clinical improvement may be helpful,
this may also have the unintended
consequence of limiting future
flexibility in the evaluation of future
applications, especially as new
technologies are continually emerging.
How should CMS balance these
considerations in the evaluation of new
technologies as it considers potential
future steps? Towards this end, would
it be helpful to the goal of both
predictability and flexibility if the
agency explained the types of
information or evidence that are not
required for a finding of substantial
clinical improvement?
• Currently, our regulations at
§ 412.87 require that we announce the
results of the new technology add-on
payment determinations in the Federal
Register as part of our annual updates
and changes to the IPPS. We also are
seeking public comments on revising
this requirement to allow the new
technology add-on payment
determinations, including but not
limited to determinations of substantial
clinical improvement, to be announced
annually in the Federal Register
separate from the annual updates and
changes to the IPPS.
7. Potential Revisions to the New
Technology Add-On Payment and
Transitional Device Pass-Through
Payment Substantial Clinical
Improvement Criterion for Applications
Received Beginning in FY 2020 for IPPS
and CY 2020 for OPPS
In addition to future possible
rulemaking and further guidance based
on the responses to the general
questions in the preceding section, we
also are considering adopting, in the FY
2020 IPPS/LTCH PPS final rule, the
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following potential regulatory changes
to the substantial clinical improvement
criteria for applications received
beginning in FY 2020 for IPPS (that is,
for FY 2021 and subsequent new
technology add-on payment) and
beginning in CY 2020 for OPPS, after
consideration of the public comments
we receive in response to this proposed
rule. We also are seeking public
comments on whether any or all of these
potential regulatory changes might be
more appropriate as changes in
guidance rather than or in addition to
changes to our regulations.
• Adopting a policy in regulation or
sub-regulatory guidance that explicitly
specifies that the requirement for
substantial clinical improvement can be
met if the applicant demonstrates that
new technology would be broadly
adopted among applicable providers
and patients. A broad adoption criterion
would reflect the choices of patients and
providers, and thus the marketplace, in
determining whether a technology
represents a substantial clinical
improvement. This patient-centered
approach would acknowledge that
patients and providers can together
determine the potential for substantial
clinical improvement on an individual
basis. As part of the policy being
considered, we would add a provision
at § 412.87(b)(1) and § 419.66(c)(2)
stating that ‘‘substantially improves’’
means, inter alia, broad adoption by
applicable providers and patients. We
are seeking public comments on
whether, if such a provision is finalized,
it should specify that a ‘‘majority’’ is the
appropriate way to further define and
specify ‘‘broad adoption’’, or if some
other measure of ‘‘broad’’ (for example,
more than the current standard-of-care,
more than a particular percentage) is
more appropriate. Furthermore, we are
seeking public comments on whether to
further specify that ‘‘broad adoption’’ is
in the context of applicable providers
and patients for the technology, and
does not mean broadly adopted across
the entire IPPS or OPPS. We are
interested in whether commenters have
particular suggestions regarding how, in
implementing such a provision, CMS
could provide other helpful regulatory
clarification or sub-regulatory guidance
regarding how ‘‘broad adoption’’ could
be measured and demonstrated
prospectively as a basis for substantial
clinical improvement. If adopted, such
a policy would establish, by regulation,
predictability and clarity regarding the
meaning and application of substantial
clinical improvement by providing a
specific and clear path to one way
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substantial clinical improvement can be
established.
• Adopting in regulations or through
sub-regulatory guidance a definition
that the term ‘‘substantially improves’’
means, inter alia, that the new
technology has demonstrated positive
clinical outcomes that are different from
existing technologies. As part of the
policy being considered, we would
specify that the term ‘‘improves’’ can
always be met by comparison to existing
technology. Then, we would further
specify that such improvement may
always be demonstrated by reference
and comparison to diagnosis or
treatment achieved by existing
technology. This would provide a
standard for innovators that is
predictable and based on comparison to
outcomes from existing technologies,
and would reflect that an evaluation of
‘‘improvement’’ involves a comparison
relative to existing technology. If
adopted, such a policy, would establish,
by regulation or through sub-regulatory
guidance, predictability and clarity
regarding the meaning and application
of substantial clinical improvement by
clarifying how existing and new
technologies are compared.
• Adopting a policy in regulation or
through sub-regulatory guidance that
specifies that ‘‘substantially improves’’
can be met through real-world data and
evidence, including a non-exhaustive
list of such data and evidence, but that
such evidence is not a requirement.
Real-world evidence reflects usage in
everyday settings outside of a clinical
trial, which is the majority of care
delivered in the United States. For
example, between 3 percent and 5
percent of patients with cancer are
enrolled in a clinical trial.393
As part of the policy being
considered, the regulation or subregulatory guidance would list the kinds
of data and evidence and particular
findings that CMS would consider in
determining whether the technology
meets the substantial clinical
improvement criterion and that such
kinds of data can be sufficient to meet
that standard. Then, we would provide
a non-exhaustive list of such kinds of
data and findings, including: a
decreased mortality rate; a reduction in
length of stay; a reduced recovery time;
a reduced rate of at least one significant
complication; a decreased rate of at least
one subsequent diagnostic or
therapeutic intervention; a reduction in
at least one clinically significant adverse
event; a decreased number of future
hospitalizations or physician visits; a
393 https://ascopubs.org/doi/full/10.1200/
jop.0922001.
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more rapid beneficial resolution of the
disease process treatment; an
improvement in one or more activities
of daily living; or, an improved quality
of life. Outcomes relating to quality of
life, length of stay, and activities of
daily living may reflect meaningful
endpoints not often captured by clinical
trials or other pivotal trials designed
primarily for regulatory purposes. We
are seeking public comments on
whether we should adopt such a policy
and list, and if so, what the list should
contain. We also are seeking comments
on whether, as a general matter, data
exists on patients’ experience with new
medical devices outside of the
clinician’s office, on the effects of a
treatment on patients’ activities of daily
living, or on any of the other areas listed
above. These comments would at least
inform our adoption of a policy in
regulations or sub-regulatory guidance.
If adopted, such a policy, would
establish, by regulation or guidance,
predictability and clarity regarding the
meaning and application of substantial
clinical improvement by providing a
specific and clear path to one way
substantial clinical improvement can be
established.
• To address the impression that a
peer-reviewed journal article is required
for the agency to find that a new
technology meets the requirement for
substantial clinical improvement,
explicitly adopting a policy in
regulations or sub-regulatory guidance
that the relevant information for
purposes of a finding of substantial
clinical improvement may not require a
peer-reviewed journal article. We
recognize the value of both academic
and other traditional and nontraditional emerging sources of
information in determining substantial
clinical improvement. We are seeking
public comments on whether, in
addition to making clear that a peerreviewed journal article is not required,
types of relevant information that could
be helpful should be specified in such
a regulation or guidance to include but
not be limited to other particular
formats or sources of information, such
as consensus statements, white papers,
patient surveys, editorials and letters to
the editor, systematic reviews, metaanalyses, inferences from other
literature or evidence, and case studies,
reports or series, in addition to
randomized clinical trials, study results,
or letters from major associations,
whether published or not. If adopted,
such a policy, would establish, by
regulation or guidance, predictability
and clarity that the agency is open, in
every case, to all types of information in
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considering whether a new technology
meets the substantial clinical
improvement criterion, consistent with
our current practice of not requiring any
particular type of information.
• Adopting a policy in regulations or
sub-regulatory guidance that, if there is
a demonstrated substantial clinical
improvement based on the use of a new
medical service or technology for any
subset of beneficiaries, the substantial
clinical improvement criterion may be
met regardless of the size of that subset
patient population. Substantial clinical
improvement may be confounded by
comorbidities, patient factors, or other
concomitant therapies which are not
readily controlled in research studies.
This potential change recognizes that
subset populations may have unique
needs. As part of the policy being
considered, we would include a
statement in regulation or guidance that
a technology may meet the ‘‘substantial
clinical improvement’’ criterion by
demonstrating a substantial
improvement for any subset of
beneficiaries regardless of size. This
potential change would reflect that
many medical technologies are designed
for limited subset populations. Many
personalized and precision medicine
approaches aspire for ‘‘n=1 therapy.’’
We are seeking public comments on
whether, in adopting such a policy, we
should also specify that the add-on
payment would be limited to use in that
subset of patient population. If not, why
not? For example, if a new technology
that treats cancer only demonstrates
substantial clinical improvement for a
select subset of patients with that
diagnosis, should the additional
inpatient payments for use of the new
technology be limited to only when that
new technology is used in the treatment
of that select subset of Medicare
beneficiaries, and, if so, how could that
subset of patient population be defined
in advance, and in what circumstances
should there be an exception to any
such limitation? If such a policy were
adopted, how could it be constructed or
written to not create new limitations or
obstacles to innovation that are not
present in our regulations today?
We also are seeking public comments
as to whether there are special
approaches that CMS should adopt in
regulations or through sub-regulatory
guidance for new technologies that treat
low-prevalence medical conditions in
which substantial clinical improvement
may be more challenging to evaluate.
Specifically, we are seeking comment
on how to categorize and specify these
conditions, including how to define
‘‘low-prevalence’’, whether CMS should
adopt any of the potential changes
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under consideration in this section
which are not adopted more broadly, or
any special approaches suggested by
commenters. The goal is to establish, by
regulation or guidance, predictability
and clarity that the substantial clinical
improvement criterion can be met,
either in all cases or for cases involving
low-prevalence medical conditions,
regardless of the size of the patient
population which would benefit.
• Adopting a policy in regulations or
sub-regulatory guidance that specifically
addresses that the substantial clinical
improvement criterion can be met
without regard to the FDA pathway for
the technology. As part of the policy
being considered, we would clarify in
regulation that the notion of
‘‘improvement’’ includes situations
where there is an extant technology
such as a predicate device for 510(k)
purposes, and explicitly state that the
agency will not require a device to be
approved or cleared through a basis
other than a 510(k) clearance in order
for the device to be considered a
substantial clinical improvement. If
adopted, the policy described here,
would establish, by regulation or
guidance, predictability and clarity by
clarifying that the substantial clinical
improvement criterion can be met
without regard to the FDA pathway for
the technology, consistent with our
current practice.
We are soliciting comments on the
potential revisions and regulatory or
sub-regulatory changes described above,
and also welcome suggestions on other
information that would help us clarify
and/or modify in the FY 2020 IPPS/
LTCH PPS final rule or through subregulatory guidance CMS’ expectations
regarding substantial clinical
improvement for payments for new
technologies.
8. Proposed Alternative Inpatient New
Technology Add-On Payment Pathway
for Transformative New Devices
Under section 1886(d)(5)(K)(vi) of the
Act, a medical service or technology
will be considered a ‘‘new medical
service or technology’’ if the service or
technology meets criteria established by
the Secretary after notice and an
opportunity for public comment. For a
more complete discussion of the
establishment of the current criteria for
the new technology add-on payment, we
refer readers to the September 7, 2001
final rule (66 FR 46913), where we
finalized the ‘‘substantial improvement’’
criterion to limit new technology add-on
payments under the IPPS to those
technologies that afford clear
improvements over the use of
previously available technologies.
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Specifically, we stated that we would
evaluate a request for new technology
add-on payments against the following
criteria to determine if the new medical
service or technology would represent a
substantial clinical improvement over
existing technologies:
• The device offers a treatment option
for a patient population unresponsive
to, or ineligible for, currently available
treatments.
• The device offers the ability to
diagnose a medical condition in a
patient population where that medical
condition is currently undetectable or
offers the ability to diagnose a medical
condition earlier in a patient population
than allowed by currently available
methods. There must also be evidence
that use of the device to make a
diagnosis affects the management of the
patient.
• Use of the device significantly
improves clinical outcomes for a patient
population as compared to currently
available treatments. We also noted
examples of outcomes that are
frequently evaluated in studies of
medical devices.
In the September 7, 2001 final rule (66
FR 46913), we stated that we believed
the special payments for new
technology should be limited to those
new technologies that have been
demonstrated to represent a substantial
improvement in caring for Medicare
beneficiaries, such that there is a clear
advantage to creating a payment
incentive for physicians and hospitals to
utilize the new technology. We also
stated that where such an improvement
is not demonstrated, we continued to
believe the incentives of the DRG
system would provide a useful balance
to the introduction of new technologies.
In that regard, we also pointed out that
various new technologies introduced
over the years have been demonstrated
to have been less effective than initially
thought, or in some cases even
potentially harmful. We stated that we
believe that it is in the best interest of
Medicare beneficiaries to proceed very
carefully with respect to the incentives
created to quickly adopt new
technology.
Since 2001 when we first established
the substantial clinical improvement
criterion, the FDA programs for helping
to expedite the development and review
of transformative new technologies that
are intended to treat serious conditions
and address unmet medical needs
(referred to as FDA’s expedited
programs) have continued to evolve in
tandem with advances in medical
innovations and technology. We note
that at the time of the development of
the September 7, 2001 final rule,
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devices were the predominant new
technology entering the market and,
therefore, the substantial clinical
improvement criterion was developed
with innovative new devices as a focus.
At the time, the FDA had three
expedited programs (Priority Review,
Accelerated Approval, and Fast Track)
for drugs and biologicals and no
expedited programs for devices. Now, as
described in FDA guidance (available on
the website at: https://www.fda.gov/
downloads/Drugs/Guidances/
UCM358301.pdf and https://www.fda.
gov/downloads/MedicalDevices/Device
RegulationandGuidance/Guidance
Documents/UCM581664.pdf), there are
four expedited FDA programs for drugs
(the three expedited FDA programs
named above and a fourth,
Breakthrough Therapy, which was
established in 2012) and one expedited
FDA program for devices, the
Breakthrough Devices Program. The 21st
Century Cures Act (Cures Act) (Pub. L.
144–255) established the Breakthrough
Devices Program to expedite the
development of, and provide for priority
review of, medical devices and deviceled combination products that provide
for more effective treatment or diagnosis
of life-threatening or irreversibly
debilitating diseases or conditions and
which meet one of the following four
criteria: that represent breakthrough
technologies; for which no approved or
cleared alternatives exist; that offer
significant advantages over existing
approved or cleared alternatives,
including the potential, compared to
existing approved alternatives, to reduce
or eliminate the need for
hospitalization, improve patient quality
of life, facilitate patients’ ability to
manage their own care (such as through
self-directed personal assistance), or
establish long-term clinical efficiencies;
or the availability of which is in the best
interest of patients.
Some stakeholders over the years
have requested that new technologies
that receive marketing authorization and
are part of an FDA expedited program
be deemed as representing a substantial
clinical improvement for purposes of
the inpatient new technology add-on
payments, even in the initial rulemaking
on this issue. We understand this
request would arguably create
administrative efficiency because they
currently view the two sets of criteria as
the same, overlapping, similar, or
otherwise duplicative or unnecessary.
As discussed in the September 7, 2001
final rule in which we initially adopted
the requirement that a new technology
must represent a substantial clinical
improvement, we proposed to consult a
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Federal panel of experts in evaluating
new technology under the ‘‘substantial
improvement’’ criterion. One
commenter believed the panel would be
unnecessary and that CMS should
automatically deem drugs and
biologicals approved by FDA that were
included in its expedited programs
(which the commenter referred to as
‘‘fast track’’ processes) as new
technology (66 FR 46914). We stated in
response that the panel would consider
all relevant information (including FDA
expedited program approval) in making
its determinations. However, we stated
that we did not envision an automatic
approval process.
Since 2001, we have continued to
receive similar comments. More
recently, in response to the FY 2019
New Technology Town Hall meeting
notice (83 FR 50379) and the meeting,
a commenter stated that the Food and
Drug Administration Modernization Act
of 1997 authorized a category of medical
devices that are eligible for FDA Priority
Review designation (83 FR 20278). The
commenter explained that, to qualify,
products must be designated by the FDA
as offering the potential for significant
improvements in the diagnosis or
treatment of the most serious illnesses,
including those that are life-threatening
or irreversibly debilitating. The
commenter indicated that the processes
by which products meeting the statutory
standard for priority review are
considered by the FDA are specified in
greater detail in FDA’s Expedited
Access Pathway Program, and in the
21st Century Cures Act. The commenter
believed that the criteria for FDA
Priority Review designation of devices
are very similar to the substantial
clinical improvement criteria and,
therefore, devices used in the inpatient
setting determined to be eligible for
expedited review and approved by the
FDA should automatically be
considered as meeting the substantial
clinical improvement criterion, without
further consideration by CMS.
The Administration is committed to
addressing barriers to healthcare
innovation and ensuring Medicare
beneficiaries have access to critical and
life-saving new cures and technologies
that improve beneficiary health
outcomes. As detailed in the President’s
FY 2020 Budget, HHS is pursuing
several policies that will instill greater
transparency and consistency around
how Medicare covers and pays for
innovative technology.
Therefore, given the FDA programs
for helping to expedite the development
and review of transformative new drugs
and devices that meet expedited
program criteria (that is, new drugs and
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devices that treat serious or lifethreatening diseases or conditions for
which there is an unmet medical need),
we considered whether it would also be
appropriate to similarly facilitate access
to these transformative new
technologies for Medicare beneficiaries
taking into consideration that marketing
authorization (that is, Premarket
Approval (PMA); 510(k) clearance; the
granting of a De Novo classification
request; or approval of a New Drug
Application (NDA)) for a product that is
the subject of one of FDA’s expedited
programs could lead to situations where
the evidence base for demonstrating
substantial clinical improvement in
accordance with CMS’ current standard
has not fully developed at the time of
FDA marketing authorization (that is,
PMA; 510(k) clearance; the granting of
a De Novo classification request; or
approval of a NDA) (as applicable). We
also considered whether FDA marketing
authorization of a product that is part of
an FDA expedited program is evidence
that the product is sufficiently different
from existing products for purposes of
newness.
After consideration of these issues,
and consistent with the
Administration’s commitment to
addressing barriers to healthcare
innovation and ensuring Medicare
beneficiaries have access to critical and
life-saving new cures and technologies
that improve beneficiary health
outcomes, we concluded that it would
be appropriate to develop an alternative
pathway for transformative medical
devices. In situations where a new
medical device is part of the
Breakthrough Devices Program and has
received FDA marketing authorization
(that is, the device has received PMA;
510(k) clearance; or the granting of a De
Novo classification request), we are
proposing an alternative inpatient new
technology add-on payment pathway to
facilitate access to this technology for
Medicare beneficiaries.
Specifically, we are proposing that,
for applications received for new
technology add-on payments for FY
2021 and subsequent fiscal years, if a
medical device is part of the FDA’s
Breakthrough Devices Program and
received FDA marketing authorization,
it would be considered new and not
substantially similar to an existing
technology for purposes of the new
technology add-on payment under the
IPPS. In light of the criteria applied
under the FDA’s Breakthrough Device
Program, and because the technology
may not have a sufficient evidence base
to demonstrate substantial clinical
improvement at the time of FDA
marketing authorization, we also are
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proposing that the medical device
would not need to meet the requirement
under § 412.87(b)(1) that it represent an
advance that substantially improves,
relative to technologies previously
available, the diagnosis or treatment of
Medicare beneficiaries. We are
proposing to add a new paragraph (c)
under § 412.87 to codify this proposed
policy; existing paragraph (c) would be
redesignated as paragraph (d) and
amendments would be made to
proposed redesignated paragraph (d) to
reflect this proposed alternative
pathway and to make clear that a new
medical device may only be approved
under § 412.87(b) or proposed new
§ 412.87(c). Under this proposed
alternative pathway, a medical device
that has received FDA marketing
authorization (that is, has been
approved or cleared by, or had a De
Novo classification request granted by,
the FDA) and that is part of the FDA’s
Breakthrough Devices Program would
need to meet the cost criterion under
§ 412.87(b)(3), as reflected in proposed
new § 412.87(c)(3), and would be
considered new as reflected in proposed
§ 412.87(c)(2).
Given the lack of an evidence base to
demonstrate substantial clinical
improvement at the time of FDA
marketing authorization, we are
soliciting public comment on how CMS
should weigh the benefits of this
proposed alternative pathway to
facilitate beneficiary access to
transformative new medical devices,
including the benefits of mitigating
potential delayed access to innovation
and adoption, against any potential
risks, such as the risk of adverse events
or negative outcomes that might come to
light later.
We further note that section
1886(d)(5)(K)(ii)(II) of the Act provides
for the collection of data with respect to
the costs of a new medical service or
technology described in subclause (I) for
a period of not less than 2 years and not
more than 3 years beginning on the date
on which an inpatient hospital code is
issued with respect to the service or
technology. We also are seeking public
comments on whether the newness
period under the proposed alternative
new technology add-on payment
pathway for transformative new medical
devices should be limited to a period of
time sufficient for the evidence base for
the new transformative medical device
to develop to the point where a
substantial clinical improvement
determination can be made (for
example, 1 to 2 years after approval,
depending on whether the
transformative new medical device
would be eligible for a third year of new
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technology add-on payments). We note
that, if we were to adopt such a policy
in the future, the proposed amended
regulation text would be revised
accordingly. We further note that the
newness period for a transformative
new medical device cannot exceed 3
years, regardless of whether it is
approved under the current eligibility
criteria, the proposed alternative
pathway, or potentially first under the
proposed alternative pathway, and
subsequently under the current
eligibility criteria later in its newness
period.
As stated above, for the reasons
discussed in section I.O. of Appendix A
to this proposed rule, we are not
proposing an alternative inpatient new
technology add-on payment pathway for
drugs at this time.
9. Proposed Change to the Calculation of
the Inpatient New Technology Add-On
Payment
As noted earlier, section
1886(d)(5)(K)(ii)(I) of the Act specifies
that a new medical service or
technology may be considered for a new
technology add-on payment if, based on
the estimated costs incurred with
respect to discharges involving such
service or technology, the DRG
prospective payment rate otherwise
applicable to such discharges under this
subsection is inadequate. As discussed
in the September 7, 2001 final rule, in
deciding which treatment is most
appropriate for any particular patient, it
is expected that physicians would
balance the clinical needs of patients
with the efficacy and costliness of
particular treatments. In the May 4,
2001 proposed rule (66 FR 22695), we
stated that we believed it is appropriate
to limit the additional payment to 50
percent of the additional cost of the new
technology to appropriately balance the
incentives. We stated that this proposed
limit would provide hospitals an
incentive for continued cost-effective
behavior in relation to the overall costs
of the case. In addition, we stated that
we believed hospitals would face an
incentive to balance the desirability of
using the new technology versus the
old; otherwise, there would be a large
and perhaps inappropriate incentive to
use the new technology.
As such, the current calculation of the
new technology add-on payment is
based on the cost to hospitals for the
new medical service or technology.
Specifically, under § 412.88, if the costs
of the discharge (determined by
applying CCRs as described in
§ 412.84(h)) exceed the full DRG
payment (including payments for IME
and DSH, but excluding outlier
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payments), Medicare will make an addon payment equal to the lesser of: (1) 50
percent of the costs of the new medical
service or technology; or (2) 50 percent
of the amount by which the costs of the
case exceed the standard DRG payment.
Unless the discharge qualifies for an
outlier payment, the additional
Medicare payment is limited to the full
MS–DRG payment plus 50 percent of
the estimated costs of the new
technology or medical service.
Since the 50-percent limit to the new
technology add-on payment was first
established, we have received feedback
from stakeholders that our current
policy does not adequately reflect the
costs of new technology and does not
sufficiently support healthcare
innovations. For example, stakeholders
have stated that a maximum add-on
payment of 50 percent does not allow
for accurate payment of a new
technology with an unprecedented high
cost, such as the CAR T-cell
technologies KYMRIAH® and
YESCARTA® (83 FR 41173).
After consideration of the concerns
raised by commenters and other
stakeholders, and consistent with the
Administration’s commitment to
addressing barriers to healthcare
innovation and ensuring Medicare
beneficiaries have access to critical and
life-saving new cures and technologies
that improve beneficiary health
outcomes, we agree that there may be
merit to the recommendations to
increase the maximum add-on amount,
and that capping the add-on payment
amount at 50 percent could in some
cases no longer provide a sufficient
incentive for the use of a new
technology. Costs of new medical
technologies have increased over the
years to the point where 50 percent of
the estimated cost may not be adequate,
and we have received feedback that
hospitals may potentially choose not to
provide certain technologies for that
reason alone.
At the same time, we continue to
believe that it is important to preserve
the incentives inherent under an
average-based prospective payment
system through the use of a percentage
of the estimated costs of a new
technology or service. We stated in the
September 7, 2001 final rule (66 FR
46919) that we do not believe it is
appropriate to pay an add-on amount
equal to 100 percent of the costs of new
technology because there is no similar
methodology to reduce payments for
cost-saving technology. For example, as
new technologies permit the
development of less-invasive surgical
procedures, the total costs per case may
begin to decline as patients recover and
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leave the hospital sooner. Finally, we
stated our concern that, because these
payments are linked to charges
submitted by hospitals, there is the
potential that hospitals may adapt their
charge structure to maximize payments
for DRGs that include eligible new
technologies. The higher the marginal
cost factor, the greater the incentive
hospitals face in this regard.
It is challenging to determine
empirically a precise payment
percentage between the current 50
percent and 100 percent payment that
would be the most appropriate. We
believe that 65 percent is an incremental
increase that would reasonably balance
the need to maintain the incentives
inherent to the prospective payment
system while also encouraging the
development and use of new
technologies.
Therefore, we are proposing that,
beginning with discharges on or after
October 1, 2019, if the costs of a
discharge involving a new technology
(determined by applying CCRs as
described in § 412.84(h)) exceed the full
DRG payment (including payments for
IME and DSH, but excluding outlier
payments), Medicare will make an addon payment equal to the lesser of: (1) 65
percent of the costs of the new medical
service or technology; or (2) 65 percent
of the amount by which the costs of the
case exceed the standard DRG payment.
Unless the discharge qualifies for an
outlier payment, the additional
Medicare payment would be limited to
the full MS–DRG payment plus 65
percent of the estimated costs of the
new technology or medical service. We
also are proposing to revise paragraphs
(a)(2) and (b) under § 412.88 to reflect
these proposed changes to the
calculation of the new technology addon payment amount beginning in FY
2020.
III. Proposed Changes to the Hospital
Wage Index for Acute Care Hospitals
A. Background
1. Legislative Authority
Section 1886(d)(3)(E) of the Act
requires that, as part of the methodology
for determining prospective payments to
hospitals, the Secretary adjust the
standardized amounts for area
differences in hospital wage levels by a
factor (established by the Secretary)
reflecting the relative hospital wage
level in the geographic area of the
hospital compared to the national
average hospital wage level. We
currently define hospital labor market
areas based on the delineations of
statistical areas established by the Office
of Management and Budget (OMB). A
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discussion of the proposed FY 2020
hospital wage index based on the
statistical areas appears under section
III.A.2. of the preamble of this proposed
rule.
Section 1886(d)(3)(E) of the Act
requires the Secretary to update the
wage index annually and to base the
update on a survey of wages and wagerelated costs of short-term, acute care
hospitals. (CMS collects these data on
the Medicare cost report, CMS Form
2552–10, Worksheet S–3, Parts II, III,
and IV. The OMB control number for
approved collection of this information
is 0938–0050.) This provision also
requires that any updates or adjustments
to the wage index be made in a manner
that ensures that aggregate payments to
hospitals are not affected by the change
in the wage index. The proposed
adjustment for FY 2020 is discussed in
section II.B. of the Addendum to this
proposed rule.
As discussed in section III.I. of the
preamble of this proposed rule, we also
take into account the geographic
reclassification of hospitals in
accordance with sections 1886(d)(8)(B)
and 1886(d)(10) of the Act when
calculating IPPS payment amounts.
Under section 1886(d)(8)(D) of the Act,
the Secretary is required to adjust the
standardized amounts so as to ensure
that aggregate payments under the IPPS
after implementation of the provisions
of sections 1886(d)(8)(B), 1886(d)(8)(C),
and 1886(d)(10) of the Act are equal to
the aggregate prospective payments that
would have been made absent these
provisions. The proposed budget
neutrality adjustment for FY 2020 is
discussed in section II.A.4.b. of the
Addendum to this proposed rule.
Section 1886(d)(3)(E) of the Act also
provides for the collection of data every
3 years on the occupational mix of
employees for short-term, acute care
hospitals participating in the Medicare
program, in order to construct an
occupational mix adjustment to the
wage index. A discussion of the
occupational mix adjustment that we
are proposing to apply to the FY 2020
wage index appears under sections
III.E.3. and F. of the preamble of this
proposed rule.
2. Core-Based Statistical Areas (CBSAs)
for the Proposed FY 2020 Hospital Wage
Index
The wage index is calculated and
assigned to hospitals on the basis of the
labor market area in which the hospital
is located. Under section 1886(d)(3)(E)
of the Act, beginning with FY 2005, we
delineate hospital labor market areas
based on OMB-established Core-Based
Statistical Areas (CBSAs). The current
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statistical areas (which were
implemented beginning with FY 2015)
are based on revised OMB delineations
issued on February 28, 2013, in OMB
Bulletin No. 13–01. OMB Bulletin No.
13–01 established revised delineations
for Metropolitan Statistical Areas,
Micropolitan Statistical Areas, and
Combined Statistical Areas in the
United States and Puerto Rico based on
the 2010 Census, and provided guidance
on the use of the delineations of these
statistical areas using standards
published on June 28, 2010 in the
Federal Register (75 FR 37246 through
37252). We refer readers to the FY 2015
IPPS/LTCH PPS final rule (79 FR 49951
through 49963) for a full discussion of
our implementation of the OMB labor
market area delineations beginning with
the FY 2015 wage index.
Generally, OMB issues major
revisions to statistical areas every 10
years, based on the results of the
decennial census. However, OMB
occasionally issues minor updates and
revisions to statistical areas in the years
between the decennial censuses through
OMB Bulletins. On July 15, 2015, OMB
issued OMB Bulletin No. 15–01, which
provided updates to and superseded
OMB Bulletin No. 13–01 that was issued
on February 28, 2013. The attachment to
OMB Bulletin No. 15–01 provided
detailed information on the update to
statistical areas since February 28, 2013.
The updates provided in OMB Bulletin
No. 15–01 were based on the
application of the 2010 Standards for
Delineating Metropolitan and
Micropolitan Statistical Areas to Census
Bureau population estimates for July 1,
2012 and July 1, 2013. In the FY 2017
IPPS/LTCH PPS final rule (81 FR
56913), we adopted the updates set forth
in OMB Bulletin No. 15–01 effective
October 1, 2016, beginning with the FY
2017 wage index. For a complete
discussion of the adoption of the
updates set forth in OMB Bulletin No.
15–01, we refer readers to the FY 2017
IPPS/LTCH PPS final rule. In the FY
2018 IPPS/LTCH PPS final rule (82 FR
38130), we continued to use the OMB
delineations that were adopted
beginning with FY 2015 to calculate the
area wage indexes, with updates as
reflected in OMB Bulletin No. 15–01
specified in the FY 2017 IPPS/LTCH
PPS final rule.
On August 15, 2017, OMB issued
OMB Bulletin No. 17–01, which
provided updates to and superseded
OMB Bulletin No. 15–01 that was issued
on July 15, 2015. The attachments to
OMB Bulletin No. 17–01 provide
detailed information on the update to
statistical areas since July 15, 2015, and
are based on the application of the 2010
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Standards for Delineating Metropolitan
and Micropolitan Statistical Areas to
Census Bureau population estimates for
July 1, 2014 and July 1, 2015. In the FY
2019 IPPS/LTCH PPS final rule (83 FR
41362 through 41363), we adopted the
updates set forth in OMB Bulletin No.
17–01 effective October 1, 2018,
beginning with the FY 2019 wage index.
For a complete discussion of the
adoption of the updates set forth in
OMB Bulletin No. 17–01, we refer
readers to the FY 2019 IPPS/LTCH PPS
final rule.
For FY 2020, we are continuing to use
the OMB delineations that were adopted
beginning with FY 2015 (based on the
revised delineations issued in OMB
Bulletin No. 13–01) to calculate the area
wage indexes, with updates as reflected
in OMB Bulletin Nos. 15–01 and 17–01.
3. Codes for Constituent Counties in
CBSAs
CBSAs are made up of one or more
constituent counties. Each CBSA and
constituent county has its own unique
identifying codes. There are two
different lists of codes associated with
counties: Social Security
Administration (SSA) codes and Federal
Information Processing Standard (FIPS)
codes. Historically, CMS has listed and
used SSA and FIPS county codes to
identify and crosswalk counties to
CBSA codes for purposes of the hospital
wage index. As we discussed in the FY
2018 IPPS/LTCH PPS final rule (82 FR
38129 through 38130), we have learned
that SSA county codes are no longer
being maintained and updated.
However, the FIPS codes continue to be
maintained by the U.S. Census Bureau.
We believe that using the latest FIPS
codes will allow us to maintain a more
accurate and up-to-date payment system
that reflects the reality of population
shifts and labor market conditions.
The Census Bureau’s most current
statistical area information is derived
from ongoing census data received since
2010; the most recent data are from
2015. The Census Bureau maintains a
complete list of changes to counties or
county equivalent entities on the
website at: https://www.census.gov/geo/
reference/county-changes.html. We
believe that it is important to use the
latest counties or county equivalent
entities in order to properly crosswalk
hospitals from a county to a CBSA for
purposes of the hospital wage index
used under the IPPS.
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38129 through 38130), we
adopted a policy to discontinue the use
of the SSA county codes and began
using only the FIPS county codes for
purposes of crosswalking counties to
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CBSAs. In addition, in the same rule, we
implemented the latest FIPS code
updates which were effective October 1,
2017, beginning with the FY 2018 wage
indexes. These updates have been used
to calculate the wage indexes in a
manner generally consistent with the
CBSA-based methodologies finalized in
the FY 2005 IPPS final rule and the FY
2015 IPPS/LTCH PPS final rule.
For FY 2020, we are continuing to use
only the FIPS county codes for purposes
of crosswalking counties to CBSAs. For
FY 2020, Tables 2 and 3 associated with
this proposed rule and the County to
CBSA Crosswalk File and Urban CBSAs
and Constituent Counties for Acute Care
Hospitals File posted on the CMS
website reflect these county changes.
B. Worksheet S–3 Wage Data for the
Proposed FY 2020 Wage Index
The proposed FY 2020 wage index
values are based on the data collected
from the Medicare cost reports
submitted by hospitals for cost reporting
periods beginning in FY 2016 (the FY
2019 wage indexes were based on data
from cost reporting periods beginning
during FY 2015).
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1. Included Categories of Costs
The proposed FY 2020 wage index
includes all of the following categories
of data associated with costs paid under
the IPPS (as well as outpatient costs):
• Salaries and hours from short-term,
acute care hospitals (including paid
lunch hours and hours associated with
military leave and jury duty);
• Home office costs and hours;
• Certain contract labor costs and
hours, which include direct patient
care, certain top management,
pharmacy, laboratory, and nonteaching
physician Part A services, and certain
contract indirect patient care services
(as discussed in the FY 2008 final rule
with comment period (72 FR 47315
through 47317)); and
• Wage-related costs, including
pension costs (based on policies
adopted in the FY 2012 IPPS/LTCH PPS
final rule (76 FR 51586 through 51590))
and other deferred compensation costs.
2. Excluded Categories of Costs
Consistent with the wage index
methodology for FY 2019, the proposed
wage index for FY 2020 also excludes
the direct and overhead salaries and
hours for services not subject to IPPS
payment, such as skilled nursing facility
(SNF) services, home health services,
costs related to GME (teaching
physicians and residents) and certified
registered nurse anesthetists (CRNAs),
and other subprovider components that
are not paid under the IPPS. The
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proposed FY 2020 wage index also
excludes the salaries, hours, and wagerelated costs of hospital-based rural
health clinics (RHCs), and Federally
qualified health centers (FQHCs)
because Medicare pays for these costs
outside of the IPPS (68 FR 45395). In
addition, salaries, hours, and wagerelated costs of CAHs are excluded from
the wage index for the reasons
explained in the FY 2004 IPPS final rule
(68 FR 45397 through 45398). For FY
2020 and subsequent years, other wagerelated costs are also excluded from the
calculation of the wage index. As
discussed in the FY 2019 IPPS/LTCH
final rule (83 FR 41365 through 41369),
other wage-related costs reported on
Worksheet S–3, Part II, Line 18 and
Worksheet S–3, Part IV, Line 25 and
subscripts, as well as all other wagerelated costs, such as contract labor
costs, are excluded from the calculation
of the wage index.
3. Use of Wage Index Data by Suppliers
and Providers Other Than Acute Care
Hospitals Under the IPPS
Data collected for the IPPS wage
index also are currently used to
calculate wage indexes applicable to
suppliers and other providers, such as
SNFs, home health agencies (HHAs),
ambulatory surgical centers (ASCs), and
hospices. In addition, they are used for
prospective payments to IRFs, IPFs, and
LTCHs, and for hospital outpatient
services. We note that, in the IPPS rules,
we do not address comments pertaining
to the wage indexes of any supplier or
provider except IPPS providers and
LTCHs. Such comments should be made
in response to separate proposed rules
for those suppliers and providers.
C. Verification of Worksheet S–3 Wage
Data
The wage data for the proposed FY
2020 wage index were obtained from
Worksheet S–3, Parts II and III of the
Medicare cost report (Form CMS–2552–
10, OMB Control Number 0938–0050)
for cost reporting periods beginning on
or after October 1, 2015, and before
October 1, 2016. For wage index
purposes, we refer to cost reports during
this period as the ‘‘FY 2016 cost report,’’
the ‘‘FY 2016 wage data,’’ or the ‘‘FY
2016 data.’’ Instructions for completing
the wage index sections of Worksheet
S–3 are included in the Provider
Reimbursement Manual (PRM), Part 2
(Pub. 15–2), Chapter 40, Sections 4005.2
through 4005.4. The data file used to
construct the proposed FY 2020 wage
index includes FY 2016 data submitted
to us as of February 7, 2019. As in past
years, we performed an extensive
review of the wage data, mostly through
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the use of edits designed to identify
aberrant data.
We asked our MACs to revise or verify
data elements that result in specific edit
failures. For the proposed FY 2020 wage
index, we identified and excluded 81
providers with aberrant data that should
not be included in the wage index,
although if data elements for some of
these providers are corrected, we intend
to include data from those providers in
the final FY 2020 wage index. We also
adjusted certain aberrant data and
included these data in the proposed
wage index. For example, in situations
where a hospital did not have
documentable salaries, wages, and
hours for housekeeping and dietary
services, we imputed estimates, in
accordance with policies established in
the FY 2015 IPPS/LTCH PPS final rule
(79 FR 49965 through 49967). We
instructed MACs to complete their data
verification of questionable data
elements and to transmit any changes to
the wage data no later than March 22,
2019. In addition, as a result of the April
and May appeals processes, and posting
of the April 30, 2019 PUF, we may make
additional revisions to the FY 2020
wage data, as described further below.
The revised data would be reflected in
the FY 2020 IPPS/LTCH PPS final rule.
Among the hospitals we identified
and excluded with aberrant data that
should not be included in the proposed
FY 2020 wage index are eight hospitals
that are part of a health care delivery
system that is unique in several ways.
The vast majority of the system’s
hospitals (38) are located in a single
State, with one union representing most
of their hospital employees in the
‘‘northern’’ region of the State, while
another union represents most of their
hospital employees in the ‘‘southern’’
region of the State. The salaries
negotiated do not reflect competitive
local labor market salaries; rather, the
salaries reflect negotiated salary rates for
the ‘‘northern’’ and ‘‘southern’’ regions
of the State respectively. For example,
all medical assistants in the ‘‘northern’’
region start at $24.31 per hour, and
medical assistants in the ‘‘southern’’
region start at $20.36 per hour. Thus, all
salaries for similar positions and levels
of experience in the northern region, for
example, are the same regardless of
prevailing labor market conditions in
the area in which the hospital is located.
In addition, this chain is part of a
managed care organization and an
integrated delivery system wherein the
hospitals rely on the system’s health
care plans for funding. For the FY 2020
proposed wage index calculation, we
have identified and excluded eight of
the hospitals that are part of this health
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care system. The average hourly wages
of these eight hospitals differ most from
their respective CBSA average hourly
wages, and there is a large gap between
the average hourly wage of each of the
eight hospitals and the next closest
average hourly wage in their respective
CBSAs. We do not believe that the
average hourly wages of these eight
hospitals accurately reflect the
economic conditions in their respective
labor market areas during the FY 2016
cost reporting period. Therefore, we
believe the inclusion of the wage data
for these eight hospitals in the proposed
wage index would not ensure that the
FY 2020 wage index represents the
relative hospital wage level in the
geographic area of the hospital as
compared to the national average of
wages. Rather, the inclusion of these
data would distort the comparison of
the average hourly wage of each of these
hospitals’ labor market areas to the
national average hourly wage. We
believe that under section 1886(d)(3)(E)
of the Act, which requires the Secretary
to establish an adjustment factor (the
wage index) reflecting the relative
hospital wage level in the geographic
area of a hospital compared to the
national average hospital wage level, we
have the discretion to remove hospital
data from the wage index that is not
reflective of the relative hospital wage
level in the hospitals’ geographic area.
In previous rulemaking (80 FR 49491),
we explained that we remove hospitals
from the wage index because their
average hourly wages are either
extraordinarily high or extraordinarily
low compared to their labor market
areas, even though their data were
properly documented. For this reason,
we have removed the data of other
hospitals in the past; for example, data
from government-owned hospitals and
hospitals providing unique or niche
services which affect their average
hourly wages. We note that we are
considering removing all of the
hospitals in this health care system from
the FY 2021 and subsequent wage index
calculations, not because they are failing
edits due to inaccuracy, but because of
the uniqueness of this chain of
hospitals, in particular, the fact that the
salaries of their employees are not based
on local labor market rates.
In constructing the proposed FY 2020
wage index, we included the wage data
for facilities that were IPPS hospitals in
FY 2016, inclusive of those facilities
that have since terminated their
participation in the program as
hospitals, as long as those data did not
fail any of our edits for reasonableness.
We believe that including the wage data
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for these hospitals is, in general,
appropriate to reflect the economic
conditions in the various labor market
areas during the relevant past period
and to ensure that the current wage
index represents the labor market area’s
current wages as compared to the
national average of wages. However, we
excluded the wage data for CAHs as
discussed in the FY 2004 IPPS final rule
(68 FR 45397 through 45398); that is,
any hospital that is designated as a CAH
by 7 days prior to the publication of the
preliminary wage index public use file
(PUF) is excluded from the calculation
of the wage index. For this proposed
rule, we removed 4 hospitals that
converted to CAH status on or after
January 26, 2018, the cut-off date for
CAH exclusion from the FY 2019 wage
index, and through and including
January 24, 2019, the cut-off date for
CAH exclusion from the FY 2020 wage
index. After excluding CAHs and
hospitals with aberrant data, we
calculated the proposed wage index
using the Worksheet S–3, Parts II and III
wage data of 3,221 hospitals.
For the proposed FY 2020 wage
index, we allotted the wages and hours
data for a multicampus hospital among
the different labor market areas where
its campuses are located in the same
manner that we allotted such hospitals’
data in the FY 2019 wage index (83 FR
41364 through 41365); that is, using
campus full-time equivalent (FTE)
percentages as originally finalized in the
FY 2012 IPPS/LTCH PPS final rule (76
FR 51591). Table 2, which contains the
proposed FY 2020 wage index
associated with this proposed rule
(available via the internet on the CMS
website), includes separate wage data
for the campuses of 17 multicampus
hospitals. The following chart lists the
multicampus hospitals by CSA
certification number (CCN) and the FTE
percentages on which the wages and
hours of each campus were allotted to
their respective labor market areas:
CCN of multicampus hospital
Full-time
equivalent
(FTE)
percentages
050121 ..................................
05B121 .................................
070033 ..................................
07B033 .................................
100029 ..................................
10B029 .................................
100167 ..................................
10B167 .................................
140010 ..................................
14B010 .................................
220074 ..................................
22B074 .................................
330195 ..................................
33B195 .................................
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0.83
0.17
0.92
0.08
0.54
0.46
0.39
0.61
0.83
0.17
0.86
0.14
0.90
0.10
CCN of multicampus hospital
330234 ..................................
33B234 .................................
340115 ..................................
34B115 .................................
360020 ..................................
36B020 .................................
370041 ..................................
37B041 .................................
390006 ..................................
39B006 .................................
390115 ..................................
39B115 .................................
390142 ..................................
39B142 .................................
460051 ..................................
46B051 .................................
510022 ..................................
51B022 .................................
670062 ..................................
67B062 .................................
Full-time
equivalent
(FTE)
percentages
0.73
0.27
0.96
0.04
0.99
0.01
0.89
0.11
0.94
0.06
0.86
0.14
0.83
0.17
0.82
0.18
0.95
0.05
0.55
0.45
We note that, in past years, in Table
2, we have placed a ‘‘B’’ to designate the
subordinate campus in the fourth
position of the hospital CCN. However,
for the FY 2019 IPPS/LTCH PPS
proposed and final rules and subsequent
rules, we have moved the ‘‘B’’ to the
third position of the CCN. Because all
IPPS hospitals have a ‘‘0’’ in the third
position of the CCN, we believe that
placement of the ‘‘B’’ in this third
position, instead of the ‘‘0’’ for the
subordinate campus, is the most
efficient method of identification and
interferes the least with the other,
variable, digits in the CCN.
D. Method for Computing the Proposed
FY 2020 Unadjusted Wage Index
In the FY 2019 IPPS/LTCH PPS
proposed rule (83 FR 41365), we
indicated we were committed to
transforming the health care delivery
system, including the Medicare
program, by putting an additional focus
on patient-centered care and working
with providers, physicians, and patients
to improve outcomes. One key to that
transformation is ensuring that the
Medicare payment rates are as accurate
and appropriate as possible, consistent
with the law. We invited the public to
submit comments, suggestions, and
recommendations for regulatory and
policy changes to address wage index
disparities. Our proposals for FY 2020
to address wage index disparities,
particularly for rural hospitals, to the
extent permitted under current law, are
discussed in section III.N. of the
preamble to this proposed rule. We
continue to believe that broader
statutory wage index reform is needed.
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1. Proposed Methodology for FY 2020
The method used to compute the
proposed FY 2020 wage index without
an occupational mix adjustment follows
the same methodology that we used to
compute the proposed wage indexes
without an occupational mix adjustment
since FY 2012 (76 FR 51591 through
51593), except as discussed below.
Typically, we do not restate all of the
steps of the methodology to compute the
wage indexes in each proposed and
final rulemaking; instead, we refer
readers to the FY 2012 IPPS/LTCH PPS
final rule. However, below in this FY
2020 IPPS/LTCH PPS proposed rule, we
are (1) restating the steps of the
methodology in order to update
outdated references to certain cost
report lines which were then reflected
on Medicare CMS Form 2552–96 but are
now reflected on Medicare CMS Form
2552–10; (2) proposing to change the
calculation of the Overhead Rate in Step
4; (3) proposing to modify our
methodology with regard to how dollar
amounts, hours, and other numerical
values in the wage index calculation are
rounded; and (4) proposing a
methodology for calculating the wage
index for urban areas without wage
data. We are otherwise not proposing to
make any other policy changes in this
section to the methodology set forth in
the FY 2012 IPPS/LTCH PPS proposed
rule (76 FR 51591 through 51593) for
computing the proposed wage index
without an occupational mix
adjustment. Unless otherwise specified,
all cost report line references below
refer to CMS Form 2552–10.
Step 1.—We gathered data from each
of the non-Federal, short-term, acute
care hospitals for which data were
reported on the Worksheet S–3, Parts II
and III of the Medicare cost report for
the hospital’s cost reporting period
relevant to the proposed wage index (in
this case, for FY 2020, these would be
data from cost reports for cost reporting
periods beginning on or after October 1,
2015, and before October 1, 2016). In
addition, we include data from some
hospitals that had cost reporting periods
beginning before October 2015 and
reported a cost reporting period
covering all of FY 2016. These data are
included because no other data from
these hospitals would be available for
the cost reporting period described
above, and because particular labor
market areas might be affected due to
the omission of these hospitals.
However, we generally describe these
wage data as FY 2016 data. We note
that, if a hospital had more than one
cost reporting period beginning during
FY 2016 (for example, a hospital had
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two short cost reporting periods
beginning on or after October 1, 2015,
and before October 1, 2016), we include
wage data from only one of the cost
reporting periods, the longer, in the
wage index calculation. If there was
more than one cost reporting period and
the periods were equal in length, we
included the wage data from the later
period in the wage index calculation.
Step 2.—Salaries.—The method used
to compute a hospital’s average hourly
wage excludes certain costs that are not
paid under the IPPS. (We note that,
beginning with FY 2008 (72 FR 47315),
we included what were then Lines
22.01, 26.01, and 27.01 of Worksheet S–
3, Part II of CMS Form 2552–96 for
overhead services in the wage index.
Currently, these lines are lines 28, 33,
and 35 on CMS Form 2552–10.
However, we note that the wages and
hours on these lines are not
incorporated into Line 101, Column 1 of
Worksheet A, which, through the
electronic cost reporting software, flows
directly to Line 1 of Worksheet S–3, Part
II. Therefore, the first step in the wage
index calculation is to compute a
‘‘revised’’ Line 1, by adding to the Line
1 on Worksheet S–3, Part II (for wages
and hours respectively) the amounts on
Lines 28, 33, and 35.) In calculating a
hospital’s Net Salaries (we note that we
previously used the term ‘‘average’’
salaries in the FY 2012 IPPS/LTCH PPS
final rule (76 FR 51592), but we now use
the term ‘‘net’’ salaries) plus wagerelated costs, we first compute the
following: Subtract from Line 1 (total
salaries) the GME and CRNA costs
reported on CMS Form 2552–10, Lines
2, 4.01, 7, and 7.01, the Part B salaries
reported on Lines 3, 5 and 6, home
office salaries reported on Line 8, and
exclude salaries reported on Lines 9 and
10 (that is, direct salaries attributable to
SNF services, home health services, and
other subprovider components not
subject to the IPPS). We also subtract
from Line 1 the salaries for which no
hours were reported. Therefore, the
formula for Net Salaries (from
Worksheet S–3, Part II) is the following:
((Line 1 + Line 28 + Line 33 + Line 35)
¥ (Line 2 + Line 3 + Line 4.01 +
Line 5 + Line 6 + Line 7 + Line 7.01
+ Line 8 + Line 9 + Line 10))
To determine Total Salaries plus
Wage-Related Costs, we add to the Net
Salaries the costs of contract labor for
direct patient care, certain top
management, pharmacy, laboratory, and
nonteaching physician Part A services
(Lines 11, 12 and 13), home office
salaries and wage-related costs reported
by the hospital on Lines 14.01, 14.02,
and 15, and nonexcluded area wage-
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19377
related costs (Lines 17, 22, 25.50, 25.51,
and 25.52). We note that contract labor
and home office salaries for which no
corresponding hours are reported are
not included. In addition, wage-related
costs for nonteaching physician Part A
employees (Line 22) are excluded if no
corresponding salaries are reported for
those employees on Line 4.
The formula for Total Salaries plus
Wage-Related Costs (from Worksheet S–
3, Part II) is the following: ((Line 1 +
Line 28 + Line 33 + Line 35) ¥ (Line
2 + Line 3 + Line 4.01 + Line 5 + Line
6 + Line 7 + Line 7.01 + Line 8 + Line
9 + Line 10)) + (Line 11 + Line 12 + Line
13 + Line 14.01 + 14.02 + Line 15) +
(Line 17 + Line 22 + 25.50 + 25.51 +
25.52)
Step 3.—Hours.—With the exception
of wage-related costs, for which there
are no associated hours, we compute
total hours using the same methods as
described for salaries in Step 2.
The formula for Total Hours (from
Worksheet S–3, Part II) is the following:
((Line 1 + Line 28 + Line 33 + Line 35)
¥ (Line 2 + Line 3 + Line 4.01 + Line
5 + Line 6 + Line 7 + Line 7.01 + Line
8 + Line 9 + Line 10)) + (Line 11 + Line
12 + Line 13 + Line 14.01 + 14.02 + Line
15).
Step 4.—For each hospital reporting
both total overhead salaries and total
overhead hours greater than zero, we
then allocate overhead costs to areas of
the hospital excluded from the wage
index calculation. First, we determine
the ‘‘excluded rate’’, which is the ratio
of excluded area hours to Revised Total
Hours (from Worksheet S–3, Part II)
with the following formula: (Line 9 +
Line 10)/(Line 1 + Line 28 + Line 33 +
Line 35) ¥ (Lines 2, 3, 4.01, 5, 6, 7,
7.01, and 8 and Lines 26 through 43).
We then compute the amounts of
overhead salaries and hours to be
allocated to excluded areas by
multiplying the above ratio by the total
overhead salaries and hours reported on
Lines 26 through 43 of Worksheet S–3,
Part II. Next, we compute the amounts
of overhead wage-related costs to be
allocated to excluded areas using three
steps:
(1) We determine the ‘‘overhead rate’’
(from Worksheet S–3, Part II), which is
the ratio of overhead hours (Lines 26
through 43 minus the sum of Lines 28,
33, and 35) to revised hours excluding
the sum of lines 28, 33, and 35 (Line 1
minus the sum of Lines 2, 3, 4.01, 5, 6,
7, 7.01, 8, 9, 10, 28, 33, and 35). We note
that, for the FY 2008 and subsequent
wage index calculations, we have been
excluding the overhead contract labor
(Lines 28, 33, and 35) from the
determination of the ratio of overhead
hours to revised hours because hospitals
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typically do not provide fringe benefits
(wage-related costs) to contract
personnel. Therefore, it is not necessary
for the wage index calculation to
exclude overhead wage-related costs for
contract personnel. Further, if a hospital
does contribute to wage-related costs for
contracted personnel, the instructions
for Lines 28, 33, and 35 require that
associated wage-related costs be
combined with wages on the respective
contract labor lines.
The formula for the Overhead Rate
(from Worksheet S–3, Part II) has been
the following: (Lines 26 through
43¥Lines 28, 33 and 35)/((((Line 1 +
Lines 28, 33, 35) ¥ (Lines 2, 3, 4.01, 5,
6, 7, 7.01, 8, 26 through 43)) ¥ (Lines
9, 10, 28, 33, and 35)) + (Lines 26
through 43 ¥ Lines 28, 33, and 35)).
We note that, for the calculation for
FY 2020 and subsequent fiscal years, we
are reexamining this step above
regarding removal of the sum of
overhead contract labor hours on Lines
28, 33, and 35. In the denominator of
this calculation of the overhead rate, we
have been subtracting out the sum of the
overhead contract labor hours from
Revised Total Hours. However, this
requires modification because Revised
Total Hours do not include these
overhead contract labor hours. We are
proposing to modify this step of the
calculation of the overhead rate as
follows:
The formula for the Overhead Rate
(from Worksheet S–3, Part II) would be
the following: (Lines 26 through
43¥Lines 28, 33 and 35)/((((Line 1 +
Lines 28, 33, 35) ¥ (Lines 2, 3, 4.01, 5,
6, 7, 7.01, 8, and 26 through 43)) ¥
(Lines 9 and 10)) + (Lines 26 through 43
¥ Lines 28, 33, and 35)).
(2) We compute overhead wagerelated costs by multiplying the
overhead hours ratio by wage-related
costs reported on Part II, Lines 17, 22,
25.50, 25.51, and 25.52.
(3) We multiply the computed
overhead wage-related costs by the
above excluded area hours ratio.
Finally, we subtract the computed
overhead salaries, wage-related costs,
and hours associated with excluded
areas from the total salaries (plus wagerelated costs) and hours derived in
Steps 2 and 3.
Step 5.—For each hospital, we adjust
the total salaries plus wage-related costs
to a common period to determine total
adjusted salaries plus wage-related
costs. To make the wage adjustment, we
estimate the percentage change in the
employment cost index (ECI) for
compensation for each 30-day
increment from October 14, 2015
through April 15, 2017, for private
industry hospital workers from the BLS’
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Compensation and Working Conditions.
We use the ECI because it reflects the
price increase associated with total
compensation (salaries plus fringes)
rather than just the increase in salaries.
In addition, the ECI includes managers
as well as other hospital workers. This
methodology to compute the monthly
update factors uses actual quarterly ECI
data and assures that the update factors
match the actual quarterly and annual
percent changes. We also note that,
since April 2006 with the publication of
March 2006 data, the BLS’ ECI uses a
different classification system, the North
American Industrial Classification
System (NAICS), instead of the Standard
Industrial Codes (SICs), which no longer
exist. We have consistently used the ECI
as the data source for our wages and
salaries and other price proxies in the
IPPS market basket, and we are not
proposing to make any changes to the
usage for FY 2020. The factors used to
adjust the hospital’s data were based on
the midpoint of the cost reporting
period, as indicated below.
Step 6.—Each hospital is assigned to
its appropriate urban or rural labor
market area before any reclassifications
under section 1886(d)(8)(B), section
1886(d)(8)(E), or section 1886(d)(10) of
the Act. Within each urban or rural
labor market area, we add the total
adjusted salaries plus wage-related costs
obtained in Step 5 for all hospitals in
that area to determine the total adjusted
salaries plus wage-related costs for the
labor market area.
Step 7.—We divide the total adjusted
salaries plus wage-related costs obtained
under Step 6 by the sum of the
corresponding total hours (from Step 4)
for all hospitals in each labor market
area to determine an average hourly
wage for the area.
Step 8.—We add the total adjusted
salaries plus wage-related costs obtained
in Step 5 for all hospitals in the Nation
and then divide the sum by the national
sum of total hours from Step 4 to arrive
at a national average hourly wage.
Step 9.—For each urban or rural labor
market area, we calculate the hospital
wage index value, unadjusted for
occupational mix, by dividing the area
average hourly wage obtained in Step 7
by the national average hourly wage
computed in Step 8.
Step 10.—For each urban labor market
area for which we do not have any
hospital wage data (either because there
are no IPPS hospitals in that labor
market area, or there are IPPS hospitals
in that area but their data are either too
new to be reflected in the current year’s
wage index calculation, or their data are
aberrant and are deleted from the wage
index), we are proposing that, for FY
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2020 and subsequent years’ wage index
calculations, such CBSA’s wage index
would be equal to total urban salaries
plus wage-related costs (from Step 5) in
the State, divided by the total urban
hours (from Step 4) in the State, divided
by the national average hourly wage
from Step 8. We believe that, in the
absence of wage data for an urban labor
market area, it is reasonable to propose
to use a statewide urban average, which
is based on actual, acceptable wage data
of hospitals in that State, rather than
impute some other type of value using
a different methodology.
For calculation of the proposed FY
2020 wage index, we note there are 2
urban CBSAs for which we do not have
IPPS hospital wage data. In Table 3
associated with this proposed rule
(which is available via the internet on
the CMS website) which contains the
area wage indexes, we are including a
footnote to indicate to which CBSAs
this proposed policy would apply. We
are proposing that these CBSAs’ wage
indexes would be equal to total urban
salaries plus wage-related costs (from
Step 5) in the respective State, divided
by the total urban hours (from Step 4)
in the respective State, divided by the
national average hourly wage (from Step
8). Under this step, we also are
proposing to apply our proposed policy
with regard to how dollar amounts,
hours, and other numerical values in the
wage index calculations are rounded.
We refer readers to section II. of the
Appendix of this proposed rule for the
policy regarding rural areas that do not
have IPPS hospitals.
Step 11.—Section 4410 of Public Law
105–33 provides that, for discharges on
or after October 1, 1997, the area wage
index applicable to any hospital that is
located in an urban area of a State may
not be less than the area wage index
applicable to hospitals located in rural
areas in that State. The areas affected by
this provision are identified in Table 2
which is listed in section VI. of the
Addendum to this proposed rule and
available via the internet on the CMS
website.
As we noted previously in this
section, we are proposing to modify our
methodology with regard to how dollar
amounts, hours, and other numerical
values in the unadjusted and adjusted
wage index calculation are rounded, in
order to help ensure consistency in the
calculation. For example, we have
received questions from stakeholders
who use data printed in our proposed
and final rules and online in our public
use files (PUFs) to calculate the wage
indexes, and it has come to our
attention that, due in part to occasional
inconsistencies in rounding of data,
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CMS’ calculations and stakeholders’
calculations may not match. Therefore,
to help ensure consistency in the
calculation, we are proposing to modify
how the wage data numbers are
rounded, as follows. For data that we
consider to be ‘‘raw data,’’ such as the
cost report data on Worksheets S–3,
Parts II and III, and the occupational
mix survey data, we are proposing to
use such data ‘‘as is,’’ and not round any
of the individual line items or fields.
However, for any dollar amounts within
the wage index calculations, including
any type of summed wage amount,
average hourly wages, and the national
average hourly wage (both the
unadjusted and adjusted for
occupational mix), we are proposing to
round the dollar amounts to 2 decimals.
For any hour amounts within the wage
index calculations, we are proposing to
round such hour amounts to the nearest
whole number. For any numbers not
expressed as dollars or hours within the
wage index calculations, which could
include ratios, percentages, or inflation
factors, we are proposing to round such
numbers to 5 decimals. However, we are
proposing to continue rounding the
actual unadjusted and adjusted wage
indexes to 4 decimals, as we have done
historically.
As discussed in the FY 2012 IPPS/
LTCH PPS final rule, in ‘‘Step 5,’’ for
each hospital, we adjust the total
salaries plus wage-related costs to a
common period to determine total
adjusted salaries plus wage-related
costs. To make the wage adjustment, we
estimate the percentage change in the
employment cost index (ECI) for
compensation for each 30-day
increment from October 14, 2015,
through April 15, 2017, for private
industry hospital workers from the BLS’
Compensation and Working Conditions.
We have consistently used the ECI as
the data source for our wages and
salaries and other price proxies in the
IPPS market basket, and we are not
proposing any changes to the usage of
the ECI for FY 2020. The factors used to
adjust the hospital’s data were based on
the midpoint of the cost reporting
period, as indicated in the following
table.
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MIDPOINT OF COST REPORTING
PERIOD
After
10/14/2015
11/14/2015
12/14/2015
01/14/2016
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Before
11/15/2015
12/15/2015
01/15/2016
02/15/2016
17:51 May 02, 2019
Adjustment
factor
1.03058
1.02885
1.02708
1.02532
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MIDPOINT OF COST REPORTING
PERIOD—Continued
After
02/14/2016
03/14/2016
04/14/2016
05/14/2016
06/14/2016
07/14/2016
08/14/2016
09/14/2016
10/14/2016
11/14/2016
12/14/2016
01/14/2017
02/14/2017
03/14/2017
Adjustment
factor
Before
03/15/2016
04/15/2016
05/15/2016
06/15/2016
07/15/2016
08/15/2016
09/15/2016
10/15/2016
11/15/2016
12/15/2016
01/15/2017
02/15/2017
03/15/2017
04/15/2017
1.02357
1.02177
1.01988
1.01790
1.01585
1.01375
1.01162
1.00952
1.00751
1.00560
1.00374
1.00187
1.00000
0.99818
For example, the midpoint of a cost
reporting period beginning January 1,
2016, and ending December 31, 2016, is
June 30, 2016. An adjustment factor of
1.01585 was applied to the wages of a
hospital with such a cost reporting
period.
Previously, we also would provide a
Puerto Rico overall average hourly
wage. As discussed in the FY 2017
IPPS/LTCH PPS final rule (81 FR
56915), prior to January 1, 2016, Puerto
Rico hospitals were paid based on 75
percent of the national standardized
amount and 25 percent of the Puerto
Rico-specific standardized amount. As a
result, we calculated a Puerto Ricospecific wage index that was applied to
the labor-related share of the Puerto
Rico-specific standardized amount.
Section 601 of the Consolidated
Appropriations Act, 2016 (Pub. L. 114–
113) amended section 1886(d)(9)(E) of
the Act to specify that the payment
calculation with respect to operating
costs of inpatient hospital services of a
subsection (d) Puerto Rico hospital for
inpatient hospital discharges on or after
January 1, 2016, shall use 100 percent
of the national standardized amount. As
we stated in the FY 2017 IPPS/LTCH
PPS final rule (81 FR 56915 through
56916), because Puerto Rico hospitals
are no longer paid with a Puerto Ricospecific standardized amount as of
January 1, 2016, under section
1886(d)(9)(E) of the Act, as amended by
section 601 of the Consolidated
Appropriations Act, 2016, there is no
longer a need to calculate a Puerto Ricospecific average hourly wage and wage
index. Hospitals in Puerto Rico are now
paid 100 percent of the national
standardized amount and, therefore, are
subject to the national average hourly
wage (unadjusted for occupational mix)
and the national wage index, which is
applied to the national labor-related
share of the national standardized
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19379
amount. Therefore, for FY 2020, there is
no Puerto Rico-specific overall average
hourly wage or wage index.
Based on the above methodology, the
proposed unadjusted national average
hourly wage is the following:
Proposed FY 2020 Unadjusted National
Average Hourly Wage ...........................
$44.03
2. Policies Regarding Rural
Reclassification and Special Statuses for
Multicampus Hospitals
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41369 through 41374), we
codified policies regarding rural
reclassification and special statuses for
multicampus hospitals in the
regulations at § 412.92 for sole
community hospitals (SCHs), § 412.96
for rural referral centers (RRCs),
§ 412.103 for rural reclassification, and
§ 412.108 for Medicare-dependent,
small rural hospitals (MDHs).
We stated that these policies apply to
hospitals that have a main campus and
one or more remote locations under a
single provider agreement where
services are provided and billed under
the IPPS and that meet the providerbased criteria at § 413.65 as a main
campus and a remote location of a
hospital, also referred to as
multicampus hospitals or hospitals with
remote locations. As discussed in the
FY 2019 IPPS/LTCH PPS final rule (83
FR 41369), a main campus of a hospital
cannot obtain an SCH, RRC, or MDH
status or rural reclassification
independently or separately from its
remote location(s), and vice versa.
Rather, if the criteria are met in the
regulations at § 412.92 for SCHs,
§ 412.96 for RRCs, § 412.103 for rural
reclassification, or § 412.108 for MDHs,
the hospital (that is, the main campus
and its remote location(s)) will be
granted the special treatment or rural
reclassification afforded by the
aforementioned regulations.
We stated that, to qualify for rural
reclassification or SCH, RRC, or MDH
status, a hospital with remote locations
must demonstrate that both the main
campus and its remote location(s)
satisfy the relevant qualifying criteria. If
the regulations at § 412.92, § 412.96,
§ 412.103, and § 412.108 require data,
such as bed count, number of
discharges, or case-mix index, for
example, to demonstrate that the
hospital meets the qualifying criteria,
the combined data from the main
campus and its remote location(s) are to
be used.
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For other qualifying criteria set forth
in the regulations at §§ 412.92, 412.96,
412.103, and 412.108 that do not
involve data that can be combined,
specifically qualifying criteria related to
location, mileage, travel time, and
distance requirements, a hospital would
need to demonstrate that the main
campus and its remote location(s) each
independently satisfy those
requirements in order for the entire
hospital, including its remote
location(s), to be reclassified or obtain a
special status.
We refer readers to the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41369
through 41374) for a detailed discussion
of our policies for multicampus
hospitals.
amozie on DSK9F9SC42PROD with PROPOSALS2
E. Proposed Occupational Mix
Adjustment to the FY 2020 Wage Index
As stated earlier, section 1886(d)(3)(E)
of the Act provides for the collection of
data every 3 years on the occupational
mix of employees for each short-term,
acute care hospital participating in the
Medicare program, in order to construct
an occupational mix adjustment to the
wage index, for application beginning
October 1, 2004 (the FY 2005 wage
index). The purpose of the occupational
mix adjustment is to control for the
effect of hospitals’ employment choices
on the wage index. For example,
hospitals may choose to employ
different combinations of registered
nurses, licensed practical nurses,
nursing aides, and medical assistants for
the purpose of providing nursing care to
their patients. The varying labor costs
associated with these choices reflect
hospital management decisions rather
than geographic differences in the costs
of labor.
1. Use of 2016 Medicare Wage Index
Occupational Mix Survey for the FY
2019, FY 2020, and FY 2021 Wage
Indexes
Section 304(c) of the Consolidated
Appropriations Act, 2001 (Pub. L. 106–
554) amended section 1886(d)(3)(E) of
the Act to require CMS to collect data
every 3 years on the occupational mix
of employees for each short-term, acute
care hospital participating in the
Medicare program. We collected data in
2013 to compute the occupational mix
adjustment for the FY 2016, FY 2017,
and FY 2018 wage indexes. As
discussed in the FY 2018 IPPS/LTCH
PPS proposed rule (82 FR 19903) and
final rule (82 FR 38137), a new
measurement of occupational mix (the
2016 survey) was required for FY 2019,
FY 2020, and FY 2021.
The FY 2020 occupational mix
adjustment is based on the calendar year
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(CY) 2016 survey. Hospitals were
required to submit their completed 2016
surveys (Form CMS–10079, OMB
number 0938–0907) to their MACs by
July 3, 2017. The preliminary,
unaudited CY 2016 survey data were
posted on the CMS website on July 12,
2017. As with the Worksheet S–3, Parts
II and III cost report wage data, as part
of the FY 2020 desk review process, the
MACs revised or verified data elements
in hospitals’ occupational mix surveys
that resulted in certain edit failures.
2. Calculation of the Occupational Mix
Adjustment for FY 2020
For FY 2020, we are proposing to
calculate the occupational mix
adjustment factor using the same
methodology that we have used since
the FY 2012 wage index (76 FR 51582
through 51586) and to apply the
occupational mix adjustment to 100
percent of the FY 2020 wage index. As
we explained in section III.D. of the
preamble of this proposed rule, we are
proposing to modify our methodology
with regard to how dollar amounts,
hours, and other numerical values in the
unadjusted and adjusted wage index
calculation are rounded, in order to
ensure consistency in the calculation.
For data that we consider to be ‘‘raw
data,’’ such as the cost report data on
Worksheets S–3, Parts II and III, and the
occupational mix survey data, we are
proposing to use these data ‘‘as is’’, and
not round any of the individual line
items or fields. However, for any dollar
amounts within the wage index
calculations, including any type of
summed wage amount, average hourly
wages, and the national average hourly
wage (both the unadjusted and adjusted
for occupational mix), we are proposing
to round such dollar amounts to 2
decimals. We are proposing to round
any hour amounts within the wage
index calculations to the nearest whole
number. We are proposing to round any
numbers not expressed as dollars or
hours in the wage index calculations,
which could include ratios, percentages,
or inflation factors, to 5 decimals.
However, we are proposing to continue
rounding the actual unadjusted and
adjusted wage indexes to 4 decimals, as
we have done historically.
Similar to the method we use for the
calculation of the wage index without
occupational mix, salaries and hours for
a multicampus hospital are allotted
among the different labor market areas
where its campuses are located. Table 2
associated with this proposed rule
(which is available via the internet on
the CMS website), which contains the
proposed FY 2020 occupational mix
adjusted wage index, includes separate
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Sfmt 4702
wage data for the campuses of
multicampus hospitals. We refer readers
to section III.C. of the preamble of this
proposed rule for a chart listing the
multicampus hospitals and the FTE
percentages used to allot their
occupational mix data.
Because the statute requires that the
Secretary measure the earnings and paid
hours of employment by occupational
category not less than once every 3
years, all hospitals that are subject to
payments under the IPPS, or any
hospital that would be subject to the
IPPS if not granted a waiver, must
complete the occupational mix survey,
unless the hospital has no associated
cost report wage data that are included
in the FY 2020 wage index. For the
proposed FY 2020 wage index, we are
using the Worksheet S–3, Parts II and III
wage data of 3,221 hospitals, and we are
using the occupational mix surveys of
3,119 hospitals for which we also have
Worksheet S–3 wage data, which
represented a ‘‘response’’ rate of 97
percent (3,119/3,221). For the proposed
FY 2020 wage index, we are applying
proxy data for noncompliant hospitals,
new hospitals, or hospitals that
submitted erroneous or aberrant data in
the same manner that we applied proxy
data for such hospitals in the FY 2012
wage index occupational mix
adjustment (76 FR 51586). As a result of
applying this methodology, the
proposed FY 2020 occupational mix
adjusted national average hourly wage is
the following:
Proposed FY 2020 Occupational Mix Adjusted National Average Hourly Wage ..
$43.99
F. Analysis and Implementation of the
Proposed Occupational Mix Adjustment
and the Proposed FY 2020 Occupational
Mix Adjusted Wage Index
As discussed in section III.E. of the
preamble of this proposed rule, for FY
2020, we are proposing to apply the
occupational mix adjustment to 100
percent of the FY 2020 wage index. We
calculated the proposed occupational
mix adjustment using data from the
2016 occupational mix survey data,
using the methodology described in the
FY 2012 IPPS/LTCH PPS final rule (76
FR 51582 through 51586).
The proposed FY 2020 national
average hourly wages for each
occupational mix nursing subcategory
as calculated in Step 2 of the
occupational mix calculation are as
follows. (We note that the average
hourly wage figures are rounded to two
decimal places as we are proposing in
section III.D. of the preamble of this
proposed rule.)
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Occupational mix nursing subcategory
National RN ...............................................
National LPN and Surgical Technician .....
National Nurse Aide, Orderly, and Attendant ..........................................................
National Medical Assistant ........................
National Nurse Category ...........................
Average
hourly
wage
$41.54
24.67
16.95
18.14
34.91
The proposed national average hourly
wage for the entire nurse category is
computed in Step 5 of the occupational
mix calculation. Hospitals with a nurse
category average hourly wage (as
calculated in Step 4) of greater than the
national nurse category average hourly
wage receive an occupational mix
adjustment factor (as calculated in Step
6) of less than 1.0. Hospitals with a
nurse category average hourly wage (as
calculated in Step 4) of less than the
national nurse category average hourly
wage receive an occupational mix
adjustment factor (as calculated in Step
6) of greater than 1.0.
Based on the 2016 occupational mix
survey data, we determined (in Step 7
of the occupational mix calculation) that
the national percentage of hospital
employees in the nurse category is 42
19381
percent, and the national percentage of
hospital employees in the all other
occupations category is 58 percent. At
the CBSA level, the percentage of
hospital employees in the nurse
category ranged from a low of 27
percent in one CBSA to a high of 82
percent in another CBSA.
We compared the FY 2020 proposed
occupational mix adjusted wage indexes
for each CBSA to the proposed
unadjusted wage indexes for each
CBSA. Applying the proposed
occupational mix adjustment to the
wage data resulted in the following:
COMPARISON OF THE FY 2020 PROPOSED OCCUPATIONAL MIX ADJUSTED WAGE INDEXES TO THE PROPOSED
UNADJUSTED WAGE INDEXES BY CBSA
Number of Urban Areas Wage Index Increasing ..................................................................................................................
Number of Rural Areas Wage Index Increasing ...................................................................................................................
Number of Urban Areas Wage Index Increasing by Greater Than or Equal to 1 Percent But Less Than 5 Percent .........
Number of Urban Areas Wage Index Increasing by 5 percent or More ...............................................................................
Number of Rural Areas Wage Index Increasing by Greater Than or Equal to 1 Percent But Less Than 5 percent ...........
Number of Rural Areas Wage Index Increasing by 5 Percent or More ................................................................................
Number of Urban Areas Wage Index Decreasing .................................................................................................................
Number of Rural Areas Wage Index Decreasing ..................................................................................................................
Number of Urban Areas Wage Index Decreasing by Greater Than or Equal to 1 Percent But Less Than 5 percent ........
Number of Urban Areas Wage Index Decreasing by 5 Percent or More .............................................................................
Number of Rural Areas Wage Index Decreasing by Greater Than or Equal to 1 Percent But Less than 5 Percent ..........
Number of Rural Areas Wage Index Decreasing by 5 Percent or More ..............................................................................
Largest Proposed Positive Impact for an Urban Area ..........................................................................................................
Largest Proposed Positive Impact for a Rural Area ..............................................................................................................
Largest Proposed Negative Impact for an Urban Area .........................................................................................................
Largest Proposed Negative Impact for a Rural Area ............................................................................................................
Urban Areas Unchanged by Application of the Proposed Occupational Mix Adjustment ....................................................
Rural Areas Unchanged by Application of the Proposed Occupational Mix Adjustment .....................................................
These results indicate that a larger
percentage of urban areas (56.8 percent)
would benefit from the occupational
mix adjustment than would rural areas
(48.9 percent).
G. Proposed Application of the Rural
Floor, Summary of Expired Imputed
Floor Policy, and Proposed Application
of the State Frontier Floor
amozie on DSK9F9SC42PROD with PROPOSALS2
1. Proposed Rural Floor
Section 4410(a) of Public Law 105–33
provides that, for discharges on or after
October 1, 1997, the area wage index
applicable to any hospital that is located
in an urban area of a State may not be
less than the area wage index applicable
to hospitals located in rural areas in that
State. This provision is referred to as the
‘‘rural floor’’. Section 3141 of Public
Law 111–148 also requires that a
national budget neutrality adjustment be
applied in implementing the rural floor.
Based on the proposed FY 2020 wage
index associated with this proposed rule
(which is available via the internet on
the CMS website) and our proposal, as
discussed in section III.N. of the
preamble of this proposed rule, to
calculate the rural floor without the
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wage data of hospitals that have
reclassified as rural under § 412.103, we
estimated that 166 hospitals would
receive an increase in their FY 2020
proposed wage index due to the
application of the rural floor.
2. Summary of Expired Imputed Floor
Policy
As discussed in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41376
through 41380), the imputed floor under
both the original methodology and the
alternative methodology expired on
September 30, 2018. As such, the wage
index and impact tables associated with
this FY 2020 IPPS/LTCH PPS proposed
rule (which are available on the internet
via the CMS website) do not reflect the
imputed floor policy, and we are not
applying a national budget neutrality
adjustment for the imputed floor for FY
2020. For a complete discussion, we
refer readers to the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41376 through
41380). As discussed in section III.N. of
the preamble of this proposed rule, we
are seeking public comments on
proposals to help address wage index
disparities under the IPPS. We also are
seeking public comments on how the
PO 00000
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Sfmt 4702
233 (56.8 percent).
23 (48.9 percent).
113 (27.6 percent).
7 (1.7 percent).
10 (21.3 percent).
0 (0 percent).
175 (42.7 percent).
24 (51.1 percent).
80 (19.5 percent).
1 (0.2 percent).
7 (14.9 percent).
0 (0 percent).
6.39 percent.
3.82 percent.
5.90 percent.
1.66 percent.
2.
0.
expiration of the imputed floor has
impacted hospitals in FY 2019.
3. Proposed State Frontier Floor for FY
2020
Section 10324 of Public Law 111–148
requires that hospitals in frontier States
cannot be assigned a wage index of less
than 1.0000. (We refer readers to the
regulations at 42 CFR 412.64(m) and to
a discussion of the implementation of
this provision in the FY 2011 IPPS/
LTCH PPS final rule (75 FR 50160
through 50161).) In this FY 2020 IPPS/
LTCH PPS proposed rule, we are not
proposing any changes to the frontier
floor policy for FY 2020. In this
proposed rule, 45 hospitals would
receive the frontier floor value of 1.0000
for their FY 2020 wage index. These
hospitals are located in Montana,
Nevada, North Dakota, South Dakota,
and Wyoming.
The areas affected by the proposed
rural and frontier floor policies for the
proposed FY 2020 wage index are
identified in Table 2 associated with
this proposed rule, which is available
via the internet on the CMS website.
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H. Proposed FY 2020 Wage Index Tables
In the FY 2016 IPPS/LTCH PPS final
rule (80 FR 49498 and 49807 through
49808), we finalized a proposal to
streamline and consolidate the wage
index tables associated with the IPPS
proposed and final rules for FY 2016
and subsequent fiscal years. Prior to FY
2016, the wage index tables had
consisted of 12 tables (Tables 2, 3A, 3B,
4A, 4B, 4C, 4D, 4E, 4F, 4J, 9A, and 9C)
that were made available via the
internet on the CMS website. Effective
beginning FY 2016, with the exception
of Table 4E, we streamlined and
consolidated 11 tables (Tables 2, 3A, 3B,
4A, 4B, 4C, 4D, 4F, 4J, 9A, and 9C) into
2 tables (Tables 2 and 3). As discussed
in the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41380), beginning with FY
2019, we added Table 4 which is titled
and includes a ‘‘List of Counties Eligible
for the Out-Migration Adjustment under
Section 1886(d)(13) of the Act’’ for the
relevant fiscal year. We refer readers to
section VI. of the Addendum to this
proposed rule for a discussion of the
proposed wage index tables for FY 2020.
amozie on DSK9F9SC42PROD with PROPOSALS2
I. Revisions to the Wage Index Based on
Hospital Redesignations and
Reclassifications
1. General Policies and Effects of
Reclassification and Redesignation
Under section 1886(d)(10) of the Act,
the Medicare Geographic Classification
Review Board (MGCRB) considers
applications by hospitals for geographic
reclassification for purposes of payment
under the IPPS. Hospitals must apply to
the MGCRB to reclassify not later than
13 months prior to the start of the fiscal
year for which reclassification is sought
(usually by September 1). Generally,
hospitals must be proximate to the labor
market area to which they are seeking
reclassification and must demonstrate
characteristics similar to hospitals
located in that area. The MGCRB issues
its decisions by the end of February for
reclassifications that become effective
for the following fiscal year (beginning
October 1). The regulations applicable
to reclassifications by the MGCRB are
located in 42 CFR 412.230 through
412.280. (We refer readers to a
discussion in the FY 2002 IPPS final
rule (66 FR 39874 and 39875) regarding
how the MGCRB defines mileage for
purposes of the proximity
requirements.) The general policies for
reclassifications and redesignations and
the policies for the effects of hospitals’
reclassifications and redesignations on
the wage index are discussed in the FY
2012 IPPS/LTCH PPS final rule for the
FY 2012 final wage index (76 FR 51595
and 51596). In addition, in the FY 2012
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IPPS/LTCH PPS final rule, we discussed
the effects on the wage index of urban
hospitals reclassifying to rural areas
under 42 CFR 412.103. Hospitals that
are geographically located in States
without any rural areas are ineligible to
apply for rural reclassification in
accordance with the provisions of 42
CFR 412.103.
On April 21, 2016, we published an
interim final rule with comment period
(IFC) in the Federal Register (81 FR
23428 through 23438) that included
provisions amending our regulations to
allow hospitals nationwide to have
simultaneous § 412.103 and MGCRB
reclassifications. For reclassifications
effective beginning FY 2018, a hospital
may acquire rural status under § 412.103
and subsequently apply for a
reclassification under the MGCRB using
distance and average hourly wage
criteria designated for rural hospitals. In
addition, we provided that a hospital
that has an active MGCRB
reclassification and is then approved for
redesignation under § 412.103 will not
lose its MGCRB reclassification; such a
hospital receives a reclassified urban
wage index during the years of its active
MGCRB reclassification and is still
considered rural under section 1886(d)
of the Act and for other purposes.
We discussed that when there is both
a § 412.103 redesignation and an
MGCRB reclassification, the MGCRB
reclassification controls for wage index
calculation and payment purposes. We
exclude hospitals with § 412.103
redesignations from the calculation of
the reclassified rural wage index if they
also have an active MGCRB
reclassification to another area. That is,
if an application for urban
reclassification through the MGCRB is
approved, and is not withdrawn or
terminated by the hospital within the
established timelines, we consider the
hospital’s geographic CBSA and the
urban CBSA to which the hospital is
reclassified under the MGCRB for the
wage index calculation. We refer readers
to the April 21, 2016 IFC (81 FR 23428
through 23438) and the FY 2017 IPPS/
LTCH PPS final rule (81 FR 56922
through 56930) for a full discussion of
the effect of simultaneous
reclassifications under both the
§ 412.103 and the MGCRB processes on
wage index calculations.
2. MGCRB Reclassification and
Redesignation Issues for FY 2020
a. FY 2020 Reclassification Application
Requirements and Approvals
As previously stated, under section
1886(d)(10) of the Act, the MGCRB
considers applications by hospitals for
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geographic reclassification for purposes
of payment under the IPPS. The specific
procedures and rules that apply to the
geographic reclassification process are
outlined in regulations under 42 CFR
412.230 through 412.280.
At the time this proposed rule was
constructed, the MGCRB had completed
its review of FY 2020 reclassification
requests. Based on such reviews, there
are 357 hospitals approved for wage
index reclassifications by the MGCRB
starting in FY 2020. Because MGCRB
wage index reclassifications are
effective for 3 years, for FY 2020,
hospitals reclassified beginning in FY
2018 or FY 2019 are eligible to continue
to be reclassified to a particular labor
market area based on such prior
reclassifications for the remainder of
their 3-year period. There were 332
hospitals approved for wage index
reclassifications in FY 2018 that will
continue for FY 2020, and 274 hospitals
approved for wage index
reclassifications in FY 2019 that will
continue for FY 2020. Of all the
hospitals approved for reclassification
for FY 2018, FY 2019, and FY 2020,
based upon the review at the time of
this proposed rule, 963 hospitals are in
a MGCRB reclassification status for FY
2020 (with 32 of these hospitals
reclassified back to their geographic
location).
Under the regulations at 42 CFR
412.273, hospitals that have been
reclassified by the MGCRB are
permitted to withdraw their
applications if the request for
withdrawal is received by the MGCRB
any time before the MGCRB issues a
decision on the application, or after the
MGCRB issues a decision, provided the
request for withdrawal is received by
the MGCRB within 45 days of the date
that CMS’ annual notice of proposed
rulemaking is issued in the Federal
Register concerning changes to the
inpatient hospital prospective payment
system and proposed payment rates for
the fiscal year for which the application
has been filed. For information about
withdrawing, terminating, or canceling
a previous withdrawal or termination of
a 3-year reclassification for wage index
purposes, we refer readers to § 412.273,
as well as the FY 2002 IPPS final rule
(66 FR 39887 through 39888) and the FY
2003 IPPS final rule (67 FR 50065
through 50066). Additional discussion
on withdrawals and terminations, and
clarifications regarding reinstating
reclassifications and ‘‘fallback’’
reclassifications were included in the
FY 2008 IPPS final rule (72 FR 47333)
and the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38148 through 38150).
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Changes to the wage index that result
from withdrawals of requests for
reclassification, terminations, wage
index corrections, appeals, and the
Administrator’s review process for FY
2020 will be incorporated into the wage
index values published in the FY 2020
IPPS/LTCH PPS final rule. These
changes affect not only the wage index
value for specific geographic areas, but
also the wage index value that
redesignated/reclassified hospitals
receive; that is, whether they receive the
wage index that includes the data for
both the hospitals already in the area
and the redesignated/reclassified
hospitals. Further, the wage index value
for the area from which the hospitals are
redesignated/reclassified may be
affected.
Applications for FY 2021
reclassifications (OMB control number
0938–0573) are due to the MGCRB by
September 3, 2019 (the first working day
of September 2019). We note that this is
also the deadline for canceling a
previous wage index reclassification
withdrawal or termination under 42
CFR 412.273(d). Applications and other
information about MGCRB
reclassifications may be obtained
beginning in mid-July 2019, via the
internet on the CMS website at: https://
www.cms.gov/Regulations-andGuidance/Review-Boards/MGCRB/
index.html, or by calling the MGCRB at
(410) 786–1174.
b. Proposed Elimination of Copy
Requirement to CMS
Under regulations in effect prior to FY
2018 (42 CFR 412.256(a)(1)),
applications for reclassification were
required to be mailed or delivered to the
MGCRB, with a copy to CMS, and were
not allowed to be submitted through the
facsimile (FAX) process or by other
electronic means. Because we believed
this previous policy was outdated and
overly restrictive and to promote ease of
application for FY 2018 and subsequent
years, in the FY 2017 IPPS/LTCH PPS
final rule (81 FR 56928), we revised this
policy to require applications and
supporting documentation to be
submitted via the method prescribed in
instructions by the MGCRB, with an
electronic copy to CMS.
Beginning with applications from
hospitals to reclassify for FY 2020, the
MGCRB requires applications,
supporting documents, and subsequent
correspondence to be filed
electronically through the MGCRB
module of the Office of Hearings Case
and Document Management System
(‘‘OH CDMS’’). Also, the MGCRB issues
all of its notices and decisions via email
and these documents are accessible
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electronically through OH CDMS.
Registration instructions and the system
user manual are available at: https://
www.cms.gov/Regulations-andGuidance/Review-Boards/MGCRB/
Electronic-Filing.html.
Filing a reclassification application
using OH CDMS entails completing
required fields electronically and
uploading supporting documentation.
We believe that the requirement for
hospitals to submit a copy of the
application to CMS would now require
hospitals to compile their application
information in a different format than
what is required by the MGCRB, which
would result in additional burden for
hospitals. Furthermore, we believe that
CMS can forgo the copy of applications
provided by hospitals because the
MGCRB’s electronic module will
facilitate CMS’ verification of
reclassification statuses during the wage
index development process. Therefore,
we are proposing to reduce burden for
hospitals by eliminating the
requirement to copy CMS. Specifically,
we are proposing to revise
§ 412.256(a)(1) to delete the requirement
that an electronic copy of the
application be sent to CMS, so that this
section would specify that an
application must be submitted to the
MGCRB according to the method
prescribed by the MGCRB.
c. Proposed Revision To Clarify Criteria
for a Hospital Seeking Reclassification
to Another Rural Area or Urban Area
Section 412.230(a)(4) of our
regulations currently specifies that the
rounding of numbers to meet certain
mileage or qualifying percentage
standards is not permitted when an
individual hospital seeks wage index
reclassification through the MGCRB. In
this section, the regulation specifically
cites paragraphs (b)(1), (b)(2), (d)(1)(iii),
and (d)(1)(iv)(A) and (B). The qualifying
percentage standards included in these
paragraphs have been periodically
updated, and additional paragraphs
have been added in § 412.230 to reflect
these changes. Specifically, paragraphs
(d)(1)(iv)(C), (D), and (E) have been
added to § 412.230 to reflect changes in
the percentage standards implemented
in FY 2002, FY 2010, and FY 2011,
respectively. Although we have
continued to apply the policy set forth
at § 412.230(a)(4) to the updated
percentage standards set forth in
paragraphs (d)(1)(iv)(C), (D), and (E) in
§ 412.230, conforming changes to
§ 412.230(a)(4) were not made to reflect
these new paragraphs. This oversight
has caused some confusion. Therefore,
we are proposing to revise
§ 412.230(a)(4) to clarify that the policy
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prohibiting the rounding of qualifying
percentage standards applies to
paragraphs (d)(1)(iv)(C), (D), and (E) in
§ 412.230. Specifically, we are
proposing to remove specific references
to paragraphs (d)(1)(iv)(A) and (B) and
instead cite paragraph (d)(1)(iv) as a
more general reference to the specific
standards.
3. Redesignations Under Section
1886(d)(8)(B) of the Act
a. Lugar Status Determinations
In the FY 2012 IPPS/LTCH PPS final
rule (76 FR 51599 through 51600), we
adopted the policy that, beginning with
FY 2012, an eligible hospital that waives
its Lugar status in order to receive the
out-migration adjustment has effectively
waived its deemed urban status and,
thus, is rural for all purposes under the
IPPS effective for the fiscal year in
which the hospital receives the outmigration adjustment. In addition, in
that rule, we adopted a minor
procedural change that would allow a
Lugar hospital that qualifies for and
accepts the out-migration adjustment
(through written notification to CMS
within 45 days from the publication of
the proposed rule) to waive its urban
status for the full 3-year period for
which its out-migration adjustment is
effective. By doing so, such a Lugar
hospital would no longer be required
during the second and third years of
eligibility for the out-migration
adjustment to advise us annually that it
prefers to continue being treated as rural
and receive the out-migration
adjustment. In the FY 2017 IPPS/LTCH
PPS final rule (81 FR 56930), we further
clarified that if a hospital wishes to
reinstate its urban status for any fiscal
year within this 3-year period, it must
send a request to CMS within 45 days
of publication of the proposed rule for
that particular fiscal year. We indicated
that such reinstatement requests may be
sent electronically to wageindex@
cms.hhs.gov. In the FY 2018 IPPS/LTCH
PPS final rule (82 FR 38147 through
38148), we finalized a policy revision to
require a Lugar hospital that qualifies
for and accepts the out-migration
adjustment, or that no longer wishes to
accept the out-migration adjustment and
instead elects to return to its deemed
urban status, to notify CMS within 45
days from the date of public display of
the proposed rule at the Office of the
Federal Register. These revised
notification timeframes were effective
beginning October 1, 2017. In addition,
in the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38148), we clarified that
both requests to waive and to reinstate
‘‘Lugar’’ status may be sent to
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wageindex@cms.hhs.gov. To ensure
proper accounting, we request hospitals
to include their CCN, and either ‘‘waive
Lugar’’ or ‘‘reinstate Lugar’’, in the
subject line of these requests.
b. Clarification Regarding Accepting the
Out-Migration Adjustment When the
Outmigration Adjustment Changes After
Reclassification
Section 1886(d)(8)(B) of the Act
provides that for purposes a
reclassification under this subsection,
the Secretary shall treat a hospital
located in a rural county adjacent to one
or more urban areas as being located in
the urban metropolitan statistical area to
which the greatest number of workers in
the county commute if certain criteria
are met. Rural hospitals in these
counties are commonly known as
‘‘Lugar’’ hospitals. This statutory
provision specifies that Lugar status is
mandatory (not optional) if the statutory
criteria are met. However, as discussed
in the FY 2012 IPPS/LTCH PPS
proposed and final rules (76 FR 25885
through 25886 and 51599), Lugar
hospitals located in counties that
qualify for the out-migration adjustment
are required to waive their Lugar urban
status in its entirety in order to receive
the out-migration adjustment. We stated
our belief that this represents one
permissible reading of the statute, given
that section 1886(d)(13)(G) of the Act
states that a hospital in a county that
has an out-migration adjustment and
that has not waived that adjustment
under section 1886(d)(13)(F) of the Act
is not eligible for reclassification under
section 1886(d)(8) or (10) of the Act.
Therefore, a hospital may opt to receive
either its county’s out-migration
adjustment or the wage index
determined by its Lugar reclassification.
We have become aware of a potential
issue with the current election process
that requires further clarification. As
discussed in the following section, the
out-migration adjustment is calculated
to provide a positive adjustment to the
wage index for hospitals located in
certain counties that have a relatively
high percentage of hospital employees
who reside in the county but work in a
different county (or counties) with a
higher wage index. When a county is
determined to qualify for an outmigration adjustment, the final
adjustment value is determined in
accordance with section 1886(d)(13)(D)
of the Act and is fixed by statute for a
3-year period under section
1886(d)(13)(F) of the Act. CMS performs
an annual analysis to evaluate all
counties without current out-migration
adjustment values assigned, including
counties where the out-migration
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adjustment value will be expiring after
a 3-year period. Initial out-migration
adjustment values are published in
Table 4 associated with the IPPS
proposed and final rules (which are
available via the internet on the CMS
website). Due to various factors,
including hospitals withdrawing or
terminating MGCRB reclassifications,
obtaining § 412.103 rural
reclassifications, or corrections to
hospital wage data, the amount of newly
proposed (1st year) out-migration
adjustment values may fluctuate
between the proposed rule and the final
rule (and subsequent correction
notices). These fluctuations are typically
minimal. However, in certain
circumstances, after processing varying
forms of reclassification, wage index
values may change so that a county
would no longer qualify for an outmigration adjustment. In particular,
when changes in wage index
reclassification status alter the State
rural floor so that multiple CBSAs
would be assigned the same wage index
value, an out-migration adjustment may
no longer be indicated for a county as
there would be little, if any, differential
in nearby wage index values. This can
lead to a situation where a hospital has
opted to receive a non-existent outmigration adjustment. We believe this
situation is not compatible with
longstanding CMS policy preventing a
hospital from waiving its deemed urban
Lugar status outside the prescribed outmigration adjustment election process
described above. Section 1886(d)(13)(G)
of the Act specifies that a hospital in a
county that has a wage index increase
under section 1886(d)(13)(F) of the Act
(the out-migration adjustment) and that
has not waived such increase under
section 1886(d)(13)(F) of the Act is not
eligible for reclassification under
section 1886(d)(8) or (10) of the Act
during that period. If there is no outmigration adjustment available to
provide a wage index increase, the fact
pattern for which CMS established the
process for a hospital to opt to receive
a county out-migration adjustment in
lieu of its ‘‘Lugar’’ reclassification no
longer applies, and the hospital must be
assigned its deemed urban status.
Therefore, we are clarifying that, in
circumstances where an eligible
hospital elects to receive the outmigration adjustment within 45 days of
the public display date of the proposed
rule at the Office of the Federal Register
in lieu of its Lugar wage index
reclassification, and the county in
which the hospital is located would no
longer qualify for an out-migration
adjustment when the final rule (or a
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subsequent correction notice) wage
index calculations are completed, the
hospital’s request to accept the outmigration adjustment would be denied,
and the hospital would be automatically
assigned to its deemed urban status
under section 1886(d)(8)(B) of the Act.
Final rule wage index values would be
recalculated to reflect this
reclassification, and in some instances,
after taking into account this
reclassification, the out-migration
adjustment for the county in question
could be restored in the final rule.
However, as the hospital is assigned a
Lugar reclassification under section
1886(d)(8)(B) of the Act, it would be
ineligible to receive the county outmigration adjustment under section
1886(d)(13)(G) of the Act. Because the
out-migration adjustment, once
finalized, is locked for a 3-year period
under section 1886(d)(13)(F) of the Act,
the hospital would be eligible to accept
its out-migration adjustment in either
the second or third year.
c. Proposed Change to Lugar County
Assignments
Section 1886(d)(8)(B) of the Act
establishes a wage index reclassification
process by which the Secretary is
required to treat a hospital located in a
rural county adjacent to one or more
urban areas as being located in the
urban metropolitan statistical area
(MSA), or core based statistical area
(CBSA), to which the greatest number of
workers in the county commute if
certain criteria are met. Rural hospitals
in these counties are known as ‘‘Lugar’’
hospitals and the counties themselves
are often referred to as ‘‘Lugar’’
counties. These Lugar counties are not
located in any urban area, but are
adjacent to two or more urban CBSAs.
In determining whether a county
qualifies as a Lugar county, sections
1886(d)(8)(B)(i) and (ii) of the Act
require us to use the standards for
designating MSAs published in the
Federal Register by OMB based on the
most recent available decennial
population data. Based on OMB
definitions (75 FR 37246 through
37252), a CBSA is composed of
‘‘central’’ counties and ‘‘outlying’’
counties. While ‘‘central’’ counties meet
certain population density requirements
and other urban characteristics, a
county qualifies as an ‘‘outlying’’ county
of a CBSA if it meets one of the
following commuting requirements: (a)
At least 25 percent of the workers living
in the county work in the central county
or counties of the CBSA; or (b) at least
25 percent of the employment in the
county is accounted for by workers who
reside in the central county or counties
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of the CBSA. Given the OMB standards
above, when a county is located
between two or more urban centers,
these ‘‘central’’ county commuting
patterns may be split between two or
more CBSAs, and the 25-percent
thresholds to qualify as an outlying
county for any single CBSA may not be
met. In such situations, the county
would be considered rural according to
CMS, based on the OMB definitions
above, as it would not be part of an
urban CBSA. Section 1886(d)(8)(B) of
the Act addresses this issue where a
county would have qualified as an
outlying urban county if all its central
county commuting data to adjacent
urban CBSAs were combined.
Specifically, section 1886(d)(8)(B)(i) of
the Act requires CMS to consider a rural
county to be part of an adjacent CBSA
if the rural county would otherwise be
considered part of an urban area under
the OMB standards for designating
MSAs if the commuting rates used in
determining outlying counties were
determined on the basis of the aggregate
number of resident workers who
commute to (and, if applicable under
the standards, from) the central county
or counties of all contiguous MSAs.
Section 1886(d)(8)(B)(i) further requires
CMS to assign these Lugar counties to
the CBSA to which the greatest number
of workers in the county commute.
Since the implementation of section
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1886(d)(8)(B) of the Act for discharges
occurring after October 1, 1988, CMS’
policy has been that, once a county
qualifies as Lugar, the proper
methodology for determining the CBSA
to which the greatest number of workers
in the county commute should be based
on the same OMB dataset used to
determine whether a county qualifies as
an ‘‘outlying’’ county of a CBSA. These
data are a summary of commuting
patterns between the non-central county
being evaluated and the ‘‘central’’
county or counties of an urban
metropolitan area (without taking into
account outlying counties). Section
1886(d)(8)(B) of the Act clearly instructs
CMS to use the OMB criteria for
determining ‘‘outlying’’ counties when
determining the list of qualifying Lugar
counties. These criteria are limited to
assessing commuting patterns to and
from central counties. Further, we do
not believe the statute requires that CMS
perform an additional and separate
community analysis, taking into account
outlying counties, to determine to
which CBSA a Lugar county should be
assigned. When CMS updated the OMB
labor market delineations based on 2010
decennial census in FY 2015, we were
made aware that a hospital in
Henderson County, TX (a Lugar county)
disagreed with CMS’ interpretation of
the statute. In particular, the hospital
stated that section 1886(d)(8)(B)(i) of the
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19385
Act requires that CMS assign a qualified
Lugar county to ‘‘the urban metropolitan
statistical area to which the greatest
number of workers in the county
commute,’’ and that this instruction
does not distinguish between an urban
CBSA’s central counties and outlying
counties. The hospital claimed that the
assignment of a Lugar county to a CBSA
should not be based solely on
commuting data and commuting
patterns to and from the central county
or counties of a CBSA, but should
consider outlying counties as well.
After consideration of this matter, we
continue to believe that CMS’
methodology is a reasonable
interpretation of the statute. However,
upon further consideration and analysis,
we have determined that the Henderson,
TX hospital’s interpretation of section
1886(d)(8)(B) of the Act is a reasonable
alternative. After reanalyzing the
commuting data used when developing
the FY 2015 IPPS/LTCH PPS final rule
(the American Community Survey
commuting data for 2006–2010), we
identified 10 instances where a rural
county would have been assigned to a
different CBSA if we had considered
outlying counties in our analysis of the
urban metropolitan statistical area to
which the greatest number of workers in
the county commute, as shown in the
table below.
BILLING CODE 4120–01–P
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03MYP2
counties. After further consideration of
this issue, we believe that inclusion of
outlying counties in the commuting
analysis for purposes of assigning
counties that qualify as Lugar counties
(the second step of the Lugar analysis),
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commuting analysis, the analysis
suggests that generally (but not always)
the revised CBSA assignment would be
to a larger CBSA, which would be
expected as larger CBSAs generally
include a greater number of ‘‘outlying’’
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Lugar
County
Name
Cleburne
Talladega
Polk
Pearl River
Champaign
Susquehanna
Lee
Grimes
Henderson
Madison
Lugar
FIPS
Current
County County Lugar
State
CBSA
Code
Current CBSA Name
Anniston-Oxford-Jacksonville,
AL
Anniston-Oxford-Jacksonville,
AL
AL
01029
11500
AL
01121
11500
GA
13233
40660
MS
OH
28109
39021
25060
44220
Rome, GA
Gulfport-Biloxi-Pascagoula,
MS
Springfield, OH
PA
sc
42115
45061
13780
44940
Binghamton, NY
Sumter, SC
TX
TX
48185
48213
17780
46340
College Station-Bryan, TX
Tyler, TX
VA
51113
16820
Charlottesville, VA
Proposed
Lugar
CBSA
12060
13820
12060
35380
18140
42540
17900
26420
19124
47894
Proposed CBSA N arne
Atlanta-Sandy Springs-Roswell,
GA
Birmingham-Hoover, AL
Atlanta-Sandy Springs-Roswell,
GA
New Orleans-Metairie, LA
Columbus, OH
Scranton--Wilkes-Barre--Hazleton,
PA
Columbia, SC
Houston-The Woodlands-Sugar
Land, TX
Dallas-Plano-Irving, TX
Washington-Arlington-Alexandria,
DC-VA-MD-WV
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Of these 10 counties, currently only 3
counties (Talladega, AL, Pearl River,
MS, and Henderson, TX) contain IPPS
hospitals (4 hospitals in total). When
including ‘‘outlying’’ counties in the
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although not unambiguously required
by statute, is a reasonable, and arguably
more natural, reading of the language in
section 1886(d)(8)(B)(i) of the Act.
Accordingly, we are proposing to
modify the assigned CBSA for the 10
Lugar counties specified in the table
above for FY 2020. We also plan to fully
reevaluate this proposed policy and
underlying methodologies, if finalized,
when CMS updates Lugar county
assignments, which typically occurs
after OMB labor market delineations are
updated in response to the next
decennial census.
J. Proposed Out-Migration Adjustment
Based on Commuting Patterns of
Hospital Employees
In accordance with section
1886(d)(13) of the Act, as added by
section 505 of Public Law 108–173,
beginning with FY 2005, we established
a process to make adjustments to the
hospital wage index based on
commuting patterns of hospital
employees (the ‘‘out-migration’’
adjustment). The process, outlined in
the FY 2005 IPPS final rule (69 FR
49061), provides for an increase in the
wage index for hospitals located in
certain counties that have a relatively
high percentage of hospital employees
who reside in the county but work in a
different county (or counties) with a
higher wage index.
Section 1886(d)(13)(B) of the Act
requires the Secretary to use data the
Secretary determines to be appropriate
to establish the qualifying counties.
When the provision of section
1886(d)(13) of the Act was implemented
for the FY 2005 wage index, we
analyzed commuting data compiled by
the U.S. Census Bureau that were
derived from a special tabulation of the
2000 Census journey-to-work data for all
industries (CMS extracted data
applicable to hospitals). These data
were compiled from responses to the
‘‘long-form’’ survey, which the Census
Bureau used at that time and which
contained questions on where residents
in each county worked (69 FR 49062).
However, the 2010 Census was ‘‘short
form’’ only; information on where
residents in each county worked was
not collected as part of the 2010 Census.
The Census Bureau worked with CMS to
provide an alternative dataset based on
the latest available data on where
residents in each county worked in
2010, for use in developing a new outmigration adjustment based on new
commuting patterns developed from the
2010 Census data beginning with FY
2016.
To determine the out-migration
adjustments and applicable counties for
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FY 2016, we analyzed commuting data
compiled by the Census Bureau that
were derived from a custom tabulation
of the American Community Survey
(ACS), an official Census Bureau survey,
utilizing 2008 through 2012 (5-year)
Microdata. The data were compiled
from responses to the ACS questions
regarding the county where workers
reside and the county to which workers
commute. As we discussed in the FYs
2016, 2017, 2018, and 2019 IPPS/LTCH
PPS final rules (80 FR 49501, 81 FR
56930, 82 FR 38150, and 83 FR 41384,
respectively), the same policies,
procedures, and computation that were
used for the FY 2012 out-migration
adjustment were applicable for FYs
2016 through 2019, and we are
proposing to use them again for FY
2020. We have applied the same
policies, procedures, and computations
since FY 2012, and we believe they
continue to be appropriate for FY 2020.
We refer readers to the FY 2016 IPPS/
LTCH PPS final rule (80 FR 49500
through 49502) for a full explanation of
the revised data source.
For FY 2020, the out-migration
adjustment will continue to be based on
the data derived from the custom
tabulation of the ACS utilizing 2008
through 2012 (5-year) Microdata. For
future fiscal years, we may consider
determining out-migration adjustments
based on data from the next Census or
other available data, as appropriate. For
FY 2020, we are not proposing any
changes to the methodology or data
source that we used for FY 2016 (81 FR
25071). (We refer readers to a full
discussion of the out-migration
adjustment, including rules on deeming
hospitals reclassified under section
1886(d)(8) or section 1886(d)(10) of the
Act to have waived the out-migration
adjustment, in the FY 2012 IPPS/LTCH
PPS final rule (76 FR 51601 through
51602).)
Table 2 associated with this proposed
rule (which is available via the internet
on the CMS website) includes the
proposed out-migration adjustments for
the FY 2020 wage index. In addition, as
discussed in the FY 2019 IPPS/LTCH
PPS proposed rule (83 FR 20367), we
have added a Table 4, ‘‘List of Counties
Eligible for the Out-Migration
Adjustment under Section 1886(d)(13)
of the Act.’’ For this proposed rule,
Table 4 consists of the following: A list
of counties that would be eligible for the
out-migration adjustment for FY 2020
identified by FIPS county code, the
proposed FY 2020 out-migration
adjustment, and the number of years the
adjustment would be in effect. We
believe this table makes this information
more transparent and provides the
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19387
public with easier access to this
information. We note that we intend to
make the information available annually
via Table 4 associated with the IPPS/
LTCH PPS proposed and final rules, and
are including it among the tables
associated with this FY 2020 IPPS/
LTCH PPS proposed rule that are
available via the internet on the CMS
website.
K. Reclassification From Urban to Rural
Under Section 1886(d)(8)(E) of the Act,
Implemented at 42 CFR 412.103
1. Application for Rural Status and
Lock-In Date
Under section 1886(d)(8)(E) of the
Act, a qualifying prospective payment
hospital located in an urban area may
apply for rural status for payment
purposes separate from reclassification
through the MGCRB. Specifically,
section 1886(d)(8)(E) of the Act provides
that, not later than 60 days after the
receipt of an application (in a form and
manner determined by the Secretary)
from a subsection (d) hospital that
satisfies certain criteria, the Secretary
shall treat the hospital as being located
in the rural area (as defined in
paragraph (2)(D)) of the State in which
the hospital is located. We refer readers
to the regulations at 42 CFR 412.103 for
the general criteria and application
requirements for a subsection (d)
hospital to reclassify from urban to rural
status in accordance with section
1886(d)(8)(E) of the Act. The FY 2012
IPPS/LTCH PPS final rule (76 FR 51595
through 51596) includes our policies
regarding the effect of wage data from
reclassified or redesignated hospitals.
Hospitals must meet the criteria to be
reclassified from urban to rural status
under § 412.103, as well as fulfill the
requirements for the application
process. There may be one or more
reasons that a hospital applies for the
urban to rural reclassification, and the
timeframe that a hospital submits an
application is often dependent on those
reason(s). Because the wage index is
part of the methodology for determining
the prospective payments to hospitals
for each fiscal year, we stated in the FY
2017 IPPS/LTCH PPS final rule (81 FR
56931) that we believed there should be
a definitive timeframe within which a
hospital should apply for rural status in
order for the reclassification to be
reflected in the next Federal fiscal year’s
wage data used for setting payment
rates.
Therefore, after notice of proposed
rulemaking and consideration of public
comments, in the FY 2017 IPPS/LTCH
PPS final rule (81 FR 56931 through
56932), we revised § 412.103(b) by
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adding paragraph (6) to specify that, in
order for a hospital to be treated as rural
in the wage index and budget neutrality
calculations under §§ 412.64(e)(1)(ii),
(e)(2), (e)(4), and (h) for payment rates
for the next Federal fiscal year, the
hospital’s filing date (the lock-in date)
must be no later than 70 days prior to
the second Monday in June of the
current Federal fiscal year and the
application must be approved by the
CMS Regional Office in accordance with
the requirements of § 412.103.
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41384 through 41386), we
changed the lock-in date to provide for
additional time in the ratesetting
process and to match the lock-in date
with another existing deadline, the
usual public comment deadline for the
IPPS proposed rule. We revised
§ 412.103(b)(6) to specify that, in order
for a hospital to be treated as rural in the
wage index and budget neutrality
calculations under §§ 412.64(e)(1)(ii),
(e)(2), (e)(4), and (h) for payment rates
for the next Federal fiscal year, the
hospital’s application must be approved
by the CMS Regional Office in
accordance with the requirements of
§ 412.103 no later than 60 days after the
public display date at the Office of the
Federal Register of the IPPS proposed
rule for the next Federal fiscal year.
The lock-in date does not affect the
timing of payment changes occurring at
the hospital-specific level as a result of
reclassification from urban to rural
under § 412.103. As we discussed in the
FY 2017 IPPS/LTCH PPS final rule (81
FR 56931) and the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41385 through
41386), this lock-in date also does not
change the current regulation that
allows hospitals that qualify under
§ 412.103(a) to request, at any time
during a cost reporting period, to
reclassify from urban to rural. A
hospital’s rural status and claims
payment reflecting its rural status
continue to be effective on the filing
date of its reclassification application,
which is the date the CMS Regional
Office receives the application, in
accordance with § 412.103(d). The
hospital’s IPPS claims will be paid
reflecting its rural status beginning on
the filing date (the effective date) of the
reclassification, regardless of when the
hospital applies.
2. Proposed Change to the Regulations
To Allow for Electronic Submission of
Applications for Reclassification From
Urban to Rural Status
The application requirements at
§ 412.103(b)(3) for reclassification from
urban to rural status currently state that
an application must be mailed to the
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CMS Regional Office by the requesting
hospital and may not be submitted by
facsimile or other electronic means. We
believe that this policy is outdated and
overly restrictive. In the interest of
burden reduction and to promote ease of
application, in this proposed rule, we
are proposing to eliminate the
restriction on submitting an application
by facsimile or other electronic means
so that hospitals may also submit
applications to the CMS Regional Office
electronically. Accordingly, we are
proposing to revise § 412.103(b)(3) to
allow a requesting hospital to submit an
application to the CMS Regional Office
by mail or by facsimile or other
electronic means.
3. Proposed Changes to Cancellation
Requirements for Rural Reclassifications
Under current regulations at
§ 412.103(g)(1), hospitals, other than
those hospitals that are rural referral
centers (RRCs), may cancel a rural
reclassification by submitting a written
request to the CMS Regional Office not
less than 120 days before the end of its
current cost reporting period, effective
beginning with the next full cost
reporting period. Under the current
regulations at § 412.103(g)(2), a hospital
that was classified as an RRC under
§ 412.96 based on rural reclassification
under § 412.103 may cancel its rural
reclassification by submitting a written
request to the CMS Regional Office not
less than 120 days prior to the end of
the Federal fiscal year and after being
paid as rural for at least one 12-month
cost reporting period. The RRC’s
cancellation of a § 412.103 rural
reclassification is not effective until it
has been paid as rural for at least one
12-month cost reporting period, and not
until the beginning of the Federal fiscal
year following both the request for
cancellation and the 12-month cost
reporting period.
In this proposed rule, we are
proposing to revise the rural
reclassification cancellation
requirements at § 412.103(g) for
hospitals classified as RRCs. Currently,
§ 412.103(g)(2) requires that, for a
hospital that has been classified as an
RRC based on rural reclassification
under § 412.103, cancellation of a
§ 412.103 rural reclassification is not
effective until the hospital that is
classified as an RRC has been paid as
rural for at least one 12-month cost
reporting period, and not until the
beginning of the Federal fiscal year
following both the request for
cancellation and the 12-month cost
reporting period. We stated in the FY
2008 IPPS final rule (72 FR 47371
through 47373) that the goal of creating
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this minimum time period was to
disincentivize hospitals from receiving a
rural redesignation, obtaining RRC
status to take advantage of special
MGCRB reclassification rules, and then
terminating their rural status. However,
as suggested by a commenter in
response to the April 22, 2016 interim
final rule with comment period (81 FR
56926), this disincentive is no longer
necessary now that hospitals can have
simultaneous MGCRB and § 412.103
reclassifications. Accordingly, in this
proposed rule, we are proposing to
revise § 412.103(g)(2)(iii) to specify that
the provisions set forth at
§ 412.103(g)(2)(i) and (ii) are effective
for all written requests submitted by
hospitals on or after October 1, 2007 and
before October 1, 2019 to cancel rural
reclassifications. Therefore, the
reclassification cancellation
requirements specific to RRCs at
§ 412.103(g)(2) would no longer apply
for cancellation requests submitted on
or after October 1, 2019. In addition, as
further discussed below, we are
proposing to revise § 412.103(g) to
include uniform reclassification
cancellation requirements that would be
applied to all hospitals effective for
cancellation requests submitted on or
after October 1, 2019.
As further discussed below, we are
proposing to revise the regulations at
§ 412.103(g) to set forth uniform
requirements applicable to all hospitals
for cancelling rural reclassifications.
Currently, for non-RRCs, the
cancellation of rural status is effective
beginning with the hospital’s next cost
reporting period. A hospital that has a
§ 412.103 rural reclassification and that
does not have an additional MGCRB or
‘‘Lugar’’ reclassification is assigned the
rural wage index value for its State.
Because wage index values are
determined and assigned to hospitals on
a Federal fiscal year basis, when such an
aforementioned hospital cancels its
rural reclassification, the wage index
value must be manually updated by the
MAC to its appropriate urban wage
index value. Because the end dates of
cost reporting periods vary among
hospitals, this process can be
cumbersome and some cancellation
requests may not be processed in time
to be accurately reflected in the IPPS
final rule appendix tables. Because there
is no apparent advantage to continuing
to link the rural reclassification
cancellation date to a hospital’s cost
reporting period, we believe that, in the
interests of reducing overall complexity
and administrative burden, the
cancellation of rural reclassification
should be effective for all hospitals
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beginning with the next Federal fiscal
year (that is, the Federal fiscal year
following the cancellation request). In
addition, similar to the current
requirements at § 412.103(g)(2), we
believe it would be appropriate to
require hospitals to request cancellation
not less than 120 days prior to the end
of a Federal fiscal year. We believe this
proposed 120-day timeframe would
provide hospitals adequate time to
assess and review reclassification
options, and provide CMS adequate
time to incorporate the cancellation in
the wage index development process.
As discussed in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41384 through
41386), we finalized a lock-in date for
a new rural reclassification to be
approved in order for a hospital to be
treated as rural in the wage index and
budget neutrality calculations under
§§ 412.64(e)(1)(ii), (e)(2), (e)(4), and (h)
for payment rates for the next Federal
fiscal year. We considered using this
deadline, which is 60 days after the
public display date at the Office of the
Federal Register of the IPPS proposed
rule for the next Federal fiscal year, as
the deadline to submit cancellation
requests effective for the next Federal
fiscal year as well. While we see certain
advantages with aligning various wage
index deadlines to the same date, based
on the public display date of the
proposed rule, we believe the proposed
deadline of not less than 120 days prior
to the end of the Federal fiscal year
would give hospitals adequate time to
assess and review reclassification
options, and CMS adequate time to
incorporate the cancellation in the wage
index and budget neutrality calculations
under §§ 412.64(e)(1)(ii), (e)(2), (e)(4),
and (h) for payment rates for the next
Federal fiscal year. In addition, this
proposed 120-day deadline is already
familiar to many hospitals because it is
similar to the current deadline under
§ 412.103(g)(2), and therefore, we
believe implementation of the proposed
deadline may pose less of a burden
overall for many hospitals. For these
reasons, we are proposing to add
paragraph (g)(3) to § 412.103 to specify
that, for all written requests submitted
by hospitals on or after October 1, 2019
to cancel rural reclassifications, a
hospital may cancel its rural
reclassification by submitting a written
request to the CMS Regional Office not
less than 120 days prior to the end of
a Federal fiscal year, and the hospital’s
cancellation of the classification would
be effective beginning with the next
Federal fiscal year. In addition, we are
proposing to add paragraph (g)(1)(iii) to
§ 412.103 to specify that the provisions
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of paragraphs (g)(1)(i) and (ii) of
§ 412.103 are effective only for written
requests submitted by hospitals before
October 1, 2019 to cancel rural
reclassification.
In addition, we are proposing to
codify into regulations a longstanding
CMS policy regarding canceling a
§ 412.103 reclassification when a
hospital opts to accept and receives its
county out-migration adjustment in lieu
of its ‘‘Lugar’’ reclassification. As
discussed in section III.I.3. of the
preamble of this proposed rule, a
hospital may opt to receive either its
‘‘Lugar’’ county reclassification
established under section 1886(d)(8)(B)
of the Act, or the county out-migration
adjustment determined under section
1886(d)(13) of the Act. Such requests
may be submitted to CMS by email to
wageindex@cms.hhs.gov within 45 days
of the public display date of the
proposed rule for the next Federal fiscal
year. We established this process
because section 1886(d)(13)(G) of the
Act prohibits a hospital from having
both an out-migration wage index
adjustment and reclassification under
section 1886(d)(8) or (10) of the Act.
Because § 412.103 reclassifications were
established under section 1886(d)(8)(E)
of the Act, a hospital cannot
simultaneously have an out-migration
adjustment and be reclassified as rural
under § 412.103. In the FY 2012 IPPS/
LTCH PPS final rule (76 FR 51600), we
addressed a commenter’s concern
regarding timing issues for some
hospitals that wish to receive their
county out-migration adjustment, but
would not have adequate time to also
cancel their rural reclassification. In that
rule, we stated that ‘‘we will allow the
act of waiving Lugar status for the outmigration adjustment to simultaneously
waive the hospital’s deemed urban
status and cancel the hospital’s acquired
rural status, thus treating the hospital as
a rural provider effective on October 1.’’
While this policy modification was
initially discussed in the FY 2012 IPPS/
LTCH PPS final rule in the context of
hospitals wishing to obtain or maintain
sole community hospital (SCH) or
Medicare-dependent hospital (MDH)
status, its application has not been
limited to current or potential SCHs or
MDHs. We continue to believe this
policy of automatically canceling rural
reclassifications when a hospital waives
its Lugar reclassification to receive its
out-migration adjustment reduces
overall burden on hospitals by not
requiring them to file a separate rural
reclassification cancellation request. We
also believe this policy reduces overall
complexity for CMS, avoiding the need
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19389
to track and process multiple
cancellation requests. Accordingly, we
believe this policy should be codified in
the regulations at § 412.103.
Therefore, we are proposing to add
paragraph (g)(4) to § 412.103 to specify
that a rural reclassification will be
considered cancelled effective for the
next Federal fiscal year when a hospital
opts (by submitting a request to CMS
within 45 days of the date of public
display of the proposed rule for the next
Federal fiscal year at the Office of the
Federal Register in accordance with the
procedure described in section III.I.3. of
the preamble of this proposed rule) to
accept and receives its county outmigration wage index adjustment
determined under section 1886(d)(13) of
the Act in lieu of its geographic
reclassification described under section
1886(d)(8)(B) of the Act. If the hospital
wishes to once again obtain a § 412.103
rural reclassification, it would have to
reapply through the CMS Regional
Office in accordance with § 412.103,
and the hospital would once again be
ineligible to receive its out-migration
adjustment. We note that, in a case
where a hospital reclassified as rural
under § 412.103 wishes to receive its
out-migration adjustment but does not
qualify for a ‘‘Lugar’’ reclassification,
the hospital would need to formally
cancel its § 412.103 rural reclassification
by written request to the CMS Regional
Office within the timeframe specified at
§ 412.103. Finally, in order to address
the scenario described in section
III.I.3.b. of the preamble of this
proposed rule, we note that, in proposed
§ 412.103(g)(4), we are providing that
the hospital must not only opt to accept,
but also receive, its county outmigration wage index adjustment to
trigger cancellation of rural
reclassification under that provision. In
such cases where an out-migration
adjustment is no longer applicable
based on the wage index in the final
rule, a hospital’s rural reclassification
remains in effect (unless otherwise
cancelled by written request to the CMS
Regional Office within the timeframe
specified at § 412.103).
L. Process for Requests for Wage Index
Data Corrections
1. Process for Hospitals To Request
Wage Index Data Corrections
The preliminary, unaudited
Worksheet S–3 wage data files and the
preliminary CY 2016 occupational mix
data files for the proposed FY 2020
wage index were made available on June
5, 2018 through the internet on the CMS
website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-Service-
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On January 31, 2019, we posted a
public use file (PUF) at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/AcuteInpatient
PPS/Wage-Index-Files-Items/FY2020Wage-Index-Home-Page.html containing
FY 2020 wage index data available as of
January 30, 2019. This PUF contains a
tab with the Worksheet S–3 wage data
(which includes Worksheet S–3, Parts II
and III wage data from cost reporting
periods beginning on or after October 1,
2015 through September 30, 2016; that
is, FY 2016 wage data), a tab with the
occupational mix data (which includes
data from the CY 2016 occupational mix
survey, Form CMS–10079), a tab
containing the Worksheet S–3 wage data
of hospitals deleted from the January 31,
2019 wage data PUF, and a tab
containing the CY 2016 occupational
mix data of the hospitals deleted from
the January 31, 2019 occupational mix
PUF. In a memorandum dated January
18, 2019, we instructed all MACs to
inform the IPPS hospitals that they
service of the availability of the January
31, 2019 wage index data PUFs, and the
process and timeframe for requesting
revisions in accordance with the FY
2020 Wage Index Timetable.
In the interest of meeting the data
needs of the public, beginning with the
proposed FY 2009 wage index, we post
an additional PUF on the CMS website
that reflects the actual data that are used
in computing the proposed wage index.
The release of this file does not alter the
current wage index process or schedule.
We notify the hospital community of the
availability of these data as we do with
the current public use wage data files
through our Hospital Open Door Forum.
We encourage hospitals to sign up for
automatic notifications of information
about hospital issues and about the
dates of the Hospital Open Door Forums
at the CMS website at: https://
www.cms.gov/Outreach-and-Education/
Outreach/OpenDoorForums/.
In a memorandum dated April 20,
2018, we instructed all MACs to inform
the IPPS hospitals that they service of
the availability of the preliminary wage
index data files and the CY 2016
occupational mix survey data files
posted on May 18, 2018, and the process
and timeframe for requesting revisions.
In a memorandum dated June 6, 2018,
we corrected and reposted the
preliminary wage file on our website
because we realized that the PUF
originally posted on May 18 2018 did
not include new line items that were
first included in cost reports for cost
reporting periods beginning on or after
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October 1, 2015 (and will be used for
the first time in the FY 2020 wage
index). Specifically, the lines are:
Worksheet S–3, Part II, lines 14.01 and
14.02, and 25.50, 25.51, 25.52, and
25.53; and Worksheet S–3, Part IV, lines
8.01, 8.02, 8.03. In the same
memorandum, we instructed all MACs
to inform the IPPS hospitals that they
service of the availability of the
corrected and reposted preliminary
wage index data files and the CY 2016
occupational mix survey data files
posted on June 6, 2018, and the process
and timeframe for requesting revisions.
If a hospital wished to request a
change to its data as shown in the June
6, 2018 preliminary wage and
occupational mix data files, the hospital
had to submit corrections along with
complete, detailed supporting
documentation to its MAC by
September 4, 2018. Hospitals were
notified of this deadline and of all other
deadlines and requirements, including
the requirement to review and verify
their data as posted in the preliminary
wage index data files on the internet,
through the letters sent to them by their
MACs. November 16, 2018 was the
deadline for MACs to complete all desk
reviews for hospital wage and
occupational mix data and transmit
revised Worksheet S–3 wage data and
occupational mix data to CMS.
November 6, 2018 was the date by
when MACs notified State hospital
associations regarding hospitals that
failed to respond to issues raised during
the desk reviews. Additional revisions
made by the MACs were transmitted to
CMS throughout January 2019. CMS
published the wage index PUFs that
included hospitals’ revised wage index
data on January 31, 2019. Hospitals had
until February 15, 2019, to submit
requests to the MACs to correct errors in
the January 31, 2019 PUF due to CMS
or MAC mishandling of the wage index
data, or to revise desk review
adjustments to their wage index data as
included in the January 31, 2019 PUF.
Hospitals also were required to submit
sufficient documentation to support
their requests.
After reviewing requested changes
submitted by hospitals, MACs were
required to transmit to CMS any
additional revisions resulting from the
hospitals’ reconsideration requests by
March 22, 2019. Under our current
policy as adopted in the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38153), the
deadline for a hospital to request CMS
intervention in cases where a hospital
disagreed with a MAC’s handling of
wage data on any basis (including a
policy, factual, or other dispute) was
April 4, 2019. Data that were incorrect
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in the preliminary or January 31, 2019
wage index data PUFs, but for which no
correction request was received by the
February 15, 2019 deadline, are not
considered for correction at this stage.
In addition, April 4, 2019 was the
deadline for hospitals to dispute data
corrections made by CMS of which the
hospital is notified after the January 31,
2019 PUF and at least 14 calendar days
prior to April 4, 2019 (that is, March 21,
2018), that do not arise from a hospital’s
request for revisions. We note that, as
with previous years, for the proposed
FY 2020 wage index, in accordance with
the FY 2020 wage index timeline posted
on the CMS website at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/AcuteInpatient
PPS/Wage-Index-Files-Items/FY2020Wage-Index-Home-Page.html, the April
appeals have to be sent via mail and
email. We refer readers to the wage
index timeline for complete details.
Hospitals are given the opportunity to
examine Table 2 associated with this
proposed rule, which is listed in section
VI. of the Addendum to this proposed
rule and available via the internet on the
CMS website at: https://www.cms.gov/
Medicare/Medicare-Fee-forServicePayment/AcuteInpatientPPSFY2020-IPPS-Proposed-Rule-HomePage.html. Table 2 contains each
hospital’s proposed adjusted average
hourly wage used to construct the wage
index values for the past 3 years,
including the FY 2016 data used to
construct the proposed FY 2020 wage
index. We note that the proposed
hospital average hourly wages shown in
Table 2 only reflect changes made to a
hospital’s data that were transmitted to
CMS by early February 2019.
We plan to post the final wage index
data PUFs in late April 2019 via the
internet on the CMS website at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/AcuteInpatient
PPS/Wage-Index-Files-Items/FY2020Wage-Index-Home-Page.html. The April
2019 PUFs are made available solely for
the limited purpose of identifying any
potential errors made by CMS or the
MAC in the entry of the final wage
index data that resulted from the
correction process previously described
(the process for disputing revisions
submitted to CMS by the MACs by
March 21, 2019, and the process for
disputing data corrections made by CMS
that did not arise from a hospital’s
request for wage data revisions as
discussed earlier).
After the release of the April 2019
wage index data PUFs, changes to the
wage and occupational mix data can
only be made in those very limited
situations involving an error by the
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MAC or CMS that the hospital could not
have known about before its review of
the final wage index data files.
Specifically, neither the MAC nor CMS
will approve the following types of
requests:
• Requests for wage index data
corrections that were submitted too late
to be included in the data transmitted to
CMS by the MACs on or before March
21, 2018.
• Requests for correction of errors
that were not, but could have been,
identified during the hospital’s review
of the January 31, 2019 wage index
PUFs.
• Requests to revisit factual
determinations or policy interpretations
made by the MAC or CMS during the
wage index data correction process.
If, after reviewing the April 2019 final
wage index data PUFs, a hospital
believes that its wage or occupational
mix data are incorrect due to a MAC or
CMS error in the entry or tabulation of
the final data, the hospital is given the
opportunity to notify both its MAC and
CMS regarding why the hospital
believes an error exists and provide all
supporting information, including
relevant dates (for example, when it first
became aware of the error). The hospital
is required to send its request to CMS
and to the MAC no later than May 30,
2019. May 30, 2019 is also the deadline
for hospitals to dispute data corrections
made by CMS of which the hospital is
notified on or after 13 calendar days
prior to April 4, 2019 (that is, March 22,
2019), and at least 14 calendar days
prior to May 30, 2019 (that is, May 16,
2019), that do not arise from a hospital’s
request for revisions. (Data corrections
made by CMS of which a hospital is
notified on or after 13 calendar days
prior to May 30, 2019 (that is, May 17,
2019) may be appealed to the Provider
Reimbursement Review Board (PRRB)).
Similar to the April appeals, beginning
with the FY 2015 wage index, in
accordance with the FY 2020 wage
index timeline posted on the CMS
website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/WageIndex-Files-Items/FY2020-Wage-IndexHome-Page.html, the May appeals must
be sent via mail and email to CMS and
the MACs. We refer readers to the wage
index timeline for complete details.
Verified corrections to the wage index
data received timely (that is, by May 30,
2019) by CMS and the MACs will be
incorporated into the final FY 2020
wage index, which will be effective
October 1, 2019.
We created the processes previously
described to resolve all substantive
wage index data correction disputes
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before we finalize the wage and
occupational mix data for the FY 2020
payment rates. Accordingly, hospitals
that do not meet the procedural
deadlines set forth earlier will not be
afforded a later opportunity to submit
wage index data corrections or to
dispute the MAC’s decision with respect
to requested changes. Specifically, our
policy is that hospitals that do not meet
the procedural deadlines set forth above
(requiring requests to MACs by the
specified date in February and, where
such requests are unsuccessful, requests
for intervention by CMS by the specified
date in April) will not be permitted to
challenge later, before the PRRB, the
failure of CMS to make a requested data
revision. We refer readers also to the FY
2000 IPPS final rule (64 FR 41513) for
a discussion of the parameters for
appeals to the PRRB for wage index data
corrections. As finalized in the FY 2018
IPPS/LTCH PPS final rule (82 FR 38154
through 38156), this policy also applies
to a hospital disputing corrections made
by CMS that do not arise from a
hospital’s request for a wage index data
revision. That is, a hospital disputing an
adjustment made by CMS that did not
arise from a hospital’s request for a wage
index data revision would be required
to request a correction by the first
applicable deadline. Hospitals that do
not meet the procedural deadlines set
forth earlier will not be afforded a later
opportunity to submit wage index data
corrections or to dispute CMS’ decision
with respect to requested changes.
Again, we believe the wage index data
correction process described earlier
provides hospitals with sufficient
opportunity to bring errors in their wage
and occupational mix data to the MAC’s
attention. Moreover, because hospitals
have access to the final wage index data
PUFs by late April 2019, they have the
opportunity to detect any data entry or
tabulation errors made by the MAC or
CMS before the development and
publication of the final FY 2020 wage
index by August 2019, and the
implementation of the FY 2020 wage
index on October 1, 2019. Given these
processes, the wage index implemented
on October 1 should be accurate.
Nevertheless, in the event that errors are
identified by hospitals and brought to
our attention after May 30, 2019, we
retain the right to make midyear
changes to the wage index under very
limited circumstances.
Specifically, in accordance with 42
CFR 412.64(k)(1) of our regulations, we
make midyear corrections to the wage
index for an area only if a hospital can
show that: (1) The MAC or CMS made
an error in tabulating its data; and (2)
the requesting hospital could not have
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19391
known about the error or did not have
an opportunity to correct the error,
before the beginning of the fiscal year.
For purposes of this provision, ‘‘before
the beginning of the fiscal year’’ means
by the May deadline for making
corrections to the wage data for the
following fiscal year’s wage index (for
example, May 30, 2019 for the FY 2020
wage index). This provision is not
available to a hospital seeking to revise
another hospital’s data that may be
affecting the requesting hospital’s wage
index for the labor market area. As
indicated earlier, because CMS makes
the wage index data available to
hospitals on the CMS website prior to
publishing both the proposed and final
IPPS rules, and the MACs notify
hospitals directly of any wage index
data changes after completing their desk
reviews, we do not expect that midyear
corrections will be necessary. However,
under our current policy, if the
correction of a data error changes the
wage index value for an area, the
revised wage index value will be
effective prospectively from the date the
correction is made.
In the FY 2006 IPPS final rule (70 FR
47385 through 47387 and 47485), we
revised 42 CFR 412.64(k)(2) to specify
that, effective on October 1, 2005, that
is, beginning with the FY 2006 wage
index, a change to the wage index can
be made retroactive to the beginning of
the Federal fiscal year only when CMS
determines all of the following: (1) The
MAC or CMS made an error in
tabulating data used for the wage index
calculation; (2) the hospital knew about
the error and requested that the MAC
and CMS correct the error using the
established process and within the
established schedule for requesting
corrections to the wage index data,
before the beginning of the fiscal year
for the applicable IPPS update (that is,
by the May 30, 2019 deadline for the FY
2020 wage index); and (3) CMS agreed
before October 1 that the MAC or CMS
made an error in tabulating the
hospital’s wage index data and the wage
index should be corrected.
In those circumstances where a
hospital requested a correction to its
wage index data before CMS calculated
the final wage index (that is, by the May
30, 2019 deadline for the FY 2020 wage
index), and CMS acknowledges that the
error in the hospital’s wage index data
was caused by CMS’ or the MAC’s
mishandling of the data, we believe that
the hospital should not be penalized by
our delay in publishing or
implementing the correction. As with
our current policy, we indicated that the
provision is not available to a hospital
seeking to revise another hospital’s data.
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In addition, the provision cannot be
used to correct prior years’ wage index
data; and it can only be used for the
current Federal fiscal year. In situations
where our policies would allow midyear
corrections other than those specified in
42 CFR 412.64(k)(2)(ii), we continue to
believe that it is appropriate to make
prospective-only corrections to the wage
index.
We note that, as with prospective
changes to the wage index, the final
retroactive correction will be made
irrespective of whether the change
increases or decreases a hospital’s
payment rate. In addition, we note that
the policy of retroactive adjustment will
still apply in those instances where a
final judicial decision reverses a CMS
denial of a hospital’s wage index data
revision request.
2. Process for Data Corrections by CMS
After the January 31 Public Use File
(PUF)
The process set forth with the wage
index timeline discussed in section
III.L.1. of the preamble of this proposed
rule allows hospitals to request
corrections to their wage index data
within prescribed timeframes. In
addition to hospitals’ opportunity to
request corrections of wage index data
errors or MACs’ mishandling of data,
CMS has the authority under section
1886(d)(3)(E) of the Act to make
corrections to hospital wage index and
occupational mix data in order to ensure
the accuracy of the wage index. As we
explained in the FY 2016 IPPS/LTCH
PPS final rule (80 FR 49490 through
49491) and the FY 2017 IPPS/LTCH PPS
final rule (81 FR 56914), section
1886(d)(3)(E) of the Act requires the
Secretary to adjust the proportion of
hospitals’ costs attributable to wages
and wage-related costs for area
differences reflecting the relative
hospital wage level in the geographic
areas of the hospital compared to the
national average hospital wage level. We
believe that, under section 1886(d)(3)(E)
of the Act, we have discretion to make
corrections to hospitals’ data to help
ensure that the costs attributable to
wages and wage-related costs in fact
accurately reflect the relative hospital
wage level in the hospitals’ geographic
areas.
We have an established multistep, 15month process for the review and
correction of the hospital wage data that
is used to create the IPPS wage index for
the upcoming fiscal year. Since the
origin of the IPPS, the wage index has
been subject to its own annual review
process, first by the MACs, and then by
CMS. As a standard practice, after each
annual desk review, CMS reviews the
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results of the MACs’ desk reviews and
focuses on items flagged during the desk
review, requiring that, if necessary,
hospitals provide additional
documentation, adjustments, or
corrections to the data. This ongoing
communication with hospitals about
their wage data may result in the
discovery by CMS of additional items
that were reported incorrectly or other
data errors, even after the posting of the
January 31 PUF, and throughout the
remainder of the wage index
development process. In addition, the
fact that CMS analyzes the data from a
regional and even national level, unlike
the review performed by the MACs that
review a limited subset of hospitals, can
facilitate additional editing of the data
that may not be readily apparent to the
MACs. In these occasional instances, an
error may be of sufficient magnitude
that the wage index of an entire CBSA
is affected. Accordingly, CMS uses its
authority to ensure that the wage index
accurately reflects the relative hospital
wage level in the geographic area of the
hospital compared to the national
average hospital wage level, by
continuing to make corrections to
hospital wage data upon discovering
incorrect wage data, distinct from
instances in which hospitals request
data revisions.
We note that CMS corrects errors to
hospital wage data as appropriate,
regardless of whether that correction
will raise or lower a hospital’s average
hourly wage. For example, as discussed
in section III.C. of the preamble of the
FY 2019 IPPS/LTCH PPS final rule (83
FR 41364), in situations where a
hospital did not have documentable
salaries, wages, and hours for
housekeeping and dietary services, we
imputed estimates, in accordance with
policies established in the FY 2015
IPPS/LTCH PPS final rule (79 FR 49965
through 49967). Furthermore, if CMS
discovers after conclusion of the desk
review, for example, that a MAC
inadvertently failed to incorporate
positive adjustments resulting from a
prior year’s wage index appeal of a
hospital’s wage-related costs such as
pension, CMS would correct that data
error and the hospital’s average hourly
wage would likely increase as a result.
While we maintain CMS’ authority to
conduct additional review and make
resulting corrections at any time during
the wage index development process, in
accordance with the policy finalized in
the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38154 through 38156) and as first
implemented with the FY 2019 wage
index (83 FR 41389), hospitals are able
to request further review of a correction
made by CMS that did not arise from a
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hospital’s request for a wage index data
correction. Instances where CMS makes
a correction to a hospital’s data after the
January 31 PUF based on a different
understanding than the hospital about
certain reported costs, for example,
could potentially be resolved using this
process before the final wage index is
calculated. We believe this process and
the timeline for requesting such
corrections (as described earlier and in
the FY 2018 IPPS/LTCH PPS final rule)
promote additional transparency to
instances where CMS makes data
corrections after the January 31 PUF,
and provide opportunities for hospitals
to request further review of CMS
changes in time for the most accurate
data to be reflected in the final wage
index calculations. These additional
appeals opportunities are described
earlier and in the FY 2020 Wage Index
Development Time Table, as well as in
the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38154 through 38156).
M. Proposed Labor-Related Share for the
Proposed FY 2020 Wage Index
Section 1886(d)(3)(E) of the Act
directs the Secretary to adjust the
proportion of the national prospective
payment system base payment rates that
are attributable to wages and wagerelated costs by a factor that reflects the
relative differences in labor costs among
geographic areas. It also directs the
Secretary to estimate from time to time
the proportion of hospital costs that are
labor-related and to adjust the
proportion (as estimated by the
Secretary from time to time) of
hospitals’ costs that are attributable to
wages and wage-related costs of the
DRG prospective payment rates. We
refer to the portion of hospital costs
attributable to wages and wage-related
costs as the labor-related share. The
labor-related share of the prospective
payment rate is adjusted by an index of
relative labor costs, which is referred to
as the wage index.
Section 403 of Public Law 108–173
amended section 1886(d)(3)(E) of the
Act to provide that the Secretary must
employ 62 percent as the labor-related
share unless this would result in lower
payments to a hospital than would
otherwise be made. However, this
provision of Public Law 108–173 did
not change the legal requirement that
the Secretary estimate from time to time
the proportion of hospitals’ costs that
are attributable to wages and wagerelated costs. Thus, hospitals receive
payment based on either a 62-percent
labor-related share, or the labor-related
share estimated from time to time by the
Secretary, depending on which labor-
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related share resulted in a higher
payment.
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38158 through 38175), we
rebased and revised the hospital market
basket. We established a 2014-based
IPPS hospital market basket to replace
the FY 2010-based IPPS hospital market
basket, effective October 1, 2017. Using
the 2014-based IPPS market basket, we
finalized a labor-related share of 68.3
percent for discharges occurring on or
after October 1, 2017. In addition, in FY
2018, we implemented this revised and
rebased labor-related share in a budget
neutral manner (82 FR 38522). However,
consistent with section 1886(d)(3)(E) of
the Act, we did not take into account
the additional payments that would be
made as a result of hospitals with a
wage index less than or equal to 1.0000
being paid using a labor-related share
lower than the labor-related share of
hospitals with a wage index greater than
1.0000. In the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41389 and 41390), for
FY 2019, we continued to use a laborrelated share of 68.3 percent for
discharges occurring on or after October
1, 2018.
The labor-related share is used to
determine the proportion of the national
IPPS base payment rate to which the
area wage index is applied. We include
a cost category in the labor-related share
if the costs are labor intensive and vary
with the local labor market. In this
proposed rule, for FY 2020, we are not
proposing to make any further changes
to the national average proportion of
operating costs that are attributable to
wages and salaries, employee benefits,
professional fees: Labor-related,
administrative and facilities support
services, installation, maintenance, and
repair services, and all other laborrelated services. Therefore, for FY 2020,
we are proposing to continue to use a
labor-related share of 68.3 percent for
discharges occurring on or after October
1, 2019.
As discussed in section IV.B. of the
preamble of this proposed rule, prior to
January 1, 2016, Puerto Rico hospitals
were paid based on 75 percent of the
national standardized amount and 25
percent of the Puerto Rico-specific
standardized amount. As a result, we
applied the Puerto Rico-specific laborrelated share percentage and nonlaborrelated share percentage to the Puerto
Rico-specific standardized amount.
Section 601 of the Consolidated
Appropriations Act, 2016 (Pub. L. 114–
113) amended section 1886(d)(9)(E) of
the Act to specify that the payment
calculation with respect to operating
costs of inpatient hospital services of a
subsection (d) Puerto Rico hospital for
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inpatient hospital discharges on or after
January 1, 2016, shall use 100 percent
of the national standardized amount.
Because Puerto Rico hospitals are no
longer paid with a Puerto Rico-specific
standardized amount as of January 1,
2016, under section 1886(d)(9)(E) of the
Act as amended by section 601 of the
Consolidated Appropriations Act, 2016,
there is no longer a need for us to
calculate a Puerto Rico-specific laborrelated share percentage and nonlaborrelated share percentage for application
to the Puerto Rico-specific standardized
amount. Hospitals in Puerto Rico are
now paid 100 percent of the national
standardized amount and, therefore, are
subject to the national labor-related
share and nonlabor-related share
percentages that are applied to the
national standardized amount.
Accordingly, for FY 2020, we are not
proposing a Puerto Rico-specific laborrelated share percentage or a nonlaborrelated share percentage.
Tables 1A and 1B, which are
published in section VI. of the
Addendum to this FY 2020 IPPS/LTCH
PPS proposed rule and available via the
internet on the CMS website, reflect the
proposed national labor-related share,
which is also applicable to Puerto Rico
hospitals. For FY 2020, for all IPPS
hospitals (including Puerto Rico
hospitals) whose wage indexes are less
than or equal to 1.0000, we are
proposing to apply the wage index to a
labor-related share of 62 percent of the
national standardized amount. For all
IPPS hospitals (including Puerto Rico
hospitals) whose wage indexes are
greater than 1.000, for FY 2020, we are
proposing to apply the wage index to a
proposed labor-related share of 68.3
percent of the national standardized
amount.
N. Proposals To Address Wage Index
Disparities Between High and Low Wage
Index Hospitals
In the FY 2019 IPPS/LTCH PPS
proposed rule (83 FR 20372), we invited
the public to submit further comments,
suggestions, and recommendations for
regulatory and policy changes to the
Medicare wage index. Many of the
responses received from this request for
information (RFI) reflect a common
concern that the current wage index
system perpetuates and exacerbates the
disparities between high and low wage
index hospitals. Many respondents also
expressed concern that the calculation
of the rural floor has allowed a limited
number of States to manipulate the
wage index system to achieve higher
wages for many urban hospitals in those
states at the expense of hospitals in
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19393
other states, which also contributes to
wage index disparities.
To help mitigate these wage index
disparities, including those resulting
from the inclusion of hospitals with
rural reclassifications under 42 CFR
412.103 in the calculation of the rural
floor, we are proposing to reduce the
disparity between high and low wage
index hospitals by increasing the wage
index values for certain hospitals with
low wage index values and decreasing
the wage index values for certain
hospitals with high wage index values
to maintain budget neutrality, and
changing the calculation of the rural
floor, as further discussed below. We
also are proposing a transition for
hospitals experiencing significant
decreases in their wage index values as
a result of our proposed wage index
policies. We discuss these proposed
changes to the wage index in more
detail below.
1. Prior Rulemaking Public Comments
As described in the FY 2019 IPPS/
LTCH PPS proposed rule (83 FR 20372
through 20377), there have been
numerous studies, analyses, and reports
on ways to revise the Medicare wage
index. In public comments received on
prior rulemakings for FYs 2009, 2010,
and 2011, many commenters argued that
the current labor market definitions and
wage data sources used by CMS, in
many instances, are not reflective of the
true cost of labor for any given hospital
or are inappropriate to use for this
purpose because of, for example, the
resulting payment disparities, or both.
For our responses to public comments
received on the FY 2009 IPPS/LTCH
PPS proposed rule, we refer readers to
the FY 2009 IPPS/LTCH PPS final rule
(73 FR 48563 through 48567); for
responses to public comments on the FY
2010 IPPS/LTCH PPS proposed rule, we
refer readers to the FY 2010 IPPS/LTCH
PPS final rule (74 FR 43824 through
43826); and for responses to public
comments on the FY 2011 IPPS/LTCH
PPS proposed rule, we refer readers to
the FY 2011 IPPS/LTCH PPS final rule
(75 FR 50157 through 50160). The
public comments on these proposed
rules are available at www.regulations
.gov under file numbers CMS–1390–P,
CMS–1406–P, and CMS–1498–P,
respectively.
In the FY 2019 IPPS/LTCH proposed
rule, we invited the public to submit
further comments, suggestions, and
recommendations for regulatory and
policy changes to the Medicare wage
index. We requested the public to
submit appropriate supporting data and
specific recommendations in their
comments. We also welcomed analysis
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regarding CMS’ authority for our
consideration. We received many
comments, many of which addressed
wage index disparities between high
and low wage index hospitals. The
following is a summary of the comments
we received on the wage index disparity
issue. We note that we also received
comments regarding other aspects of the
wage index system, including current
labor market areas, MGCRB
reclassifications, use of alternative data,
and the use of the hospital wage index
by nonhospital providers. We will
continue to consider those comments
for potential future rulemaking.
2. Public Comments on Wage Index
Disparities in Response to the Request
for Information in the FY 2019 IPPS/
LTCH PPS Proposed Rule
One of the concerns regarding the
wage index system expressed by
hospitals in low wage index areas is the
disparity in wage index values between
high and low wage index areas. The
following comment, received in
response to the request for information
in the FY 2019 IPPS/LTCH PPS
proposed rule, is a typical comment in
this regard:
‘‘The most significant issue with the
current system can be traced to the data
sources used to calculate the wage
index. Relying exclusively on hospital
cost reports as the source to calculate
the wage index allows hospitals in
States with significantly higher wage
indexes to maintain and improve their
favorable position in the current system
by setting higher than market value
wages for their employees. The higher
wage hospitals can, by virtue of higher
Medicare payments, afford to pay wages
that allow them to continue as a high
wage index State. Low wage index
States . . . cannot afford to pay wages
that would allow their hospitals to
climb back toward the median wage
index. Over time this condition of
circularity has increased the gap
between the wage indexes of the high
and low wage States to a much larger
degree than what the wage index was
initially designed to address, the
difference in labor markets across the
country for comparable services.’’
For discussion purposes, we will refer
to this situation as the ‘‘downward
spiral,’’ as this term has been used by
some stakeholders to describe this issue.
Some respondents stated that the
disparity between the higher and lower
wage index areas continues to grow and
suggested that the problem is, in large
part, due to providers in low wage index
areas having difficulty keeping pace
with competitive labor costs and having
to reduce expenses in other areas to
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make up for it. Some respondents
indicated that the downward spiral
faced by hospitals in low wage index
areas was the most important wage
index issue facing the system and it
needed to be addressed quickly.
Some respondents recommended that
CMS create a wage index floor for low
wage hospitals, and that, in order to
maintain budget neutrality, CMS reduce
the wage index values for high wage
hospitals through the creation of wage
index ceiling.
Some respondents also indicated that
the current wage index methodology
encourages misuse and opportunist
gaming, especially in the area of urban
to rural reclassifications and the rural
floor. According to these respondents,
under current policies, providers in
some urban areas are able to reclassify
to a rural area and substantially raise the
rural floor for an entire State. Several
respondents suggested that this is
inconsistent with the intent of the rural
floor policy, which is to protect
vulnerable urban hospitals, and that the
policy was not intended to allow urban
hospitals to artificially inflate the rural
floor through urban to rural
reclassification. These respondents
indicated that, because the rural floor
policy is budget neutral nationally, all
providers throughout the country that
do not benefit from the rural floor policy
have their payments lowered due to this
misuse and opportunistic gaming. These
respondents stressed that this further
contributes to financial distress of
hospitals in low wage index areas.
Some respondents stated that CMS
has the regulatory authority to
determine how it calculates the rural
floor. They stated that the calculation
should mirror the spirit and intent of
law by only considering the
geographically rural providers in a State
when calculating a rural floor.
According to these respondents, CMS
should consider changing the existing
calculation to include only the
geographically rural providers when
calculating the rural floor for a State in
order to ensure that existing regulatory
policy around the rural floor calculation
meets the intent of law and does not
harm vulnerable providers the law
intended to protect.
Other commenters were not critical in
their comments regarding wage index
disparities. The following is a typical
comment arguing that the reflection of
such disparities in the wage index is
appropriate:
‘‘CMS has requested comments on
wage index disparities, but we urge the
agency to continue to recognize that as
long as there are ‘disparities’ in the cost
of labor and cost of living between
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different parts of the country, there will
and should always be wage index
‘disparities’. The area wage index is
intended to recognize differences in
resource use across types and location
of hospitals. In a quest to smooth out socalled ‘disparities’, we urge CMS to
continue to adequately account for these
resource differences in its payment
systems.’’
Some commenters indicated that
further analysis and study are needed.
The following comment is a typical
comment expressing this view:
‘‘The area wage index is intended to
recognize differences in resource use
across types and location of hospitals. If
these resource differences are not
adequately accounted for by Medicare
payment adjustments, hospitals are
either inappropriately rewarded or put
under fiscal pressure. Taking this into
account, hospitals have repeatedly
expressed concern that the wage index
is greatly flawed in many respects,
including its accuracy, volatility,
circularity, and substantial
reclassifications and exceptions.
Members of Congress and Medicare
officials also have voiced concerns with
the present system. While a consensus
solution to the wage index’s
shortcomings has not yet been
developed, further analysis of
alternatives is needed to identify
approaches that promote payment
adjustments that are accurate, fair, and
effective.’’
As noted earlier, we also received
comments regarding other aspects of the
wage index system. We will continue to
consider those responses for potential
future rulemaking. We encourage
interested members of the public to
review all the comments on the wage
index received in response to the
request for information in their entirety,
which are available at www.regulations
.gov under file number CMS–1694–P.
3. Proposals To Address Wage Index
Disparities
a. Providing an Opportunity for Low
Wage Index Hospitals To Increase
Employee Compensation
As CMS and other entities have stated
in the past, comprehensive wage index
reform would require both statutory and
regulatory changes, and could require
new data sources. Notwithstanding the
challenges associated with
comprehensive wage index reform, we
agree with respondents to the request
for information who indicated that some
current wage index policies create
barriers to hospitals with low wage
index values from being able to increase
employee compensation due to the lag
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between when hospitals increase the
compensation and when those increases
are reflected in the calculation of the
wage index. (We note that this lag
results from the fact that the wage index
calculations rely on historical data.) We
also agree that addressing this systemic
issue does not need to wait for
comprehensive wage index reform given
the growing disparities between low and
high wage index hospitals, including
rural hospitals that may be in financial
distress and facing potential closure.
Therefore, in response to these
concerns, we are proposing a policy that
would provide certain low wage index
hospitals with an opportunity to
increase employee compensation
without the usual lag in those increases
being reflected in the calculation of the
wage index.
In general terms, as discussed further
below, we are proposing to increase the
wage index values for hospitals with a
wage index value in the lowest quartile
of the wage index values across all
hospitals. Quartiles are a common way
to divide a distribution, and therefore
we believe it is appropriate to divide the
wage indexes into quartiles for this
purpose. For example, the interquartile
range is a common measure of
variability based on dividing data into
quartiles. Furthermore, quartiles are
used to divide distributions for other
purposes under the Medicare program.
For example, when determining
Medicare Advantage benchmarks,
excluding quality bonuses, counties are
organized into quartiles based on their
Medicare fee-for-service (FFS) spending.
Also, Congress chose the worst
performing quartile of hospitals for the
Hospital-Acquired Condition Reduction
Program penalty. (We refer readers to
section IV.J. of the preamble of this
proposed rule for a discussion of the
Hospital-Acquired Condition Reduction
Program.) Having determined that
quartiles are a reasonable method of
dividing the distribution of hospitals’
wage index values, we believe that
identifying hospitals in the lowest
quartile as low wage index hospitals,
hospitals in the second and third
‘‘middle’’ quartiles as hospitals with
wages index values that are neither low
nor high, and hospitals in the highest
quartile as hospitals with high wage
index values, is then a reasonable
method of determining low wage index
and high wage index hospitals for
purposes of our proposals (discussed
below) addressing wage index
disparities. While we acknowledge that
there is no set standard for identifying
hospitals as having low or high wage
index values, we believe our proposed
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quartile approach is reasonable for this
purpose, given that, as discussed above,
quartiles are a common way to divide
distributions, and this proposed
approach is consistent with approaches
used in other areas of the Medicare
program.
Based on the data for this proposed
rule, for FY 2020, the 25th percentile
wage index value across all hospitals is
0.8482. If this policy is adopted in the
final rule, this number would be
updated in the final rule based on the
final wage index values.
Under our proposed methodology, we
are proposing to increase the wage
index for hospitals with a wage index
value below the 25th percentile wage
index. The proposed increase in the
wage index for these hospitals would be
equal to half the difference between the
otherwise applicable final wage index
value for a year for that hospital and the
25th percentile wage index value for
that year across all hospitals. For
example, assume the otherwise
applicable final FY 2020 wage index
value for a geographically rural hospital
in Alabama is 0.6663, and the 25th
percentile wage index value for FY 2020
is 0.8482. Half the difference between
the otherwise applicable wage index
value and the 25th percentile wage
index value is 0.0910 (that is, (0.8482 ¥
0.6663)/2). Under our proposal, the FY
2020 wage index value for such a
hospital would be 0.7573 (that is, 0.6663
+ 0.0910).
Some respondents to the request for
information indicated that CMS should
establish a wage index floor for
hospitals with low wage index values.
However, we believe that it is important
to preserve the rank order of the wage
index values under the current policy
and, therefore, are proposing to increase
the wage index for the low-wage index
hospitals described above by half the
difference between the otherwise
applicable final wage index value and
the 25th percentile wage index value.
We believe the rank order generally
reflects meaningful distinctions between
the employee compensation costs faced
by hospitals in different geographic
areas. Although wage index value
differences between areas may be
artificially magnified by the current
wage index policies, we do not believe
those differences are nonexistent. For
example, if we were to instead create a
floor to address the lag issue discussed
above, it does not seem likely that
hospitals in Puerto Rico and Alabama
would have the same wage index value
after hospitals in both areas have had
the opportunity increase their employee
compensation costs. We believe a
distinction between their wage index
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values would remain because hospitals
in these areas face different employee
compensation costs in their respective
labor market areas.
We are proposing that this policy
would be effective for at least 4 years,
beginning in FY 2020, in order to allow
employee compensation increases
implemented by these hospitals
sufficient time to be reflected in the
wage index calculation. For the FY 2020
wage index, we are proposing to use
data from the FY 2016 cost reports. Four
years is the minimum time before
increases in employee compensation
included in the Medicare cost report
could be reflected in the wage index
data, and additional time may be
necessary. We intend to revisit the issue
of the duration of the policy in future
rulemaking as we gain experience under
the policy if adopted.
b. Budget Neutrality for Providing an
Opportunity for Low Wage Index
Hospitals To Increase Employee
Compensation
As noted earlier, in response to the
request for information on wage index
disparities in the FY 2019 IPPS/LTCH
PPS proposed rule, some respondents
recommended that CMS create a wage
index floor for low wage index
hospitals, and that, in order to maintain
budget neutrality, CMS reduce the wage
index values for high wage index
hospitals through the creation of wage
index ceiling.
While we do not believe it would be
appropriate to create a wage index floor
or a wage index ceiling as suggested in
the comment summarized above, we
believe the suggestion that we provide
a mechanism to increase the wage index
of low wage index hospitals (as we have
proposed in section III.N.3.a. of the
preamble of this proposed rule) while
maintaining budget neutrality for that
increase through an adjustment to the
wage index of high wage index hospitals
has two key merits. First, by
compressing the wage index for
hospitals on the high and low ends, that
is, those hospitals with a low wage
index and those hospitals with a high
wage index, such a methodology
increases the impact on existing wage
index disparities more than by simply
addressing one end. Second, such a
methodology ensures those hospitals in
the middle, that is, those hospitals
whose wage index is not considered
high or low, do not have their wage
index values affected by this proposed
policy. Thus, given the growing
disparities between low wage index
hospitals and high wage index
hospitals, consistent with the comment
summarized above, we believe it would
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be appropriate to maintain budget
neutrality for the low wage index policy
proposed in section III.N.3.a. of the
preamble of this proposed rule by
adjusting the wage index for high wage
index hospitals.
As discussed earlier, we believe it is
important to preserve the rank order of
wage index values because the rank
order generally reflects meaningful
distinctions between the employee
compensation costs faced by hospitals
in different geographic areas. Although
wage index value differences between
areas (including areas with high wage
index hospitals) may be artificially
magnified by the current wage index
policies, we do not believe those
differences are nonexistent, and
therefore, we do not believe it would be
appropriate to set a wage index ceiling
or floor. Accordingly, in order to offset
the estimated increase in IPPS payments
to hospitals with wage index values
below the 25th percentile under our
proposal in section III.N.3.a. of the
preamble of this proposed rule, we are
proposing to decrease the wage index
values for hospitals with high wage
index values, but preserve the rank
order among those values, as further
discussed below.
As discussed in section III.N.3.a. of
the preamble of this proposed rule, we
believe it is reasonable to divide all
hospitals into quartiles based on their
wage index value whereby we identify
hospitals in the lowest quartile as low
wage index hospitals, hospitals in the
second and third ‘‘middle’’ quartiles as
hospitals with wage index values that
are neither high nor low, and hospitals
in the highest quartile as hospitals with
high wage index values. We believe our
proposed quartile approach is
reasonable for this purpose, given that,
as discussed above, quartiles are a
common way to divide distributions,
and this proposed approach is
consistent with approaches used in
other areas of the Medicare program.
Therefore, we are proposing to identify
high wage index hospitals as hospitals
in the highest quartile, and in the
budget neutrality discussion that
follows, we refer to hospitals with wage
index values above the 75th percentile
wage index value across all hospitals for
a fiscal year as ‘‘high wage index
hospitals.’’
To ensure our proposal in section
III.N.3.a. of the preamble of this
proposed rule is budget neutral, we are
proposing to reduce the wage index
values for high wage index hospitals
using a methodology analogous to the
methodology used to increase the wage
index values for low wage index
hospitals described in section III.N.3.a.
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of the preamble of this proposed rule;
that is, we are proposing to decrease the
wage index values for high wage index
hospitals by a uniform factor of the
distance between the hospital’s
otherwise applicable wage index and
the 75th percentile wage index value for
a fiscal year across all hospitals. As
described below, the proposed budget
neutrality adjustment factor is 3.4
percent for FY 2020.
In calculating the proposed budget
neutrality adjustment factor for our
proposal in section III.N.3.a. of the
preamble of this proposed rule, we
would first examine the distance
between the wage index values for high
wage index hospitals and the 75th
percentile wage index value across all
hospitals for a fiscal year. Based on the
data for this proposed rule, the 75th
percentile wage index value is 1.0351.
Therefore, for example, if high wage
index Hospital A had an otherwise
applicable wage index value of 1.7351,
the distance between that hospital’s
wage index value and the 75th
percentile is 0.7000 (that is, 1.7351 ¥
1.0351). If high wage index Hospital B
had an otherwise applicable wage index
value of 1.2351, the distance between
that hospital’s wage index value and the
75th percentile is 0.2000 (that is, 1.2351
¥ 1.0351).
We would next estimate the uniform
multiplicative budget neutrality factor
needed to reduce those distances for all
high wage index hospitals so that the
estimated decreased aggregate payments
to high wage index hospitals offset the
estimated increased aggregate payments
to low wage index hospitals under our
proposed policy in section III.N.3.a. of
the preamble of this proposed rule.
Based on the data for this proposed rule,
we estimate this factor is 3.4 percent for
FY 2020.
Therefore, in the examples we
provided earlier, the distance between
Hospital A’s wage index value and the
75th percentile would be reduced by
0.0238 (that is, the prior distance of
0.7000 * 0.034), and therefore the wage
index for Hospital A after application of
the proposed budget neutrality
adjustment would be 1.7113 (that is,
1.7351 ¥ 0.0238). The distance between
Hospital B’s wage index value and the
75th percentile would be reduced by
0.0068 (that is, the prior distance of
0.2000 * 0.034), and therefore the wage
index for Hospital B after application of
the proposed budget neutrality
adjustment would be 1.2283 (that is,
1.2351¥0.0068).
We believe we have authority to
implement our lowest quartile wage
index proposal in section III.N.3.a. of
the preamble of this proposed rule and
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our budget neutrality proposal in this
section III.N.3.b. of the preamble of this
proposed rule under section
1886(d)(3)(E) of the Act (which gives the
Secretary broad authority to adjust for
area differences in hospital wage levels
by a factor (established by the Secretary)
reflecting the relative hospital wage
level in the geographic area of the
hospital compared to the national
average hospital wage level, and
requires those adjustments to be budget
neutral), and under our exceptions and
adjustments authority under section
1886(d)(5)(I) of the Act.
c. Preventing Inappropriate Payment
Increases Due to Rural Reclassifications
Under the Provisions of 42 CFR 412.103
We also agree with respondents to the
request for information who indicated
that another contributing systemic factor
to wage index disparities is the rural
floor. As discussed in section III.G.1. of
the preamble of this proposed rule,
section 4410(a) of Public Law 105–33
provides that, for discharges on or after
October 1, 1997, the area wage index
applicable to any hospital that is located
in an urban area of a State may not be
less than the area wage index applicable
to hospitals located in rural areas in that
State. Section 3141 of Public Law 111–
148 also requires that a national budget
neutrality adjustment be applied in
implementing the rural floor.
The rural floor policy was addressed
by the Office of the Inspector General
(OIG) in its recent November 2018
report, ‘‘Significant Vulnerabilities Exist
in the Hospital Wage Index System for
Medicare Payment’’ (A–01–17–00500),
which is available on the OIG website
at: https://oig.hhs.gov/oas/reports/
region1/11700500.pdf. The OIG stated
(we note that the footnote references
included here were in the original
document but are not carried here):
‘‘The stated legislative intent of the
rural floor was to correct the ‘anomaly’
of ‘some urban hospitals being paid less
than the average rural hospital in their
States.’ 9 However, MedPAC, an
independent congressional advisory
board, has since stated that it is ‘not
aware of any empirical support for this
policy,10 and that the policy is built on
the false assumption that hospital wage
rates in all urban labor markets in a
State are always higher than the average
hospital wage rate in rural areas of that
State.11 ’’
As one simplified example for
purposes of illustrating the rural floor
policy, assume that the rural wage index
for a State is 1.1000. Therefore, under
current policy, the rural floor for that
State would be 1.1000. Any urban
hospital with a wage index value below
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1.1000 in that State would have its wage
index value raised to 1.1000. The
additional Medicare payments to those
urban hospitals in that State increase
the national budget neutrality
adjustment for the rural floor provision.
For a real world example of the
impact of the rural floor policy, we
point to FY 2018, in which 366 urban
hospitals benefitted from the rural floor.
The increase in the wage indexes of
urban hospitals receiving the rural floor
was offset by a nationwide decrease in
all hospitals’ wage indexes of
approximately 0.67 percent. In
Massachusetts, that meant that 36 urban
hospitals received a wage index based
on hospital wages in Nantucket, an
island that is home to the only rural
hospital contributing to the State’s rural
floor wage index. In the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38557), we
estimated that those 36 hospitals would
receive an additional $44 million in
inpatient payments for the year. These
increased payments were offset by
decreased payments to hospitals
nationwide, and those decreases were
not based on actual local wage rates but
on the current rural floor calculation.
As acknowledged by the OIG, CMS
has long recognized the disparate
impacts and unintended outcomes of
the rural floor. We have stated that the
rural floor creates a benefit for a
minority of States that is then funded by
a majority of States, including States
that are overwhelmingly rural in
character (73 FR 23528 and 23622). We
also have stated that ‘‘as a result of
hospital actions not envisioned by
Congress, the rural floor is resulting in
significant disparities in wage index
and, in some cases, resulting in
situations where all hospitals in a State
receive a wage index higher than that of
the single highest wage index urban
hospital in the State’’ (76 FR 42170 and
42212).
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41748), we indicated that
wage index disparities associated with
the rural floor significantly increased in
FY 2019 with the urban to rural
reclassification of an urban hospital in
Massachusetts. We also note that
Massachusetts is not the only State
where urban hospitals reclassified as
rural under § 412.103 have a significant
impact on the State’s rural floor. This
also occurs, for example, in Arizona and
Connecticut. The rural floor policy was
meant to address anomalies of some
urban hospitals being paid less than the
average rural hospital in their States, not
to raise the payments of many hospitals
in a State to the high wage level of a
geographically urban hospital.
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We note that, for FY 2020, the urban
Massachusetts hospital reclassified as
rural under § 412.103 has an approved
MGCRB reclassification back to its
geographic location, and, therefore, its
MGCRB reclassification is used for wage
index calculation and payment
purposes in this proposed rule (that is,
this hospital would not be considered
rural for wage index purposes).
However, under our current wage index
policy, the hospital would be able to
influence the Massachusetts rural floor
by withdrawing or terminating its
MGCRB reclassification in accordance
with the regulation at § 412.273 for FY
2020 or subsequent years.
Returning to our simplified example,
for purposes of illustrating the impact of
an urban to rural reclassification on the
calculation of the rural floor under
current policy, again assume that the
rural wage index for a State is 1.1000.
Therefore, under current policy, the
rural floor for that State would be
1.1000. Any urban hospital with a wage
index value below 1.1000 in that State
would have its wage index value raised
to 1.1000. However, now assume that
one urban hospital in that State
subsequently reclassifies from urban to
rural and raises the rural wage index
from 1.1000 to 1.2000. Now, solely
because of a geographically urban
hospital, the rural floor in that State
would go from 1.1000 to 1.2000 under
current policy.
As noted by OIG in the November
2018 report referenced above, the stated
legislative intent of the rural floor was
to correct the ‘‘anomaly’’ of ‘‘some
urban hospitals being paid less than the
average rural hospital in their States.’’
(Report 105–149 of the Committee on
the Budget, House of Representatives, to
Accompany H.R. 2015, June 24, 1997,
section 10205, page 1305.) We believe
that urban to rural reclassifications have
stretched the rural floor provision
beyond a policy designed to address
such anomalies. Rather than raising the
payment of some urban hospitals to the
level of the average rural hospital in
their State, urban hospitals may have
their payments raised to the relatively
high level of one or more geographically
urban hospitals reclassified as rural. The
current state of affairs with respect to
urban to rural reclassifications goes
beyond the general criticisms of the
rural floor policy by MedPAC, CMS,
OIG, and many stakeholders. We believe
an adjustment is necessary to address
the unanticipated effects of urban to
rural reclassifications on the rural floor
and the resulting wage index disparities,
including the inappropriate wage index
disparities caused by the manipulation
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of the rural floor policy by some
hospitals.
Therefore, given the circumstances
described above, the comments received
on the request for information, and that
urban to rural reclassifications have
stretched the rural floor provision
beyond a policy designed to address
anomalies of some urban hospitals being
paid less than the average rural hospital
in their States, we are proposing to
remove urban to rural reclassifications
from the calculation of the rural floor.
In other words, under our proposal,
beginning in FY 2020, the rural floor
would be calculated without including
the wage data of urban hospitals that
have reclassified as rural under section
1886(d)(8)(E) of the Act (as
implemented at § 412.103). We believe
our proposed calculation methodology
is permissible under section
1886(d)(8)(E) of the Act and the rural
floor statute (section 4410 of Pub. L.
105–33). Section 1886(d)(8)(E) of the
Act does not specify where the wage
data of reclassified hospitals must be
included. Therefore, we believe we have
discretion to exclude the wage data of
such hospitals from the calculation of
the rural floor. Furthermore, the rural
floor statute does not specify how the
rural floor wage index is to be
calculated or what data are to be
included in the calculation. Therefore,
we also believe we have discretion
under the rural floor statute to exclude
the wage data of hospitals reclassified
under section 1886(d)(8)(E) of the Act
from the calculation of the rural floor.
We believe this proposed policy is
necessary and appropriate to address
the unanticipated effects of rural
reclassifications on the rural floor and
the resulting wage index disparities,
including the effects of the
manipulation of the rural floor by
certain hospitals. As discussed above,
the inclusion of reclassified hospitals in
the rural floor calculation has had the
unforeseen effect of exacerbating the
wage index disparities between low and
high wage index hospitals. Therefore,
under our proposal, in the case of
Massachusetts, for example, the
geographically rural hospital in
Nantucket would still be included in the
calculation of the rural floor for
Massachusetts, but a geographically
urban hospital reclassified under
§ 412.103 would not.
Returning to our simplified example
for purposes of illustrating the impact of
the proposed policy, again assume that
the rural wage index for a State is
1.1000 without any hospital in the State
having reclassified from urban to rural.
Therefore, the rural floor for that State
would be 1.1000. Any urban hospital
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with a wage index value below 1.1000
in that State would have its wage index
value raised to 1.1000. However, again
assume that one urban hospital in that
State subsequently reclassifies from
urban to rural and raises the rural wage
index from 1.1000 to 1.2000. Under our
proposed policy, the rural floor in that
State would not go from 1.1000 to
1.2000, but would remain at 1.1000
because urban to rural reclassifications
would no longer impact the rural floor.
As we discuss earlier, the purpose of
our proposal to calculate the rural floor
without including the wage data of
urban hospitals reclassified as rural
under section 1886(d)(8)(E) of the Act
(as implemented at § 412.103) is to
address wage index disparities that
result when urban hospitals may have
their payments raised to the relatively
high level of one or more geographically
urban hospitals reclassified as rural. In
particular, we believe that no urban
hospital not reclassified as rural should
have its payments raised to the
relatively high level of one or more
geographically urban hospitals
reclassified as rural, and we believe it
would be inappropriate to prevent this
for one class of urban hospitals not
reclassified as rural (that is, under the
rural floor provision) but allow this for
another. As such, for consistent
treatment of urban hospitals not
reclassified as rural, we also are
proposing to apply the provisions of
section 1886(d)(8)(C)(iii) of the Act
without including the wage data of
urban hospitals that have reclassified as
rural under section 1886(d)(8)(E) of the
Act (as implemented at § 412.103).
Because section 1886(d)(8)(C)(iii) of the
Act provides that reclassifications under
section 1886(d)(8)(B) of the Act and
section 1886(d)(10) of the Act may not
reduce any county’s wage index below
the wage index for rural areas in the
State, we are making this proposal to
help ensure no urban hospitals not
reclassified as rural, including those
hospitals with no reclassification as
well as those hospitals reclassified
under section 1886(d)(8)(B) of the Act or
section 1886(d)(10) of the Act, have
their payments raised to the relatively
high level of one or more geographically
urban hospitals reclassified as rural.
Specifically, for purposes of applying
the provisions of section
1886(d)(8)(C)(iii) of the Act, we are
proposing to remove urban to rural
reclassifications from the calculation of
‘‘the wage index for rural areas in the
State in which the county is located’’
referred to in section 1886(d)(8)(C)(iii)
of the Act.
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d. Proposed Transition for Hospitals
Negatively Impacted
We recognize that, absent further
adjustments, the combined effect of the
proposed changes to the FY 2020 wage
index could lead to significant decreases
in the wage index values for some
hospitals depending on the data for the
final rule. In the past, we have proposed
and finalized budget neutral transition
policies to help mitigate any significant
negative impacts on hospitals of certain
wage index proposals, and we believe it
would be appropriate to propose a
transition policy here for the same
purpose. For example, in the FY 2015
IPPS/LTCH PPS final rule (79 FR 49957
through 49963), we finalized a budget
neutral transition to address certain
wage index changes that occurred under
the new OMB CBSA delineations.
Therefore, for FY 2020, we are
proposing a transition wage index to
help mitigate any significant decreases
in the wage index values of hospitals
compared to their final wage indexes for
FY 2019. Specifically, for FY 2020, we
are proposing to place a 5-percent cap
on any decrease in a hospital’s wage
index from the hospital’s final wage
index in FY 2019. In other words, we
are proposing that a hospital’s final
wage index for FY 2020 would not be
less than 95 percent of its final wage
index for FY 2019. This proposed
transition would allow the effects of our
proposed policies to be phased in over
2 years with no estimated reduction in
the wage index of more than 5 percent
in FY 2020 (that is, no cap would be
applied the second year). We believe 5
percent is a reasonable level for the cap
because it would effectively mitigate
any significant decreases in the wage
index for FY 2020. However, we are
seeking public comments on alternative
levels for the cap and accompanying
rationale. Under the proposed transition
policy, we would compute the proposed
FY 2020 wage index for each hospital as
follows.
Step 1.—Compute the proposed FY
2020 ‘‘uncapped’’ wage index that
would result from the implementation
of proposed changes to the FY 2020
wage index.
Step 2.—Compute a proposed FY
2020 ‘‘capped’’ wage index which
would equal 95 percent of that
provider’s FY 2019 final wage index.
Step 3.—The proposed FY 2020 wage
index is the greater of the ‘‘uncapped’’
wage index computed in Step 1 or the
‘‘capped’’ wage index computed in
Step 2.
e. Transition Budget Neutrality
We are proposing to apply a budget
neutrality adjustment to the
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standardized amount so that our
proposed transition (described in
section III.N.3.c. of the preamble of this
proposed rule) for hospitals that could
be negatively impacted is implemented
in a budget neutral manner under our
authority in section 1886(d)(5)(I) of the
Act. We note that implementing the
proposed transition wage index in a
budget neutral manner is consistent
with past practice (for example, 79 FR
50372) where CMS has used its
exceptions and adjustments authority
under section 1886(d)(5)(I)(i) of the Act
to budget neutralize transition wage
index policies when such policies allow
for the application of a transitional wage
index only when it benefits the hospital.
We believed, and continue to believe,
that it would be appropriate to ensure
that such policies do not increase
estimated aggregate Medicare payments
beyond the payments that would be
made had we never proposed these
transition policies (79 FR 50732).
Therefore, for FY 2020, we are
proposing to use our exceptions and
adjustments authority under section
1886(d)(5)(I)(i) of the Act to apply a
budget neutrality adjustment to the
standardized amount so that our
proposed transition (described in
section III.N.3.d. of the preamble of this
proposed rule) for hospitals negatively
impacted is implemented in a budget
neutral manner.
Specifically, we are proposing to
apply a budget neutrality adjustment to
ensure that estimated aggregate
payments under our proposed transition
(described in section III.N.3.d. of the
preamble of this proposed rule) for
hospitals negatively impacted by our
proposed wage index policies would
equal what estimated aggregate
payments would have been without the
proposed transition for hospitals
negatively impacted. To determine the
associated budget neutrality factor, we
compared estimated aggregate IPPS
payments with and without the
proposed transition. To achieve budget
neutrality for the proposed transition
policy, we are proposing to apply a
budget neutrality adjustment factor of
0.998349 to the FY 2020 standardized
amount, as further discussed in section
I.A.4.f. of the Addendum to this
proposed rule. If this policy is adopted
in the final rule, this number would be
updated based on the final rule data.
We note that our proposal, discussed
in section III.N.3.c. of the preamble of
this proposed rule, to prevent
inappropriate payment increases due
rural reclassifications under § 412.103
would also be budget neutral, but this
budget neutrality would occur through
the proposed budget neutrality
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adjustments for geographic
reclassifications and the rural floor that
are discussed in the Addendum to this
proposed rule.
IV. Other Decisions and Proposed
Changes to the IPPS for Operating
System
amozie on DSK9F9SC42PROD with PROPOSALS2
A. Proposed Changes to MS–DRGs
Subject to Postacute Care Transfer
Policy and MS–DRG Special Payments
Policies (§ 412.4)
1. Background
Existing regulations at 42 CFR
412.4(a) define discharges under the
IPPS as situations in which a patient is
formally released from an acute care
hospital or dies in the hospital. Section
412.4(b) defines acute care transfers,
and § 412.4(c) defines postacute care
transfers. Our policy set forth in
§ 412.4(f) provides that when a patient
is transferred and his or her length of
stay is less than the geometric mean
length of stay for the MS–DRG to which
the case is assigned, the transferring
hospital is generally paid based on a
graduated per diem rate for each day of
stay, not to exceed the full MS–DRG
payment that would have been made if
the patient had been discharged without
being transferred.
The per diem rate paid to a
transferring hospital is calculated by
dividing the full MS–DRG payment by
the geometric mean length of stay for
the MS–DRG. Based on an analysis that
showed that the first day of
hospitalization is the most expensive
(60 FR 45804), our policy generally
provides for payment that is twice the
per diem amount for the first day, with
each subsequent day paid at the per
diem amount up to the full MS–DRG
payment (§ 412.4(f)(1)). Transfer cases
also are eligible for outlier payments. In
general, the outlier threshold for transfer
cases, as described in § 412.80(b), is
equal to the fixed-loss outlier threshold
for nontransfer cases (adjusted for
geographic variations in costs), divided
by the geometric mean length of stay for
the MS–DRG, and multiplied by the
length of stay for the case, plus 1 day.
We established the criteria set forth in
§ 412.4(d) for determining which DRGs
qualify for postacute care transfer
payments in the FY 2006 IPPS final rule
(70 FR 47419 through 47420). The
determination of whether a DRG is
subject to the postacute care transfer
policy was initially based on the
Medicare Version 23.0 GROUPER (FY
2006) and data from the FY 2004
MedPAR file. However, if a DRG did not
exist in Version 23.0 or a DRG included
in Version 23.0 is revised, we use the
current version of the Medicare
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GROUPER and the most recent complete
year of MedPAR data to determine if the
DRG is subject to the postacute care
transfer policy. Specifically, if the MS–
DRG’s total number of discharges to
postacute care equals or exceeds the
55th percentile for all MS–DRGs and the
proportion of short-stay discharges to
postacute care to total discharges in the
MS–DRG exceeds the 55th percentile for
all MS–DRGs, CMS will apply the
postacute care transfer policy to that
MS–DRG and to any other MS–DRG that
shares the same base MS–DRG. The
statute directs us to identify MS–DRGs
based on a high volume of discharges to
postacute care facilities and a
disproportionate use of postacute care
services. As discussed in the FY 2006
IPPS final rule (70 FR 47416), we
determined that the 55th percentile is
an appropriate level at which to
establish these thresholds. In that same
final rule (70 FR 47419), we stated that
we will not revise the list of DRGs
subject to the postacute care transfer
policy annually unless we are making a
change to a specific MS–DRG.
To account for MS–DRGs subject to
the postacute care policy that exhibit
exceptionally higher shares of costs very
early in the hospital stay, § 412.4(f) also
includes a special payment
methodology. For these MS–DRGs,
hospitals receive 50 percent of the full
MS–DRG payment, plus the single per
diem payment, for the first day of the
stay, as well as a per diem payment for
subsequent days (up to the full MS–DRG
payment (§ 412.4(f)(6)). For an MS–DRG
to qualify for the special payment
methodology, the geometric mean
length of stay must be greater than 4
days, and the average charges of 1-day
discharge cases in the MS–DRG must be
at least 50 percent of the average charges
for all cases within the MS–DRG. MS–
DRGs that are part of an MS–DRG
severity level group will qualify under
the MS–DRG special payment
methodology policy if any one of the
MS–DRGs that share that same base
MS–DRG qualifies (§ 412.4(f)(6)).
Prior to the enactment of the
Bipartisan Budget Act of 2018 (Pub. L.
115–123), under section 1886(d)(5)(J) of
the Act, a discharge was deemed a
‘‘qualified discharge’’ if the individual
was discharged to one of the following
postacute care settings:
• A hospital or hospital unit that is
not a subsection (d) hospital.
• A skilled nursing facility.
• Related home health services
provided by a home health agency
provided within a timeframe established
by the Secretary (beginning within 3
days after the date of discharge).
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Fmt 4701
Sfmt 4702
19399
Section 53109 of the Bipartisan
Budget Act of 2018 amended section
1886(d)(5)(J)(ii) of the Act to also
include discharges to hospice care
provided by a hospice program as a
qualified discharge, effective for
discharges occurring on or after October
1, 2018. Accordingly, effective for
discharges occurring on or after October
1, 2018, if a discharge is assigned to one
of the MS–DRGs subject to the postacute
care transfer policy and the individual
is transferred to hospice care by a
hospice program, the discharge is
subject to payment as a transfer case. In
the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41394), we made conforming
amendments to § 412.4(c) of the
regulation to include discharges to
hospice care occurring on or after
October 1, 2018 as qualified discharges.
We specified that hospital bills with a
Patient Discharge Status code of 50
(Discharged/Transferred to Hospice—
Routine or Continuous Home Care) or
51 (Discharged/Transferred to Hospice,
General Inpatient Care or Inpatient
Respite) are subject to the postacute care
transfer policy in accordance with this
statutory amendment. Consistent with
our policy for other qualified
discharges, CMS claims processing
software has been revised to identify
cases in which hospice benefits were
billed on the date of hospital discharge
without the appropriate discharge status
code. Such claims will be returned as
unpayable to the hospital and may be
rebilled with a corrected discharge code.
2. Proposed Changes for FY 2020
As discussed in section II.F. of the
preamble of this FY 2020 IPPS/LTCH
PPS proposed rule, based on our
analysis of FY 2018 MedPAR claims
data, we are proposing to make changes
to a number of MS–DRGs, effective for
FY 2020. Specifically, we are proposing
to:
• Reassign procedure codes from MS–
DRGs 216 through 218 (Cardiac Valve
and Other Major Cardiothoracic
Procedures with Cardiac Catheterization
with MCC, CC and without CC/MCC,
respectively), MS–DRGs 219 through
221 (Cardiac Valve and Other Major
Cardiothoracic Procedures without
Cardiac Catheterization with MCC, CC
and without CC/MCC, respectively), and
MS–DRGs 273 and 274 (Percutaneous
Intracardiac Procedures with and
without MCC, respectively) and create
new MS–DRGs 319 and 320 (Other
Endovascular Cardiac Valve Procedures
with and without MCC, respectively);
and
• Delete MS–DRGs 691 and 692
(Urinary Stones with ESW Lithotripsy
with CC/MCC and without CC/MCC,
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respectively) and revise the titles for
MS–DRGs 693 and 694 to ‘‘Urinary
Stones with MCC’’ and ‘‘Urinary Stones
without MCC’’, respectively.
In light of the proposed changes to
these MS–DRGs for FY 2020, according
to the regulations under § 412.4(d), we
evaluated these MS–DRGs using the
general postacute care transfer policy
criteria and data from the FY 2018
MedPAR file. If an MS–DRG qualified
for the postacute care transfer policy, we
also evaluated that MS–DRG under the
special payment methodology criteria
according to regulations at § 412.4(f)(6).
We continue to believe it is appropriate
to reassess MS–DRGs when proposing
reassignment of procedure codes or
diagnosis codes that would result in
material changes to an MS–DRG. MS–
Proposed new
or revised
MS–DRGS
DRGs 216, 217, 218, 219, 220, and 221
are currently subject to the postacute
care transfer policy. As a result of our
review, these MS–DRGs, as proposed to
be revised, would continue to qualify to
be included on the list of MS–DRGs that
are subject to the postacute care transfer
policy. MS–DRGs 273 and 274 are also
currently subject to the postacute care
transfer policy and MS–DRGs 693 and
694 are currently not subject to the
postacute care transfer policy. As a
result of our review, these MS–DRGs, as
proposed to be revised, would not
qualify to be included on the list of MS–
DRGs that are subject to the postacute
care transfer policy. Proposed new MS–
DRGs 319 and 320 also would not
qualify to be included on the list of MS–
DRGs that are subject to the postacute
MS–DRG title
216 .....................
217 .....................
218 .....................
219 .....................
220 .....................
221 .....................
273 .....................
274 .....................
319 .....................
320 .....................
693 .....................
694 .....................
Postacute
care
transfers
(55th percentile: 1,400)
Short-stay
postacute
care transfers
Percent of
short-stay
postacute
care transfers
to all cases
(55th percentile:
8.5132%)
5,733
4,196
1,643
28.6586
Yes ....................
Yes.
2,317
1,551
424
18.2995
Yes ....................
Yes.
599
* 328
67
11.1853
Yes ....................
** Yes.
13,177
9,216
3,450
26.182
Yes ....................
Yes.
16,201
10,247
2,914
17.9865
Yes ....................
Yes.
6,070
3,205
239
* 3.9374
Yes ....................
** Yes.
5,958
2,152
280
* 4.6996
Yes ....................
No.
0
*0
0
*0
Yes ....................
No.
1,651
* 842
191
11.5687
New ...................
No.
707
* 229
30
* 4.2433
New ...................
No.
1,300
8,025
* 541
1,739
81
185
* 6.2308
* 2.3053
No ......................
No ......................
No.
No.
Total cases
Cardiac Valve & Other Major
Cardiothoracic Procedure with
Cardiac Catheterization with MCC.
Cardiac Valve & Other Major
Cardiothoracic Procedure with
Cardiac Catheterization with CC.
Cardiac Valve & Other Major
Cardiothoracic Procedure with
Cardiac Catheterization without
CC/MCC.
Cardiac Valve & Other Major
Cardiothoracic Procedure without
Cardiac Catheterization with MCC.
Cardiac Valve & Other Major
Cardiothoracic Procedure without
Cardiac Catheterization with CC.
Cardiac Valve & Other Major
Cardiothoracic Procedure without
Cardiac Catheterization without
CC/MCC.
Percutaneous Intracardiac Procedures with MCC.
Percutaneous Intracardiac Procedures without MCC.
Other Endovascular Cardiac Valve
Procedures with MCC.
Other Endovascular Cardiac Valve
Procedures without MCC.
Urinary Stones with MCC .................
Urinary Stones without MCC ............
care transfer policy. Therefore, we are
proposing to remove MS–DRGs 273 and
274 from the list of MS–DRGs that are
subject to the postacute care transfer
policy. We note that MS–DRGs that are
subject to the postacute care transfer
policy for FY 2019 and are not revised
will continue to be subject to the policy
in FY 2020.
Using the December 2018 update of
the FY 2018 MedPAR file, we developed
the chart below, which sets forth the
most recent analysis of the postacute
care transfer policy criteria completed
for this proposed rule with respect to
each of these proposed new or revised
MS–DRGs. For the FY 2020 final rule,
we intend to update this analysis using
the most recent available data at that
time.
Current
postacute care
transfer policy
status
Proposed
postacute care
transfer policy
status
amozie on DSK9F9SC42PROD with PROPOSALS2
* Indicates a current postacute care transfer policy criterion that the MS–DRG did not meet.
** As described in the policy at 42 CFR 412.4(d)(3)(ii)(D), MS–DRGs that share the same base MS–DRG will all qualify under the postacute care transfer policy if
any one of the MS–DRGs that share that same base MS–DRG qualifies.
During our annual review of proposed
new or revised MS–DRGs and analysis
of the December 2018 update of the FY
2018 MedPAR file, we reviewed the list
of proposed revised or new MS–DRGs
that qualify to be included on the list of
MS–DRGs subject to the postacute care
transfer policy for FY 2020 to determine
if any of these MS–DRGs would also be
subject to the special payment
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methodology policy for FY 2020. Based
on our analysis of proposed changes to
MS–DRGs included in this proposed
rule, we determined that proposed
revised MS–DRGs 216, 217, 218, 219,
220, and 221 would continue to meet
the criteria for the MS–DRG special
payment methodology. Because we are
proposing to remove MS–DRGs 273 and
274 from the list of MS–DRGs subject to
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Fmt 4701
Sfmt 4702
the postacute care transfer policy, we
also are proposing to remove these MS–
DRGs from the list of MS–DRGs subject
to the MS–DRG special payment
methodology, effective FY 2020.
For the FY 2020 final rule, we intend
to update this analysis using the most
recent available data at that time.
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Proposed
revised
MS–DRG
216 .................
217 .................
218 .................
219 .................
220 .................
221 .................
MS–DRG title
Cardiac Valve & Other Major
Cardiothoracic Procedure with Cardiac
Catheterization with MCC.
Cardiac Valve & Other Major
Cardiothoracic Procedure with Cardiac
Catheterization with CC.
Cardiac Valve & Other Major
Cardiothoracic Procedure with Cardiac
Catheterization without CC/MCC.
Cardiac Valve & Other Major
Cardiothoracic Procedure without Cardiac Catheterization with MCC.
Cardiac Valve & Other Major
Cardiothoracic Procedure without Cardiac Catheterization with CC.
Cardiac Valve & Other Major
Cardiothoracic Procedure without Cardiac Catheterization without CC/MCC.
The proposed postacute care transfer
and special payment policy status of
these MS–DRGs is reflected in Table 5
associated with this proposed rule,
which is listed in section VI. of the
Addendum to this proposed rule and
available via the internet on the CMS
website.
B. Proposed Changes in the Inpatient
Hospital Update for FY 2020
(§ 412.64(d))
amozie on DSK9F9SC42PROD with PROPOSALS2
1. Proposed FY 2020 Inpatient Hospital
Update
In accordance with section
1886(b)(3)(B)(i) of the Act, each year we
update the national standardized
amount for inpatient hospital operating
costs by a factor called the ‘‘applicable
percentage increase.’’ For FY 2020, we
are setting the applicable percentage
increase by applying the adjustments
listed in this section in the same
sequence as we did for FY 2019. (We
note that section 1886(b)(3)(B)(xii) of the
Act required an additional reduction
each year only for FYs 2010 through
2019.) Specifically, consistent with
section 1886(b)(3)(B) of the Act, as
amended by sections 3401(a) and
10319(a) of the Affordable Care Act, we
are setting the applicable percentage
increase by applying the following
adjustments in the following sequence.
The applicable percentage increase
under the IPPS for FY 2020 is equal to
the rate-of-increase in the hospital
market basket for IPPS hospitals in all
areas, subject to—
(a) A reduction of one-quarter of the
applicable percentage increase (prior to
the application of other statutory
adjustments; also referred to as the
market basket update or rate-of-increase
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50 Percent of
average
charges for all
cases within
MS–DRG
Average
charges
of 1-day
discharges
Geometric
mean length
of stay
Frm 00245
Proposed
special
payment
policy status
14.1126
0
$186,087.76
Yes .................
Yes.
8.9229
147,964.00
128,141.91
Yes .................
Yes.
6.46878
203,555.50
101,286.68
Yes .................
Yes.
9.48987
185,157.20
152,482.54
Yes .................
Yes.
6.3373
115,955.36
101,812.54
Yes .................
Yes.
4.66413
127,074.88
82,400.23
Yes .................
Yes.
(with no adjustments)) for hospitals that
fail to submit quality information under
rules established by the Secretary in
accordance with section
1886(b)(3)(B)(viii) of the Act;
(b) A reduction of three-quarters of
the applicable percentage increase (prior
to the application of other statutory
adjustments; also referred to as the
market basket update or rate-of-increase
(with no adjustments)) for hospitals not
considered to be meaningful EHR users
in accordance with section
1886(b)(3)(B)(ix) of the Act; and
(c) An adjustment based on changes
in economy-wide productivity (the
multifactor productivity (MFP)
adjustment).
Section 1886(b)(3)(B)(xi) of the Act, as
added by section 3401(a) of the
Affordable Care Act, states that
application of the MFP adjustment may
result in the applicable percentage
increase being less than zero.
In compliance with section 404 of the
MMA, in the FY 2018 IPPS/LTCH PPS
final rule (82 FR 38158 through 38175),
we replaced the FY 2010-based IPPS
operating market basket with the
rebased and revised 2014-based IPPS
operating market basket, effective with
FY 2018.
We are proposing to base the
proposed FY 2020 market basket update
used to determine the applicable
percentage increase for the IPPS on IHS
Global Inc.’s (IGI’s) fourth quarter 2018
forecast of the 2014-based IPPS market
basket rate-of-increase with historical
data through third quarter 2018, which
is estimated to be 3.2 percent. We also
are proposing that if more recent data
subsequently become available (for
example, a more recent estimate of the
market basket and the MFP adjustment),
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Current
special
payment
policy status
Fmt 4701
Sfmt 4702
we would use such data, if appropriate,
to determine the FY 2020 market basket
update and the MFP adjustment in the
final rule.
For FY 2020, depending on whether
a hospital submits quality data under
the rules established in accordance with
section 1886(b)(3)(B)(viii) of the Act
(hereafter referred to as a hospital that
submits quality data) and is a
meaningful EHR user under section
1886(b)(3)(B)(ix) of the Act (hereafter
referred to as a hospital that is a
meaningful EHR user), there are four
possible applicable percentage increases
that can be applied to the standardized
amount, as specified in the table that
appears later in this section.
In the FY 2012 IPPS/LTCH PPS final
rule (76 FR 51689 through 51692), we
finalized our methodology for
calculating and applying the MFP
adjustment. As we explained in that
rule, section 1886(b)(3)(B)(xi)(II) of the
Act, as added by section 3401(a) of the
Affordable Care Act, defines this
productivity adjustment as equal to the
10-year moving average of changes in
annual economy-wide, private nonfarm
business MFP (as projected by the
Secretary for the 10-year period ending
with the applicable fiscal year, calendar
year, cost reporting period, or other
annual period). The Bureau of Labor
Statistics (BLS) publishes the official
measure of private nonfarm business
MFP. We refer readers to the BLS
website at https://www.bls.gov/mfp for
the BLS historical published MFP data.
MFP is derived by subtracting the
contribution of labor and capital input
growth from output growth. The
projections of the components of MFP
are currently produced by IGI, a
nationally recognized economic
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forecasting firm with which CMS
contracts to forecast the components of
the market baskets and MFP. As we
discussed in the FY 2016 IPPS/LTCH
PPS final rule (80 FR 49509), beginning
with the FY 2016 rulemaking cycle, the
MFP adjustment is calculated using the
revised series developed by IGI to proxy
the aggregate capital inputs.
Specifically, in order to generate a
forecast of MFP, IGI forecasts BLS
aggregate capital inputs using a
regression model. A complete
description of the MFP projection
methodology is available on the CMS
website at: https://www.cms.gov/
Research-Statistics-Data-and-Systems/
Statistics-Trends-and-Reports/
MedicareProgramRatesStats/
MarketBasketResearch.html. As
discussed in the FY 2016 IPPS/LTCH
PPS final rule, if IGI makes changes to
the MFP methodology, we will
announce them on our website rather
than in the annual rulemaking.
For FY 2020, we are proposing an
MFP adjustment of 0.5 percentage point.
Similar to the market basket update, for
this proposed rule, we used IGI’s fourth
quarter 2018 forecast of the MFP
adjustment to compute the proposed FY
2020 MFP adjustment. As noted
previously, we are proposing that if
more recent data subsequently become
available, we would use such data, if
appropriate, to determine the FY 2020
market basket update and the MFP
adjustment for the final rule.
Based on these data, for this proposed
rule, we have determined four proposed
applicable percentage increases to the
standardized amount for FY 2020, as
specified in the following table:
PROPOSED FY 2020 APPLICABLE PERCENTAGE INCREASES FOR THE IPPS
Hospital
submitted
quality data
and is a
meaningful
EHR user
FY 2020
amozie on DSK9F9SC42PROD with PROPOSALS2
Proposed Market Basket Rate-of-Increase .....................................................
Proposed Adjustment for Failure to Submit Quality Data under Section
1886(b)(3)(B)(viii) of the Act ........................................................................
Proposed Adjustment for Failure to be a Meaningful EHR User under Section 1886(b)(3)(B)(ix) of the Act ...................................................................
Proposed MFP Adjustment under Section 1886(b)(3)(B)(xi) of the Act ..........
Proposed Applicable Percentage Increase Applied to Standardized Amount
We are proposing to revise the
existing regulations at 42 CFR 412.64(d)
to reflect the current law for the update
for FY 2020 and subsequent fiscal years.
Specifically, in accordance with section
1886(b)(3)(B) of the Act, we are
proposing to add paragraph (viii) to
§ 412.64(d)(1) to set forth the applicable
percentage increase to the operating
standardized amount for FY 2020 and
subsequent fiscal years as the
percentage increase in the market basket
index, subject to the reductions
specified under § 412.64(d)(2) for a
hospital that does not submit quality
data and § 412.64(d)(3) for a hospital
that is not a meaningful EHR user, less
an MFP adjustment. (As noted above,
section 1886(b)(3)(B)(xii) of the Act
required an additional reduction each
year only for FYs 2010 through 2019.)
Section 1886(b)(3)(B)(iv) of the Act
provides that the applicable percentage
increase to the hospital-specific rates for
SCHs and MDHs equals the applicable
percentage increase set forth in section
1886(b)(3)(B)(i) of the Act (that is, the
same update factor as for all other
hospitals subject to the IPPS). Therefore,
the update to the hospital-specific rates
for SCHs and MDHs also is subject to
section 1886(b)(3)(B)(i) of the Act, as
amended by sections 3401(a) and
10319(a) of the Affordable Care Act.
(Under current law, the MDH program
is effective for discharges on or before
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Jkt 247001
Hospital
submitted
quality data
and is NOT a
meaningful
EHR user
Frm 00246
Fmt 4701
Sfmt 4702
Hospital did
NOT submit
quality data
and is NOT a
meaningful
EHR user
3.2
3.2
3.2
3.2
0
0
¥0.8
¥0.8
0
¥0.5
2.7
¥2.4
¥0.5
0.3
0
¥0.5
1.9
¥2.4
¥0.5
¥0.5
September 30, 2022, as discussed in the
FY 2019 IPPS/LTCH PPS final rule (83
FR 41429 through 41430).)
For FY 2020, we are proposing the
following updates to the hospitalspecific rates applicable to SCHs and
MDHs: A proposed update of 2.7
percent for a hospital that submits
quality data and is a meaningful EHR
user; a proposed update of 1.9 percent
for a hospital that fails to submit quality
data and is a meaningful EHR user; a
proposed update of 0.3 percent for a
hospital that submits quality data and is
not a meaningful EHR user; and a
proposed update of ¥0.5 percent for a
hospital that fails to submit quality data
and is not a meaningful EHR user. As
noted previously, for this FY 2020 IPPS/
LTCH PPS proposed rule, we are using
IGI’s fourth quarter 2018 forecast of the
2014-based IPPS market basket update
with historical data through third
quarter 2018. Similarly, we are using
IGI’s fourth quarter 2018 forecast of the
MFP adjustment. We are proposing that
if more recent data subsequently
become available (for example, a more
recent estimate of the market basket
increase and the MFP adjustment), we
would use such data, if appropriate, to
determine the update in the final rule.
PO 00000
Hospital did
NOT submit
quality data
and is a
meaningful
EHR user
2. Proposed FY 2020 Puerto Rico
Hospital Update
As discussed in the FY 2017 IPPS/
LTCH PPS final rule (81 FR 56937
through 56938), prior to January 1, 2016,
Puerto Rico hospitals were paid based
on 75 percent of the national
standardized amount and 25 percent of
the Puerto Rico-specific standardized
amount. Section 601 of Public Law 114–
113 amended section 1886(d)(9)(E) of
the Act to specify that the payment
calculation with respect to operating
costs of inpatient hospital services of a
subsection (d) Puerto Rico hospital for
inpatient hospital discharges on or after
January 1, 2016, shall use 100 percent
of the national standardized amount.
Because Puerto Rico hospitals are no
longer paid with a Puerto Rico-specific
standardized amount under the
amendments to section 1886(d)(9)(E) of
the Act, there is no longer a need for us
to determine an update to the Puerto
Rico standardized amount. Hospitals in
Puerto Rico are now paid 100 percent of
the national standardized amount and,
therefore, are subject to the same update
to the national standardized amount
discussed under section IV.B.1. of the
preamble of this proposed rule.
Accordingly, in this FY 2020 IPPS/
LTCH PPS proposed rule, for FY 2020,
we are proposing an applicable
percentage increase of 2.7 percent to the
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standardized amount for hospitals
located in Puerto Rico.
We note that section
1886(b)(3)(B)(viii) of the Act, which
specifies the adjustment to the
applicable percentage increase for
‘‘subsection (d)’’ hospitals that do not
submit quality data under the rules
established by the Secretary, is not
applicable to hospitals located in Puerto
Rico.
In addition, section 602 of Public Law
114–113 amended section 1886(n)(6)(B)
of the Act to specify that Puerto Rico
hospitals are eligible for incentive
payments for the meaningful use of
certified EHR technology, effective
beginning FY 2016, and also to apply
the adjustments to the applicable
percentage increase under section
1886(b)(3)(B)(ix) of the Act to Puerto
Rico hospitals that are not meaningful
EHR users, effective FY 2022.
Accordingly, because the provisions of
section 1886(b)(3)(B)(ix) of the Act are
not applicable to hospitals located in
Puerto Rico until FY 2022, the
adjustments under this provision are not
applicable for FY 2020.
C. Rural Referral Centers (RRCs)
Proposed Annual Updates to Case-Mix
Index and Discharge Criteria (§ 412.96)
Under the authority of section
1886(d)(5)(C)(i) of the Act, the
regulations at § 412.96 set forth the
criteria that a hospital must meet in
order to qualify under the IPPS as a
rural referral center (RRC). RRCs receive
some special treatment under both the
DSH payment adjustment and the
criteria for geographic reclassification.
Section 402 of Public Law 108–173
raised the DSH payment adjustment for
RRCs such that they are not subject to
the 12-percent cap on DSH payments
that is applicable to other rural
hospitals. RRCs also are not subject to
the proximity criteria when applying for
geographic reclassification. In addition,
they do not have to meet the
requirement that a hospital’s average
hourly wage must exceed, by a certain
percentage, the average hourly wage of
the labor market area in which the
hospital is located.
Section 4202(b) of Public Law 105–33
states, in part, that any hospital
classified as an RRC by the Secretary for
FY 1991 shall be classified as such an
RRC for FY 1998 and each subsequent
fiscal year. In the August 29, 1997 IPPS
final rule with comment period (62 FR
45999), we reinstated RRC status for all
hospitals that lost that status due to
triennial review or MGCRB
reclassification. However, we did not
reinstate the status of hospitals that lost
RRC status because they were now
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urban for all purposes because of the
OMB designation of their geographic
area as urban. Subsequently, in the
August 1, 2000 IPPS final rule (65 FR
47089), we indicated that we were
revisiting that decision. Specifically, we
stated that we would permit hospitals
that previously qualified as an RRC and
lost their status due to OMB
redesignation of the county in which
they are located from rural to urban, to
be reinstated as an RRC. Otherwise, a
hospital seeking RRC status must satisfy
all of the other applicable criteria. We
use the definitions of ‘‘urban’’ and
‘‘rural’’ specified in Subpart D of 42 CFR
part 412. One of the criteria under
which a hospital may qualify as an RRC
is to have 275 or more beds available for
use (§ 412.96(b)(1)(ii)). A rural hospital
that does not meet the bed size
requirement can qualify as an RRC if the
hospital meets two mandatory
prerequisites (a minimum case-mix
index (CMI) and a minimum number of
discharges), and at least one of three
optional criteria (relating to specialty
composition of medical staff, source of
inpatients, or referral volume). (We refer
readers to § 412.96(c)(1) through (c)(5)
and the September 30, 1988 Federal
Register (53 FR 38513) for additional
discussion.) With respect to the two
mandatory prerequisites, a hospital may
be classified as an RRC if—
• The hospital’s CMI is at least equal
to the lower of the median CMI for
urban hospitals in its census region,
excluding hospitals with approved
teaching programs, or the median CMI
for all urban hospitals nationally; and
• The hospital’s number of discharges
is at least 5,000 per year, or, if fewer, the
median number of discharges for urban
hospitals in the census region in which
the hospital is located. The number of
discharges criterion for an osteopathic
hospital is at least 3,000 discharges per
year, as specified in section
1886(d)(5)(C)(i) of the Act.
1. Case-Mix Index (CMI)
Section 412.96(c)(1) provides that
CMS establish updated national and
regional CMI values in each year’s
annual notice of prospective payment
rates for purposes of determining RRC
status. The methodology we used to
determine the national and regional CMI
values is set forth in the regulations at
§ 412.96(c)(1)(ii). The proposed national
median CMI value for FY 2020 is based
on the CMI values of all urban hospitals
nationwide, and the proposed regional
median CMI values for FY 2020 are
based on the CMI values of all urban
hospitals within each census region,
excluding those hospitals with
approved teaching programs (that is,
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19403
those hospitals that train residents in an
approved GME program as provided in
§ 413.75). These proposed values are
based on discharges occurring during
FY 2018 (October 1, 2017 through
September 30, 2018), and include bills
posted to CMS’ records through
December 2018.
In this FY 2020 IPPS/LTCH PPS
proposed rule, we are proposing that, in
addition to meeting other criteria, if
rural hospitals with fewer than 275 beds
are to qualify for initial RRC status for
cost reporting periods beginning on or
after October 1, 2019, they must have a
CMI value for FY 2018 that is at least—
• 1.68555 (national—all urban); or
• The median CMI value (not
transfer-adjusted) for urban hospitals
(excluding hospitals with approved
teaching programs as identified in
§ 413.75) calculated by CMS for the
census region in which the hospital is
located.
The proposed median CMI values by
region are set forth in the table below.
We intend to update the proposed CMI
values in the FY 2020 final rule to
reflect the updated FY 2018 MedPAR
file, which will contain data from
additional bills received through March
2019.
Region
1. New England (CT, ME, MA,
NH, RI, VT) ...........................
2. Middle Atlantic (PA, NJ, NY)
3. South Atlantic (DE, DC, FL,
GA, MD, NC, SC, VA, WV) ..
4. East North Central (IL, IN,
MI, OH, WI) ...........................
5. East South Central (AL, KY,
MS, TN) .................................
6. West North Central (IA, KS,
MN, MO, NE, ND, SD) ..........
7. West South Central (AR, LA,
OK, TX) .................................
8. Mountain (AZ, CO, ID, MT,
NV, NM, UT, WY) .................
9. Pacific (AK, CA, HI, OR,
WA) .......................................
Proposed
case-mix
index value
1.4231
1.492
1.576
1.5921
1.5579
1.67025
1.7172
1.7769
1.6699
A hospital seeking to qualify as an
RRC should obtain its hospital-specific
CMI value (not transfer-adjusted) from
its MAC. Data are available on the
Provider Statistical and Reimbursement
(PS&R) System. In keeping with our
policy on discharges, the CMI values are
computed based on all Medicare patient
discharges subject to the IPPS MS–DRGbased payment.
2. Discharges
Section 412.96(c)(2)(i) provides that
CMS set forth the national and regional
numbers of discharges criteria in each
year’s annual notice of prospective
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The additional payment adjustment to a
low-volume hospital provided for under
section 1886(d)(12) of the Act is in
addition to any payment calculated
under section 1886 of the Act.
Therefore, the additional payment
adjustment is based on the per discharge
amount paid to the qualifying hospital
under section 1886 of the Act. In other
words, the low-volume hospital
payment adjustment is based on total
per discharge payments made under
section 1886 of the Act, including
capital, DSH, IME, and outlier
payments. For SCHs and MDHs, the
low-volume hospital payment
adjustment is based in part on either the
Federal rate or the hospital-specific rate,
whichever results in a greater operating
IPPS payment.
As discussed in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41398
through 41399), section 50204 of the
Bipartisan Budget Act of 2018 (Pub. L.
115–123) modified the definition of a
low-volume hospital and the
methodology for calculating the
payment adjustment for low-volume
hospitals for FYs 2019 through 2022.
(Section 50204 also extended prior
changes to the definition of a lowvolume hospital and the methodology
for calculating the payment adjustment
Number of
for low-volume hospitals through FY
discharges
2018.) Beginning with FY 2023, the lowvolume hospital qualifying criteria and
8,542 payment adjustment will revert to the
10,154 statutory requirements that were in
effect prior to FY 2011. (For additional
10,653
information on the low-volume hospital
8,379 payment adjustment prior to FY 2018,
we refer readers to the FY 2017 IPPS/
7,627 LTCH PPS final rule (81 FR 56941
through 56943). For additional
7,850 information on the low-volume hospital
payment adjustment for FY 2018, we
5,468 refer readers to the FY 2018 IPPS notice
(CMS–1677–N) that appeared in the
8,618
Federal Register on April 26, 2018 (83
8,618 FR 18301 through 18308).)
payment rates for purposes of
determining RRC status. As specified in
section 1886(d)(5)(C)(ii) of the Act, the
national standard is set at 5,000
discharges. For FY 2020, we are
proposing to update the regional
standards based on discharges for urban
hospitals’ cost reporting periods that
began during FY 2017 (that is, October
1, 2016 through September 30, 2017),
which are the latest cost report data
available at the time this proposed rule
was developed. Therefore, we are
proposing that, in addition to meeting
other criteria, a hospital, if it is to
qualify for initial RRC status for cost
reporting periods beginning on or after
October 1, 2019, must have, as the
number of discharges for its cost
reporting period that began during FY
2017, at least—
• 5,000 (3,000 for an osteopathic
hospital); or
• If less, the median number of
discharges for urban hospitals in the
census region in which the hospital is
located. The proposed numbers of
discharges are set forth in the table
below. We intend to update these
numbers in the FY 2020 final rule based
on the latest available cost report data.
Region
1. New England (CT, ME, MA,
NH, RI, VT) ...........................
2. Middle Atlantic (PA, NJ, NY)
3. South Atlantic (DE, DC, FL,
GA, MD, NC, SC, VA, WV) ..
4. East North Central (IL, IN,
MI, OH, WI) ...........................
5. East South Central (AL, KY,
MS, TN) .................................
6. West North Central (IA, KS,
MN, MO, NE, ND, SD) ..........
7. West South Central (AR, LA,
OK, TX) .................................
8. Mountain (AZ, CO, ID, MT,
NV, NM, UT, WY) .................
9. Pacific (AK, CA, HI, OR,
WA) .......................................
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We note that because the median
number of discharges for hospitals in
each census region is greater than the
national standard of 5,000 discharges,
under this proposed rule, 5,000
discharges is the minimum criterion for
all hospitals, except for osteopathic
hospitals for which the minimum
criterion is 3,000 discharges.
D. Proposed Payment Adjustment for
Low-Volume Hospitals (§ 412.101)
1. Background
Section 1886(d)(12) of the Act
provides for an additional payment to
each qualifying low-volume hospital
under the IPPS beginning in FY 2005.
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2. Temporary Changes to the LowVolume Hospital Definition and
Payment Adjustment Methodology for
FYs 2019 Through 2022
As discussed earlier, section 50204 of
the Bipartisan Budget Act of 2018
further modified the definition of a lowvolume hospital and the methodology
for calculating the payment adjustment
for low-volume hospitals for FYs 2019
through 2022. Specifically, the
qualifying criteria for low-volume
hospitals under section 1886(d)(12)(C)(i)
of the Act were amended to specify that,
for FYs 2019 through 2022, a subsection
(d) hospital qualifies as a low-volume
hospital if it is more than 15 road miles
from another subsection (d) hospital and
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has less than 3,800 total discharges
during the fiscal year. Section
1886(d)(12)(D) of the Act was also
amended to provide that, for discharges
occurring in FYs 2019 through 2022, the
Secretary shall determine the applicable
percentage increase using a continuous,
linear sliding scale ranging from an
additional 25 percent payment
adjustment for low-volume hospitals
with 500 or fewer discharges to a zero
percent additional payment for lowvolume hospitals with more than 3,800
discharges in the fiscal year. Consistent
with the requirements of section
1886(d)(12)(C)(ii) of the Act, the term
‘‘discharge’’ for purposes of these
provisions refers to total discharges,
regardless of payer (that is, Medicare
and non-Medicare discharges).
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41399), to implement this
requirement, we specified a continuous,
linear sliding scale formula to determine
the low volume hospital payment
adjustment for FYs 2019 through 2022
that is similar to the continuous, linear
sliding scale formula used to determine
the low-volume hospital payment
adjustment originally established by the
Affordable Care Act and implemented
in the regulations at § 412.101(c)(2)(ii)
in the FY 2011 IPPS/LTCH PPS final
rule (75 FR 50240 through 50241).
Consistent with the statute, we provided
that qualifying hospitals with 500 or
fewer total discharges will receive a
low-volume hospital payment
adjustment of 25 percent. For qualifying
hospitals with fewer than 3,800
discharges but more than 500
discharges, the low-volume payment
adjustment is calculated by subtracting
from 25 percent the proportion of
payments associated with the discharges
in excess of 500. As such, for qualifying
hospitals with fewer than 3,800 total
discharges but more than 500 total
discharges, the low-volume hospital
payment adjustment for FYs 2019
through 2022 is calculated using the
following formula:
Low-Volume Hospital Payment
Adjustment = 0.25¥[0.25/3300] ×
(number of total discharges¥500) =
(95/330)¥(number of total
discharges/13,200).
For this purpose, we specified that the
‘‘number of total discharges’’ is
determined as total discharges, which
includes Medicare and non-Medicare
discharges during the fiscal year, based
on the hospital’s most recently
submitted cost report. The low-volume
hospital payment adjustment for FYs
2019 through 2022 is set forth in the
regulations at 42 CFR 412.101(c)(3).
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3. Process for Requesting and Obtaining
the Low-Volume Hospital Payment
Adjustment
In the FY 2011 IPPS/LTCH PPS final
rule (75 FR 50238 through 50275 and
50414) and subsequent rulemaking (for
example, the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41399 through 41401),
we discussed the process for requesting
and obtaining the low-volume hospital
payment adjustment. Under this
previously established process, a
hospital makes a written request for the
low-volume payment adjustment under
§ 412.101 to its MAC. This request must
contain sufficient documentation to
establish that the hospital meets the
applicable mileage and discharge
criteria. The MAC will determine if the
hospital qualifies as a low-volume
hospital by reviewing the data the
hospital submits with its request for
low-volume hospital status in addition
to other available data. Under this
approach, a hospital will know in
advance whether or not it will receive
a payment adjustment under the lowvolume hospital policy. The MAC and
CMS may review available data such as
the number of discharges, in addition to
the data the hospital submits with its
request for low-volume hospital status,
in order to determine whether or not the
hospital meets the qualifying criteria.
(For additional information on our
existing process for requesting the lowvolume hospital payment adjustment,
we refer readers to the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41399
through 41401).)
As explained earlier, for FY 2019 and
subsequent fiscal years, the discharge
determination is made based on the
hospital’s number of total discharges,
that is, Medicare and non-Medicare
discharges, as was the case for FYs 2005
through 2010. Under § 412.101(b)(2)(i)
and § 412.101(b)(2)(iii), a hospital’s
most recently submitted cost report is
used to determine if the hospital meets
the discharge criterion to receive the
low-volume payment adjustment in the
current year. As discussed in the FY
2019 IPPS/LTCH PPS final rule (83 FR
41399 and 41400), we use cost report
data to determine if a hospital meets the
discharge criterion because this is the
best available data source that includes
information on both Medicare and nonMedicare discharges. (For FYs 2011
through 2018, the most recently
available MedPAR data were used to
determine the hospital’s Medicare
discharges because non-Medicare
discharges were not used to determine
if a hospital met the discharge criterion
for those years.) Therefore, a hospital
should refer to its most recently
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submitted cost report for total
discharges (Medicare and nonMedicare) in order to decide whether or
not to apply for low-volume hospital
status for a particular fiscal year.
As also discussed in the FY 2019
IPPS/LTCH PPS final rule, in addition
to the discharge criterion, for FY 2019
and for subsequent fiscal years,
eligibility for the low-volume hospital
payment adjustment is also dependent
upon the hospital meeting the
applicable mileage criterion specified in
§ 412.101(b)(2)(i) or § 412.101(b)(2)(iii)
for the fiscal year. Specifically, to meet
the mileage criterion to qualify for the
low-volume hospital payment
adjustment for FY 2020, as was the case
for FY 2019, a hospital must be located
more than 15 road miles from the
nearest subsection (d) hospital. (We
define in § 412.101(a) the term ‘‘road
miles’’ to mean ‘‘miles’’ as defined in
§ 412.92(c)(1) (75 FR 50238 through
50275 and 50414).) For establishing that
the hospital meets the mileage criterion,
the use of a web-based mapping tool as
part of the documentation is acceptable.
The MAC will determine if the
information submitted by the hospital,
such as the name and street address of
the nearest hospitals, location on a map,
and distance from the hospital
requesting low-volume hospital status,
is sufficient to document that it meets
the mileage criterion. If not, the MAC
will follow up with the hospital to
obtain additional necessary information
to determine whether or not the hospital
meets the applicable mileage criterion.
In accordance with our previously
established process, a hospital must
make a written request for low-volume
hospital status that is received by its
MAC by September 1 immediately
preceding the start of the Federal fiscal
year for which the hospital is applying
for low-volume hospital status in order
for the applicable low-volume hospital
payment adjustment to be applied to
payments for its discharges for the fiscal
year beginning on or after October 1
immediately following the request (that
is, the start of the Federal fiscal year).
For a hospital whose request for lowvolume hospital status is received after
September 1, if the MAC determines the
hospital meets the criteria to qualify as
a low-volume hospital, the MAC will
apply the applicable low-volume
hospital payment adjustment to
determine payment for the hospital’s
discharges for the fiscal year, effective
prospectively within 30 days of the date
of the MAC’s low-volume status
determination.
Consistent with this previously
established process, for FY 2020, we are
proposing that a hospital must submit a
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written request for low-volume hospital
status to its MAC that includes
sufficient documentation to establish
that the hospital meets the applicable
mileage and discharge criteria (as
described earlier). Consistent with
historical practice, for FY 2020, we are
proposing that a hospital’s written
request must be received by its MAC no
later than September 1, 2019 in order for
the low-volume hospital payment
adjustment to be applied to payments
for its discharges beginning on or after
October 1, 2019. If a hospital’s written
request for low-volume hospital status
for FY 2020 is received after September
1, 2019, and if the MAC determines the
hospital meets the criteria to qualify as
a low-volume hospital, the MAC would
apply the low-volume hospital payment
adjustment to determine the payment
for the hospital’s FY 2020 discharges,
effective prospectively within 30 days of
the date of the MAC’s low-volume
hospital status determination. We note
that this proposal is consistent with the
process for requesting and obtaining the
low-volume hospital payment
adjustment for FY 2019 (83 FR 41399
through 41400).
Under this process, a hospital
receiving the low-volume hospital
payment adjustment for FY 2019 may
continue to receive a low-volume
hospital payment adjustment for FY
2020 without reapplying if it continues
to meet the applicable mileage and
discharge criteria (which, as discussed
previously, are the same qualifying
criteria that apply for FY 2019). In this
case, a hospital’s request can include a
verification statement that it continues
to meet the mileage criterion applicable
for FY 2020. (Determination of meeting
the discharge criterion is discussed
earlier in this section.) We note that a
hospital must continue to meet the
applicable qualifying criteria as a lowvolume hospital (that is, the hospital
must meet the applicable discharge
criterion and mileage criterion for the
fiscal year) in order to receive the
payment adjustment in that fiscal year;
that is, low-volume hospital status is not
based on a ‘‘one-time’’ qualification (75
FR 50238 through 50275). Consistent
with historical policy, a hospital must
submit its request, including this
written verification, for each fiscal year
for which it seeks to receive the lowvolume hospital payment adjustment,
and in accordance with the timeline
described earlier.
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4. Proposed Conforming Changes To
Codify Certain Changes to the LowVolume Hospital Payment Adjustment
for FYs 2011 Through 2017 Provided by
Section 429 of the Consolidated
Appropriations Act, 2018
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38188 through 38189), for
the reasons discussed in that rule, we
adopted a parallel adjustment in the
regulations at § 412.101(e) which
specifies that, for discharges occurring
in FY 2018 and subsequent years, only
the distance between Indian Health
Service (IHS) and Tribal hospitals
(collectively referred to here as ‘‘IHS
hospitals’’) will be considered when
assessing whether an IHS hospital meets
the mileage criterion under
§ 412.101(b)(2), and similarly, only the
distance between non-IHS hospitals
would be considered when assessing
whether a non-IHS hospital meets the
mileage criterion under § 412.101(b)(2).
Section 429 of the Consolidated
Appropriations Act, 2018, which was
enacted on March 23, 2018,
subsequently amended section
1886(d)(12)(C) of the Act by adding a
new clause (iii) specifying that, for
purposes of determining whether an IHS
or a non-IHS hospital meets the mileage
criterion under section 1886(d)(12)(C)(i)
of the Act with respect to FY 2011 or a
succeeding year, the Secretary shall
apply the policy described in the
regulations at § 412.101(e) (as in effect
on the date of enactment). In other
words, under this statutory change, the
special treatment with respect to the
proximities between IHS and non-IHS
hospitals as set forth in § 412.101(e) for
discharges occurring in FY 2018 and
subsequent fiscal years is also
applicable for purposes of applying the
mileage criterion for the low-volume
hospital payment adjustment for FYs
2011 through 2017. We refer readers to
the notice that appeared in the Federal
Register on August 23, 2018 (83 FR
42596 through 42600) for further detail
on the process for requesting the lowvolume hospital payment adjustment for
any applicable fiscal years between FY
2011 and FY 2017 under the provisions
of section 429 of the Consolidated
Appropriations Act, 2018, including the
details on the limitations under the
reopening rules at 42 CFR 405.1885.
In this proposed rule, we are
proposing to make conforming changes
to the regulatory text at § 412.101(e) to
reflect the changes to the low-volume
hospital payment adjustment policy in
accordance with the amendments made
by section 429 of the Consolidated
Appropriations Act, 2018. Specifically,
we are proposing to revise § 412.101(e)
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to specify that, subject to the reopening
rules at 42 CFR 405.1885, a qualifying
hospital may request the application of
the policy set forth in proposed
amended § 412.101(e)(1) for FYs 2011
through 2017. As noted previously, the
process for requesting the low-volume
hospital payment adjustment for any
applicable fiscal years between FY 2011
and 2017 under the provisions of
section 429 of the Consolidated
Appropriations Act, 2018, as well as
further discussion on the limitations
under the reopening rules at 42 CFR
405.1885, are described in the August
23, 2018 Federal Register notice (83 FR
42596 through 425600). We note that
proposed amended § 412.101(e) would
apply to discharges occurring in FY
2011 through FY 2017, consistent with
the provisions of section 429 of the
Consolidated Appropriations Act, 2018.
To the extent that these proposed
revisions could be viewed as retroactive
rulemaking, they would be authorized
under section 1871(e)(1)(A)(i) of the Act
as the Secretary has determined that
these changes are necessary to comply
with the statute as amended by the
Consolidated Appropriations Act, 2018.
E. Indirect Medical Education (IME)
Payment Adjustment Factor (§ 412.105)
Under the IPPS, an additional
payment amount is made to hospitals
with residents in an approved graduate
medical education (GME) program in
order to reflect the higher indirect
patient care costs of teaching hospitals
relative to nonteaching hospitals. The
payment amount is determined by use
of a statutorily specified adjustment
factor. The regulations regarding the
calculation of this additional payment,
known as the IME adjustment, are
located at § 412.105. We refer readers to
the FY 2012 IPPS/LTCH PPS final rule
(76 FR 51680) for a full discussion of the
IME adjustment and IME adjustment
factor. Section 1886(d)(5)(B)(ii)(XII) of
the Act provides that, for discharges
occurring during FY 2008 and fiscal
years thereafter, the IME formula
multiplier is 1.35. Accordingly, for
discharges occurring during FY 2020,
the formula multiplier is 1.35. We
estimate that application of this formula
multiplier for the FY 2020 IME
adjustment will result in an increase in
IPPS payment of 5.5 percent for every
approximately 10 percent increase in
the hospital’s resident-to-bed ratio.
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F. Proposed Payment Adjustment for
Medicare Disproportionate Share
Hospitals (DSHs) for FY 2020
(§ 412.106)
1. General Discussion
Section 1886(d)(5)(F) of the Act
provides for additional Medicare
payments to subsection (d) hospitals
that serve a significantly
disproportionate number of low-income
patients. The Act specifies two methods
by which a hospital may qualify for the
Medicare disproportionate share
hospital (DSH) adjustment. Under the
first method, hospitals that are located
in an urban area and have 100 or more
beds may receive a Medicare DSH
payment adjustment if the hospital can
demonstrate that, during its cost
reporting period, more than 30 percent
of its net inpatient care revenues are
derived from State and local
government payments for care furnished
to needy patients with low incomes.
This method is commonly referred to as
the ‘‘Pickle method.’’ The second
method for qualifying for the DSH
payment adjustment, which is the most
common, is based on a complex
statutory formula under which the DSH
payment adjustment is based on the
hospital’s geographic designation, the
number of beds in the hospital, and the
level of the hospital’s disproportionate
patient percentage (DPP). A hospital’s
DPP is the sum of two fractions: The
‘‘Medicare fraction’’ and the ‘‘Medicaid
fraction.’’ The Medicare fraction (also
known as the ‘‘SSI fraction’’ or ‘‘SSI
ratio’’) is computed by dividing the
number of the hospital’s inpatient days
that are furnished to patients who were
entitled to both Medicare Part A and
Supplemental Security Income (SSI)
benefits by the hospital’s total number
of patient days furnished to patients
entitled to benefits under Medicare Part
A. The Medicaid fraction is computed
by dividing the hospital’s number of
inpatient days furnished to patients
who, for such days, were eligible for
Medicaid, but were not entitled to
benefits under Medicare Part A, by the
hospital’s total number of inpatient days
in the same period.
Because the DSH payment adjustment
is part of the IPPS, the statutory
references to ‘‘days’’ in section
1886(d)(5)(F) of the Act have been
interpreted to apply only to hospital
acute care inpatient days. Regulations
located at 42 CFR 412.106 govern the
Medicare DSH payment adjustment and
specify how the DPP is calculated as
well as how beds and patient days are
counted in determining the Medicare
DSH payment adjustment. Under
§ 412.106(a)(1)(i), the number of beds for
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the Medicare DSH payment adjustment
is determined in accordance with bed
counting rules for the IME adjustment
under § 412.105(b).
Section 3133 of the Patient Protection
and Affordable Care Act, as amended by
section 10316 of the same Act and
section 1104 of the Health Care and
Education Reconciliation Act (Pub. L.
111–152), added a section 1886(r) to the
Act that modifies the methodology for
computing the Medicare DSH payment
adjustment. (For purposes of this final
rule, we refer to these provisions
collectively as section 3133 of the
Affordable Care Act.) Beginning with
discharges in FY 2014, hospitals that
qualify for Medicare DSH payments
under section 1886(d)(5)(F) of the Act
receive 25 percent of the amount they
previously would have received under
the statutory formula for Medicare DSH
payments. This provision applies
equally to hospitals that qualify for DSH
payments under section
1886(d)(5)(F)(i)(I) of the Act and those
hospitals that qualify under the Pickle
method under section 1886(d)(5)(F)(i)(II)
of the Act.
The remaining amount, equal to an
estimate of 75 percent of what otherwise
would have been paid as Medicare DSH
payments, reduced to reflect changes in
the percentage of individuals who are
uninsured, is available to make
additional payments to each hospital
that qualifies for Medicare DSH
payments and that has uncompensated
care. The payments to each hospital for
a fiscal year are based on the hospital’s
amount of uncompensated care for a
given time period relative to the total
amount of uncompensated care for that
same time period reported by all
hospitals that receive Medicare DSH
payments for that fiscal year.
As provided by section 3133 of the
Affordable Care Act, section 1886(r) of
the Act requires that, for FY 2014 and
each subsequent fiscal year, a
subsection (d) hospital that would
otherwise receive DSH payments made
under section 1886(d)(5)(F) of the Act
receives two separately calculated
payments. Specifically, section
1886(r)(1) of the Act provides that the
Secretary shall pay to such subsection
(d) hospital (including a Pickle hospital)
25 percent of the amount the hospital
would have received under section
1886(d)(5)(F) of the Act for DSH
payments, which represents the
empirically justified amount for such
payment, as determined by the MedPAC
in its March 2007 Report to Congress.
We refer to this payment as the
‘‘empirically justified Medicare DSH
payment.’’
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In addition to this empirically
justified Medicare DSH payment,
section 1886(r)(2) of the Act provides
that, for FY 2014 and each subsequent
fiscal year, the Secretary shall pay to
such subsection (d) hospital an
additional amount equal to the product
of three factors. The first factor is the
difference between the aggregate
amount of payments that would be
made to subsection (d) hospitals under
section 1886(d)(5)(F) of the Act if
subsection (r) did not apply and the
aggregate amount of payments that are
made to subsection (d) hospitals under
section 1886(r)(1) of the Act for such
fiscal year. Therefore, this factor
amounts to 75 percent of the payments
that would otherwise be made under
section 1886(d)(5)(F) of the Act.
The second factor is, for FY 2018 and
subsequent fiscal years, 1 minus the
percent change in the percent of
individuals who are uninsured, as
determined by comparing the percent of
individuals who were uninsured in
2013 (as estimated by the Secretary,
based on data from the Census Bureau
or other sources the Secretary
determines appropriate, and certified by
the Chief Actuary of CMS), and the
percent of individuals who were
uninsured in the most recent period for
which data are available (as so
estimated and certified), minus 0.2
percentage point for FYs 2018 and 2019.
The third factor is a percent that, for
each subsection (d) hospital, represents
the quotient of the amount of
uncompensated care for such hospital
for a period selected by the Secretary (as
estimated by the Secretary, based on
appropriate data), including the use of
alternative data where the Secretary
determines that alternative data are
available which are a better proxy for
the costs of subsection (d) hospitals for
treating the uninsured, and the
aggregate amount of uncompensated
care for all subsection (d) hospitals that
receive a payment under section 1886(r)
of the Act. Therefore, this third factor
represents a hospital’s uncompensated
care amount for a given time period
relative to the uncompensated care
amount for that same time period for all
hospitals that receive Medicare DSH
payments in the applicable fiscal year,
expressed as a percent.
For each hospital, the product of these
three factors represents its additional
payment for uncompensated care for the
applicable fiscal year. We refer to the
additional payment determined by these
factors as the ‘‘uncompensated care
payment.’’
Section 1886(r) of the Act applies to
FY 2014 and each subsequent fiscal
year. In the FY 2014 IPPS/LTCH PPS
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19407
final rule (78 FR 50620 through 50647)
and the FY 2014 IPPS interim final rule
with comment period (78 FR 61191
through 61197), we set forth our policies
for implementing the required changes
to the Medicare DSH payment
methodology made by section 3133 of
the Affordable Care Act for FY 2014. In
those rules, we noted that, because
section 1886(r) of the Act modifies the
payment required under section
1886(d)(5)(F) of the Act, it affects only
the DSH payment under the operating
IPPS. It does not revise or replace the
capital IPPS DSH payment provided
under the regulations at 42 CFR part
412, subpart M, which were established
through the exercise of the Secretary’s
discretion in implementing the capital
IPPS under section 1886(g)(1)(A) of the
Act.
Finally, section 1886(r)(3) of the Act
provides that there shall be no
administrative or judicial review under
section 1869, section 1878, or otherwise
of any estimate of the Secretary for
purposes of determining the factors
described in section 1886(r)(2) of the
Act or of any period selected by the
Secretary for the purpose of determining
those factors. Therefore, there is no
administrative or judicial review of the
estimates developed for purposes of
applying the three factors used to
determine uncompensated care
payments, or the periods selected in
order to develop such estimates.
2. Eligibility for Empirically Justified
Medicare DSH Payments and
Uncompensated Care Payments
As explained earlier, the payment
methodology under section 3133 of the
Affordable Care Act applies to
‘‘subsection (d) hospitals’’ that would
otherwise receive a DSH payment made
under section 1886(d)(5)(F) of the Act.
Therefore, hospitals must receive
empirically justified Medicare DSH
payments in a fiscal year in order to
receive an additional Medicare
uncompensated care payment for that
year. Specifically, section 1886(r)(2) of
the Act states that, in addition to the
payment made to a subsection (d)
hospital under section 1886(r)(1) of the
Act, the Secretary shall pay to such
subsection (d) hospitals an additional
amount. Because section 1886(r)(1) of
the Act refers to empirically justified
Medicare DSH payments, the additional
payment under section 1886(r)(2) of the
Act is limited to hospitals that receive
empirically justified Medicare DSH
payments in accordance with section
1886(r)(1) of the Act for the applicable
fiscal year.
In the FY 2014 IPPS/LTCH PPS final
rule (78 FR 50622) and the FY 2014
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IPPS interim final rule with comment
period (78 FR 61193), we provided that
hospitals that are not eligible to receive
empirically justified Medicare DSH
payments in a fiscal year will not
receive uncompensated care payments
for that year. We also specified that we
would make a determination concerning
eligibility for interim uncompensated
care payments based on each hospital’s
estimated DSH status for the applicable
fiscal year (using the most recent data
that are available). We indicated that
our final determination on the hospital’s
eligibility for uncompensated care
payments will be based on the hospital’s
actual DSH status at cost report
settlement for that payment year.
In the FY 2014 IPPS/LTCH PPS final
rule (78 FR 50622) and in the
rulemaking for subsequent fiscal years,
we have specified our policies for
several specific classes of hospitals
within the scope of section 1886(r) of
the Act. In this proposed rule, we are
discussing our specific policies for FY
2020 with respect to the following
hospitals:
• Subsection (d) Puerto Rico hospitals
that are eligible for DSH payments also
are eligible to receive empirically
justified Medicare DSH payments and
uncompensated care payments under
the new payment methodology (78 FR
50623 and 79 FR 50006).
• Maryland hospitals are not eligible
to receive empirically justified Medicare
DSH payments and uncompensated care
payments under the payment
methodology of section 1886(r) of the
Act because they are not paid under the
IPPS. As discussed in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41402
through 41403), CMS and the State have
entered into an agreement to govern
payments to Maryland hospitals under a
new payment model, the Maryland
Total Cost of Care (TCOC) Model, which
began on January 1, 2019. Under the
Maryland TCOC Model, Maryland
hospitals will not be paid under the
IPPS in FY 2020, and will be ineligible
to receive empirically justified Medicare
DSH payments and uncompensated care
payments under section 1886(r) of the
Act.
• Sole community hospitals (SCHs)
that are paid under their hospitalspecific rate are not eligible for
Medicare DSH payments. SCHs that are
paid under the IPPS Federal rate receive
interim payments based on what we
estimate and project their DSH status to
be prior to the beginning of the Federal
fiscal year (based on the best available
data at that time) subject to settlement
through the cost report, and if they
receive interim empirically justified
Medicare DSH payments in a fiscal year,
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they also will receive interim
uncompensated care payments for that
fiscal year on a per discharge basis,
subject as well to settlement through the
cost report. Final eligibility
determinations will be made at the end
of the cost reporting period at
settlement, and both interim empirically
justified Medicare DSH payments and
uncompensated care payments will be
adjusted accordingly (78 FR 50624 and
79 FR 50007).
• Medicare-dependent, small rural
hospitals (MDHs) are paid based on the
IPPS Federal rate or, if higher, the IPPS
Federal rate plus 75 percent of the
amount by which the Federal rate is
exceeded by the updated hospitalspecific rate from certain specified base
years (76 FR 51684). The IPPS Federal
rate that is used in the MDH payment
methodology is the same IPPS Federal
rate that is used in the SCH payment
methodology. Section 50205 of the
Bipartisan Budget Act of 2018 (Pub. L.
115–123), enacted on February 9, 2018,
extended the MDH program for
discharges on or after October 1, 2017,
through September 30, 2022. Because
MDHs are paid based on the IPPS
Federal rate, they continue to be eligible
to receive empirically justified Medicare
DSH payments and uncompensated care
payments if their DPP is at least 15
percent, and we apply the same process
to determine MDHs’ eligibility for
empirically justified Medicare DSH and
uncompensated care payments as we do
for all other IPPS hospitals. Due to the
extension of the MDH program, MDHs
will continue to be paid based on the
IPPS Federal rate or, if higher, the IPPS
Federal rate plus 75 percent of the
amount by which the Federal rate is
exceeded by the updated hospitalspecific rate from certain specified base
years. Accordingly, we will continue to
make a determination concerning
eligibility for interim uncompensated
care payments based on each hospital’s
estimated DSH status for the applicable
fiscal year (using the most recent data
that are available). Our final
determination on the hospital’s
eligibility for uncompensated care
payments will be based on the hospital’s
actual DSH status at cost report
settlement for that payment year. In
addition, as we do for all IPPS hospitals,
we will calculate a numerator for Factor
3 for all MDHs, regardless of whether
they are projected to be eligible for
Medicare DSH payments during the
fiscal year, but the denominator for
Factor 3 will be based on the
uncompensated care data from the
hospitals that we have projected to be
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eligible for Medicare DSH payments
during the fiscal year.
• IPPS hospitals that elect to
participate in the Bundled Payments for
Care Improvement Advanced Initiative
(BPCI Advanced) model starting October
1, 2018, will continue to be paid under
the IPPS and, therefore, are eligible to
receive empirically justified Medicare
DSH payments and uncompensated care
payments. For further information
regarding the BPCI Advanced model, we
refer readers to the CMS website at:
https://innovation.cms.gov/initiatives/
bpci-advanced/.
• IPPS hospitals that are
participating in the Comprehensive Care
for Joint Replacement Model (80 FR
73300) continue to be paid under the
IPPS and, therefore, are eligible to
receive empirically justified Medicare
DSH payments and uncompensated care
payments.
• Hospitals participating in the Rural
Community Hospital Demonstration
Program are not eligible to receive
empirically justified Medicare DSH
payments and uncompensated care
payments under section 1886(r) of the
Act because they are not paid under the
IPPS (78 FR 50625 and 79 FR 50008).
The Rural Community Hospital
Demonstration Program was originally
authorized for a 5-year period by section
410A of the Medicare Prescription Drug,
Improvement, and Modernization Act of
2003 (MMA) (Pub. L. 108–173), and
extended for another 5-year period by
sections 3123 and 10313 of the
Affordable Care Act (Pub. L. 114–255).
The period of performance for this 5year extension period ended December
31, 2016. Section 15003 of the 21st
Century Cures Act (Pub. L. 114–255),
enacted December 13, 2016, again
amended section 410A of Public Law
108–173 to require a 10-year extension
period (in place of the 5-year extension
required by the Affordable Care Act),
therefore requiring an additional 5-year
participation period for the
demonstration program. Section 15003
of Public Law 114–255 also required a
solicitation for applications for
additional hospitals to participate in the
demonstration program. At the time of
issuance of this proposed rule, there are
29 hospitals participating in the
demonstration program. Under the
payment methodology that applies
during the second 5 years of the
extension period under the
demonstration program, participating
hospitals do not receive empirically
justified Medicare DSH payments, and
they are also excluded from receiving
interim and final uncompensated care
payments.
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3. Empirically Justified Medicare DSH
Payments
As we have discussed earlier, section
1886(r)(1) of the Act requires the
Secretary to pay 25 percent of the
amount of the Medicare DSH payment
that would otherwise be made under
section 1886(d)(5)(F) of the Act to a
subsection (d) hospital. Because section
1886(r)(1) of the Act merely requires the
program to pay a designated percentage
of these payments, without revising the
criteria governing eligibility for DSH
payments or the underlying payment
methodology, we stated in the FY 2014
IPPS/LTCH PPS final rule that we did
not believe that it was necessary to
develop any new operational
mechanisms for making such payments.
Therefore, in the FY 2014 IPPS/LTCH
PPS final rule (78 FR 50626), we
implemented this provision by advising
MACs to simply adjust the interim
claim payments to the requisite 25
percent of what would have otherwise
been paid. We also made corresponding
changes to the hospital cost report so
that these empirically justified Medicare
DSH payments can be settled at the
appropriate level at the time of cost
report settlement. We provided more
detailed operational instructions and
cost report instructions following
issuance of the FY 2014 IPPS/LTCH PPS
final rule that are available on the CMS
website at: https://www.cms.gov/
Regulations-and-Guidance/Guidance/
Transmittals/2014-Transmittals-Items/
R5P240.html.
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4. Uncompensated Care Payments
As we discussed earlier, section
1886(r)(2) of the Act provides that, for
each eligible hospital in FY 2014 and
subsequent years, the uncompensated
care payment is the product of three
factors. These three factors represent our
estimate of 75 percent of the amount of
Medicare DSH payments that would
otherwise have been paid, an
adjustment to this amount for the
percent change in the national rate of
uninsurance compared to the rate of
uninsurance in 2013, and each eligible
hospital’s estimated uncompensated
care amount relative to the estimated
uncompensated care amount for all
eligible hospitals. Below we discuss the
data sources and methodologies for
computing each of these factors, our
final policies for FYs 2014 through
2019, and our proposed policies for FY
2020.
a. Proposed Calculation of Factor 1 for
FY 2020
Section 1886(r)(2)(A) of the Act
establishes Factor 1 in the calculation of
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the uncompensated care payment.
Section 1886(r)(2)(A) of the Act states
that this factor is equal to the difference
between: (1) The aggregate amount of
payments that would be made to
subsection (d) hospitals under section
1886(d)(5)(F) of the Act if section
1886(r) of the Act did not apply for such
fiscal year (as estimated by the
Secretary); and (2) the aggregate amount
of payments that are made to subsection
(d) hospitals under section 1886(r)(1) of
the Act for such fiscal year (as so
estimated). Therefore, section
1886(r)(2)(A)(i) of the Act represents the
estimated Medicare DSH payments that
would have been made under section
1886(d)(5)(F) of the Act if section
1886(r) of the Act did not apply for such
fiscal year. Under a prospective
payment system, we would not know
the precise aggregate Medicare DSH
payment amount that would be paid for
a Federal fiscal year until cost report
settlement for all IPPS hospitals is
completed, which occurs several years
after the end of the Federal fiscal year.
Therefore, section 1886(r)(2)(A)(i) of the
Act provides authority to estimate this
amount, by specifying that, for each
fiscal year to which the provision
applies, such amount is to be estimated
by the Secretary. Similarly, section
1886(r)(2)(A)(ii) of the Act represents
the estimated empirically justified
Medicare DSH payments to be made in
a fiscal year, as prescribed under section
1886(r)(1) of the Act. Again, section
1886(r)(2)(A)(ii) of the Act provides
authority to estimate this amount.
Therefore, Factor 1 is the difference
between our estimates of: (1) The
amount that would have been paid in
Medicare DSH payments for the fiscal
year, in the absence of the new payment
provision; and (2) the amount of
empirically justified Medicare DSH
payments that are made for the fiscal
year, which takes into account the
requirement to pay 25 percent of what
would have otherwise been paid under
section 1886(d)(5)(F) of the Act. In other
words, this factor represents our
estimate of 75 percent (100 percent
minus 25 percent) of our estimate of
Medicare DSH payments that would
otherwise be made, in the absence of
section 1886(r) of the Act, for the fiscal
year.
As we did for FY 2019, in this FY
2020 IPPS/LTCH PPS proposed rule, in
order to determine Factor 1 in the
uncompensated care payment formula
for FY 2020, we are proposing to
continue the policy established in the
FY 2014 IPPS/LTCH PPS final rule (78
FR 50628 through 50630) and in the FY
2014 IPPS interim final rule with
comment period (78 FR 61194) of
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determining Factor 1 by developing
estimates of both the aggregate amount
of Medicare DSH payments that would
be made in the absence of section
1886(r)(1) of the Act and the aggregate
amount of empirically justified
Medicare DSH payments to hospitals
under 1886(r)(1) of the Act. These
estimates will not be revised or updated
after we know the final Medicare DSH
payments for FY 2020. Therefore, in
order to determine the two elements of
proposed Factor 1 for FY 2020
(Medicare DSH payments prior to the
application of section 1886(r)(1) of the
Act, and empirically justified Medicare
DSH payments after application of
section 1886(r)(1) of the Act), for this
proposed rule, we used the most
recently available projections of
Medicare DSH payments for the fiscal
year, as calculated by CMS’ Office of the
Actuary using the most recently filed
Medicare hospital cost reports with
Medicare DSH payment information and
the most recent Medicare DSH patient
percentages and Medicare DSH payment
adjustments provided in the IPPS
Impact File. The determination of the
amount of DSH payments is partially
based on the Office of the Actuary’s Part
A benefits projection model. One of the
results of this model is inpatient
hospital spending. Projections of DSH
payments require projections for
expected increases in utilization and
case-mix. The assumptions that were
used in making these projections and
the resulting estimates of DSH payments
for FY 2017 through FY 2020 are
discussed in the table titled ‘‘Factors
Applied for FY 2017 through FY 2020
to Estimate Medicare DSH Expenditures
Using FY 2016 Baseline.’’
For purposes of calculating Factor 1
and modeling the impact of this FY
2020 IPPS/LTCH PPS proposed rule, we
used the Office of the Actuary’s
December 2018 Medicare DSH
estimates, which were based on data
from the September 2018 update of the
Medicare Hospital Cost Report
Information System (HCRIS) and the FY
2019 IPPS/LTCH PPS final rule IPPS
Impact File, published in conjunction
with the publication of the FY 2019
IPPS/LTCH PPS final rule. Because
SCHs that are projected to be paid under
their hospital-specific rate are excluded
from the application of section 1886(r)
of the Act, these hospitals also were
excluded from the December 2018
Medicare DSH estimates. Furthermore,
because section 1886(r) of the Act
specifies that the uncompensated care
payment is in addition to the
empirically justified Medicare DSH
payment (25 percent of DSH payments
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that would be made without regard to
section 1886(r) of the Act), Maryland
hospitals, which are not eligible to
receive DSH payments, were also
excluded from the Office of the
Actuary’s December 2018 Medicare DSH
estimates. The 29 hospitals that are
participating in the Rural Community
Hospital Demonstration Program were
also excluded from these estimates
because, under the payment
methodology that applies during the
second 5 years of the extension period,
these hospitals are not eligible to receive
empirically justified Medicare DSH
payments or interim and final
uncompensated care payments.
For this proposed rule, using the data
sources discussed above, the Office of
the Actuary’s December 2018 estimate
for Medicare DSH payments for FY
2020, without regard to the application
of section 1886(r)(1) of the Act, is
approximately $16.857 billion.
Therefore, also based on the December
2018 estimate, the estimate of
empirically justified Medicare DSH
payments for FY 2020, with the
application of section 1886(r)(1) of the
Act, is approximately $4.214 billion (or
25 percent of the total amount of
estimated Medicare DSH payments for
FY 2020). Under § 412.l06(g)(1)(i) of the
regulations, Factor 1 is the difference
between these two estimates of the
Office of the Actuary. Therefore, in this
proposed rule, we are proposing that
Factor 1 for FY 2020 would be
$12,643,011,209.74, which is equal to
75 percent of the total amount of
estimated Medicare DSH payments for
FY 2020 ($16,857,348,279.65 minus
$4,214,337,069.91).
The Factor 1 estimates for proposed
rules are generally consistent with the
economic assumptions and actuarial
analysis used to develop the President’s
Budget estimates under current law, and
the Factor 1 estimates for the final rule
are generally consistent with those used
for the Midsession Review of the
President’s Budget. As we have in the
past, for additional information on the
development of the President’s Budget,
we refer readers to the Office of
Management and Budget website at:
https://www.whitehouse.gov/omb/
budget. We recognize that our reliance
on the economic assumptions and
actuarial analysis used to develop the
President’s Budget in estimating Factor
1 has an impact on stakeholders who
wish to replicate the Factor 1
calculation, such as modelling the
relevant Medicare Part A portion of the
budget, but we believe commenters are
able to meaningfully comment on our
proposed estimate of Factor 1 without
replicating the President’s Budget.
For a general overview of the
principal steps involved in projecting
future inpatient costs and utilization,
we refer readers to the ‘‘2018 Annual
Report of the Boards of Trustees of the
Federal Hospital Insurance and Federal
Supplementary Medical Insurance Trust
Funds’’ available on the CMS website at:
https://www.cms.gov/ResearchStatistics-Data-and-Systems/StatisticsTrends-and-Reports/ReportsTrust
Funds/?redirect=/
reportstrustfunds/ under ‘‘Downloads.’’
We note that the annual reports of the
Medicare Boards of Trustees to Congress
represent the Federal Government’s
official evaluation of the financial status
of the Medicare Program. The actuarial
projections contained in these reports
are based on numerous assumptions
regarding future trends in program
enrollment, utilization and costs of
health care services covered by
Medicare, as well as other factors
affecting program expenditures. In
addition, although the methods used to
estimate future costs based on these
assumptions are complex, they are
subject to periodic review by
independent experts to ensure their
validity and reasonableness.
We also refer readers to the Actuarial
Report on the Financial Outlook for
Medicaid for a discussion of general
issues regarding Medicaid projections.
In this proposed rule, we include
information regarding the data sources,
methods, and assumptions employed by
the actuaries in determining the OACT’s
estimate of Factor 1. In summary, we
indicate the historical HCRIS data
update OACT used to identify Medicare
DSH payments, we explain that the
most recent Medicare DSH payment
adjustments provided in the IPPS
Impact File were used, and we provide
the components of all the update factors
that were applied to the historical data
to estimate the Medicare DSH payments
for the upcoming fiscal year, along with
the associated rationale and
assumptions. This discussion also
includes a description of the ‘‘Other’’
and ‘‘Discharges’’ assumptions, and also
provides additional information
regarding how we address the Medicaid
and CHIP expansion.
The Office of the Actuary’s estimates
for FY 2020 for this proposed rule began
with a baseline of $13.981 billion in
Medicare DSH expenditures for FY
2016. The following table shows the
factors applied to update this baseline
through the current estimate for FY
2020:
FACTORS APPLIED FOR FY 2017 THROUGH FY 2020 TO ESTIMATE MEDICARE DSH EXPENDITURES USING FY 2016
BASELINE
FY
2017
2018
2019
2020
Update
.........................................................
.........................................................
.........................................................
.........................................................
1.0015
1.018088
1.0185
1.032
Discharges
Case-mix
0.9986
0.9819
0.9791
1.0055
1.004
1.018
1.005
1.005
Other
Total
1.0751
1.0345
1.02206
0.9932
1.0795
1.0528
1.0243
1.0358
Estimated
DSH payment
(in billions) *
15.093
15.889
16.275
16.857
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* Rounded.
In this table, the discharges column
shows the increase in the number of
Medicare fee-for-service (FFS) inpatient
hospital discharges. The figures for FY
2017 are based on Medicare claims data
that have been adjusted by a completion
factor. The discharge figure for FY 2018
is based on preliminary data for 2018.
The discharge figures for FY 2019 and
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FY 2020 are assumptions based on
recent trends recovering back to the
long-term trend and assumptions related
to how many beneficiaries will be
enrolled in Medicare Advantage (MA)
plans. The case-mix column shows the
increase in case-mix for IPPS hospitals.
The case-mix figures for FY 2017 and
FY 2018 are based on actual data
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adjusted by a completion factor. The FY
2019 and FY 2020 increases are
estimates based on the recommendation
of the 2010–2011 Medicare Technical
Review Panel. The ‘‘Other’’ column
shows the increase in other factors that
contribute to the Medicare DSH
estimates. These factors include the
difference between the total inpatient
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hospital discharges and the IPPS
discharges, and various adjustments to
the payment rates that have been
included over the years but are not
reflected in the other columns (such as
the change in rates for the 2-midnight
stay policy). In addition, the ‘‘Other’’
column includes a factor for the
Medicaid expansion due to the
Affordable Care Act. The factor for
Medicaid expansion was developed
using public information and statements
for each State regarding its intent to
implement the expansion. Based on this
information, it is assumed that 50
percent of all individuals who were
potentially newly eligible Medicaid
enrollees in 2016 resided in States that
had elected to expand Medicaid
eligibility and, for 2017 and thereafter,
that 55 percent of such individuals
would reside in expansion States. In the
future, these assumptions may change
based on actual participation by States.
For a discussion of general issues
regarding Medicaid projections, we refer
readers to the 2017 Actuarial Report on
the Financial Outlook for Medicaid,
which is available on the CMS website
at: https://www.cms.gov/ResearchStatistics-Data-and-Systems/Research/
ActuarialStudies/Downloads/
MedicaidReport2017.pdf. We note that,
in developing their estimates of the
effect of Medicaid expansion on
Medicare DSH expenditures, our
actuaries have assumed that the new
Medicaid enrollees are healthier than
2017
2018
2019
2020
Affordable
Care Act
payment
reductions
Market
basket
percentage
FY
.....................................................................................
.....................................................................................
.....................................................................................
.....................................................................................
2.7
2.7
2.9
3.2
the average Medicaid recipient and,
therefore, use fewer hospital services.
Specifically, based on data from the
President’s Budget, the OACT assumed
per capita spending for Medicaid
beneficiaries who enrolled due to the
expansion to be 50 percent of the
average per capita expenditures for a
pre-expansion Medicaid beneficiary due
to the better health of these
beneficiaries. This assumption is
consistent with recent internal estimates
of Medicaid per capita spending preexpansion and post-expansion.
The table below shows the factors that
are included in the ‘‘Update’’ column of
the above table:
Multifactor
productivity
adjustment
¥0.75
¥0.75
¥0.75
0
Documentation
and coding
¥0.3
¥0.6
¥0.8
¥0.5
¥1.5
0.4588
0.5
0.5
Total update
percentage
0.15
1.8088
1.885
3.2
Note: All numbers are based on the FY 2020 President’s Budget projections, except for the FY 2020 percentages, which are based on the
most recent forecast. We refer readers to section IV.B. of the preamble of this proposed rule for a complete discussion of the proposed changes
in the inpatient hospital update for FY 2020.
b. Calculation of Proposed Factor 2 for
FY 2020
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(1) Background
Section 1886(r)(2)(B) of the Act
establishes Factor 2 in the calculation of
the uncompensated care payment.
Section 1886(r)(2)(B)(ii) of the Act
provides that, for FY 2018 and
subsequent fiscal years, the second
factor is 1 minus the percent change in
the percent of individuals who are
uninsured, as determined by comparing
the percent of individuals who were
uninsured in 2013 (as estimated by the
Secretary, based on data from the
Census Bureau or other sources the
Secretary determines appropriate, and
certified by the Chief Actuary of CMS)
and the percent of individuals who were
uninsured in the most recent period for
which data are available (as so
estimated and certified), minus 0.2
percentage point for FYs 2018 and 2019.
In FY 2020 and subsequent fiscal years,
there is no longer a reduction. We note
that, unlike section 1886(r)(2)(B)(i) of
the Act, which governed the calculation
of Factor 2 for FYs 2014, 2015, 2016,
and 2017, section 1886(r)(2)(B)(ii) of the
Act permits the use of a data source
other than the CBO estimates to
determine the percent change in the rate
of uninsurance beginning in FY 2018. In
addition, for FY 2018 and subsequent
years, the statute does not require that
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the estimate of the percent of
individuals who are uninsured be
limited to individuals who are under 65
years of age.
As we discussed in the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38197), in
our analysis of a potential data source
for the rate of uninsurance for purposes
of computing Factor 2 in FY 2018, we
considered the following: (a) The extent
to which the source accounted for the
full U.S. population; (b) the extent to
which the source comprehensively
accounted for both public and private
health insurance coverage in deriving its
estimates of the number of uninsured;
(c) the extent to which the source
utilized data from the Census Bureau;
(d) the timeliness of the estimates; (e)
the continuity of the estimates over
time; (f) the accuracy of the estimates;
and (g) the availability of projections
(including the availability of projections
using an established estimation
methodology that would allow for
calculation of the rate of uninsurance
for the applicable Federal fiscal year).
As we explained in the FY 2018 IPPS/
LTCH PPS final rule, these
considerations are consistent with the
statutory requirement that this estimate
be based on data from the Census
Bureau or other sources the Secretary
determines appropriate and help to
ensure the data source will provide
reasonable estimates for the rate of
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uninsurance that are available in
conjunction with the IPPS rulemaking
cycle. We are proposing to use the same
methodology as was used in FY 2018
and FY 2019 to determine Factor 2 for
FY 2020.
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38197 and 38198), we
explained that we determined the
source that, on balance, best meets all of
these considerations is the uninsured
estimates produced by CMS’ Office of
the Actuary (OACT) as part of the
development of the National Health
Expenditure Accounts (NHEA). The
NHEA represents the government’s
official estimates of economic activity
(spending) within the health sector. The
information contained in the NHEA has
been used to study numerous topics
related to the health care sector,
including, but not limited to, changes in
the amount and cost of health services
purchased and the payers or programs
that provide or purchase these services;
the economic causal factors at work in
the health sector; the impact of policy
changes, including major health reform;
and comparisons to other countries’
health spending. Of relevance to the
determination of Factor 2 is that the
comprehensive and integrated structure
of the NHEA creates an ideal tool for
evaluating changes to the health care
system, such as the mix of the insured
and uninsured because this mix is
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integral to the well-established NHEA
methodology. Below we describe some
aspects of the methodology used to
develop the NHEA that were
particularly relevant in estimating the
percent change in the rate of
uninsurance for FY 2018 and FY 2019
that we believe continue to be relevant
in developing the estimate for FY 2020.
A full description of the methodology
used to develop the NHEA is available
on the CMS website at: https://
www.cms.gov/Research-Statistics-Dataand-Systems/Statistics-Trends-andReports/NationalHealthExpendData/
Downloads/DSM-15.pdf.
The NHEA estimates of U.S.
population reflect the Census Bureau’s
definition of the resident-based
population, which includes all people
who usually reside in the 50 States or
the District of Columbia, but excludes
residents living in Puerto Rico and areas
under U.S. sovereignty, members of the
U.S. Armed Forces overseas, and U.S.
citizens whose usual place of residence
is outside of the United States, plus a
small (typically less than 0.2 percent of
population) adjustment to reflect Census
undercounts. In past years, the estimates
for Factor 2 were made using the CBO’s
uninsured population estimates for the
under 65 population. For FY 2018 and
subsequent years, the statute does not
restrict the estimate to the measurement
of the percent of individuals under the
age of 65 who are uninsured.
Accordingly, as we explained in the FY
2018 IPPS/LTCH PPS proposed and
final rules, we believe it is appropriate
to use an estimate that reflects the rate
of uninsurance in the United States
across all age groups. In addition, we
continue to believe that a resident-based
population estimate more fully reflects
the levels of uninsurance in the United
States that influence uncompensated
care for hospitals than an estimate that
reflects only legal residents. The NHEA
estimates of uninsurance are for the
total U.S. population (all ages) and not
by specific age cohort, such as the
population under the age of 65.
The NHEA includes comprehensive
enrollment estimates for total private
health insurance (PHI) (including direct
and employer-sponsored plans),
Medicare, Medicaid, the Children’s
Health Insurance Program (CHIP), and
other public programs, and estimates of
the number of individuals who are
uninsured. Estimates of total PHI
enrollment are available for 1960
through 2017, estimates of Medicaid,
Medicare, and CHIP enrollment are
available for the length of the respective
programs, and all other estimates
(including the more detailed estimates
of direct-purchased and employer-
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sponsored insurance) are available for
1987 through 2017. The NHEA data are
publicly available on the CMS website
at: https://www.cms.gov/ResearchStatistics-Data-and-Systems/StatisticsTrends-and-Reports/NationalHealth
ExpendData/.
In order to compute Factor 2, the first
metric that is needed is the proportion
of the total U.S. population that was
uninsured in 2013. In developing the
estimates for the NHEA, OACT’s
methodology included using the
number of uninsured individuals for
1987 through 2009 based on the
enhanced Current Population Survey
(CPS) from the State Health Access Data
Assistance Center (SHADAC). The CPS,
sponsored jointly by the U.S. Census
Bureau and the U.S. Bureau of Labor
Statistics (BLS), is the primary source of
labor force statistics for the population
of the United States. (We refer readers
to the website at: https://
www.census.gov/programs-surveys/
cps.html.) The enhanced CPS, available
from SHADAC (available at: https://
datacenter.shadac.org) accounts for
changes in the CPS methodology over
time. OACT further adjusts the
enhanced CPS for an estimated
undercount of Medicaid enrollees (a
population that is often not fully
captured in surveys that include
Medicaid enrollees due to a perceived
stigma associated with being enrolled in
the Medicaid program or confusion
about the source of their health
insurance).
To estimate the number of uninsured
individuals for 2010 through 2014, the
OACT extrapolates from the 2009 CPS
data using data from the National Health
Interview Survey (NHIS). The NHIS is
one of the major data collection
programs of the National Center for
Health Statistics (NCHS), which is part
of the Centers for Disease Control and
Prevention (CDC). The U.S. Census
Bureau is the data collection agent for
the NHIS. The NHIS results have been
instrumental over the years in providing
data to track health status, health care
access, and progress toward achieving
national health objectives. For further
information regarding the NHIS, we
refer readers to the CDC website at:
https://www.cdc.gov/nchs/nhis/
index.htm.
The next metrics needed to compute
Factor 2 are projections of the rate of
uninsurance in both calendar years 2019
and 2020. On an annual basis, OACT
projects enrollment and spending trends
for the coming 10-year period. Those
projections (currently for years 2018
through 2027) use the latest NHEA
historical data, which presently run
through 2017. The NHEA projection
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methodology accounts for expected
changes in enrollment across all of the
categories of insurance coverage
previously listed. The sources for
projected growth rates in enrollment for
Medicare, Medicaid, and CHIP include
the latest Medicare Trustees Report, the
Medicaid Actuarial Report, or other
updated estimates as produced by
OACT. Projected rates of growth in
enrollment for private health insurance
and the uninsured are based largely on
OACT’s econometric models, which rely
on the set of macroeconomic
assumptions underlying the latest
Medicare Trustees Report. Greater detail
can be found in OACT’s report titled
‘‘Projections of National Health
Expenditure: Methodology and Model
Specification,’’ which is available on the
CMS website at: https://www.cms.gov/
Research-Statistics-Data-and-Systems/
Statistics-Trends-and-Reports/
NationalHealthExpendData/
Downloads/ProjectionsMethodology.pdf.
The use of data from the NHEA to
estimate the rate of uninsurance is
consistent with the statute and meets
the criteria we have identified for
determining the appropriate data
source. Section 1886(r)(2)(B)(ii) of the
Act instructs the Secretary to estimate
the rate of uninsurance for purposes of
Factor 2 based on data from the Census
Bureau or other sources the Secretary
determines appropriate. The NHEA
utilizes data from the Census Bureau;
the estimates are available in time for
the IPPS rulemaking cycle; the estimates
are produced by OACT on an annual
basis and are expected to continue to be
produced for the foreseeable future; and
projections are available for calendar
year time periods that span the
upcoming fiscal year. Timeliness and
continuity are important considerations
because of our need to be able to update
this estimate annually. Accuracy is also
a very important consideration and, all
things being equal, we would choose the
most accurate data source that
sufficiently meets our other criteria.
(2) Proposed Factor 2 for FY 2020
Using these data sources and the
methodologies described above, the
OACT estimates that the uninsured rate
for the historical, baseline year of 2013
was 14 percent and for CYs 2019 and
2020 is 9.4 percent and 9.3 percent,
respectively.394 As required by section
1886(r)(2)(B)(ii) of the Act, the Chief
Actuary of CMS has certified these
estimates.
394 Certification of Rates of Uninsured. March 28,
2019. Available at: https://www.cms.gov/Medicare/
Medicare-Fee-for-Service-Payment/
AcuteInPatientPPS/dsh.html.
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As with the CBO estimates on which
we based Factor 2 in prior fiscal years,
the NHEA estimates are for a calendar
year. In the rulemaking for FY 2014,
many commenters noted that the
uncompensated care payments are made
for the fiscal year and not on a calendar
year basis and requested that CMS
normalize the CBO estimate to reflect a
fiscal year basis. Specifically,
commenters requested that CMS
calculate a weighted average of the CBO
estimate for October through December
2013 and the CBO estimate for January
through September 2014 when
determining Factor 2 for FY 2014. We
agreed with the commenters that
normalizing the estimate to cover FY
2014 rather than CY 2014 would more
accurately reflect the rate of
uninsurance that hospitals would
experience during the FY 2014 payment
year. Accordingly, we estimated the rate
of uninsurance for FY 2014 by
calculating a weighted average of the
CBO estimates for CY 2013 and CY 2014
(78 FR 50633). We have continued this
weighted average approach in each
fiscal year since FY 2014.
We continue to believe that, in order
to estimate the rate of uninsurance
during a fiscal year more accurately,
Factor 2 should reflect the estimated
rate of uninsurance that hospitals will
experience during the fiscal year, rather
than the rate of uninsurance during only
one of the calendar years that the fiscal
year spans. Accordingly, we are
proposing to continue to apply the
weighted average approach used in past
fiscal years in order to estimate the rate
of uninsurance for FY 2020. The OACT
has certified this estimate of the fiscal
year rate of uninsurance to be
reasonable and appropriate for purposes
of section 1886(r)(2)(B)(ii) of the Act.
The calculation of the proposed
Factor 2 for FY 2020 using a weighted
average of the OACT’s projections for
CY 2019 and CY 2020 is as follows:
• Percent of individuals without
insurance for CY 2013: 14 percent.
• Percent of individuals without
insurance for CY 2019: 9.4 percent.
• Percent of individuals without
insurance for CY 2020: 9.4 percent.
• Percent of individuals without
insurance for FY 2020 (0.25 times 0.094)
+ (0.75 times 0.094): 9.4 percent 1 ¥
|((0.094 ¥ 0.14)/0.14)| = 1 ¥ 0.3286 =
0.6714 (67.14 percent).
For FY 2020 and subsequent fiscal
years, section 1886(r)(2)(B)(ii) of the Act
no longer includes any reduction to the
above calculation. Therefore, we are
proposing that Factor 2 for FY 2020 will
be 67.14 percent.
The proposed FY 2020
uncompensated care amount is
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$12,643,011,209.74 × 0.6714 =
$8,488,517,726.22.
Proposed FY 2020 Uncompensated Care Amount .....
$8,488,517,726.22
We are inviting public comments on
our proposed methodology for
calculating Factor 2 for FY 2020.
c. Calculation of Proposed Factor 3 for
FY 2020
(1) General Background
Section 1886(r)(2)(C) of the Act
defines Factor 3 in the calculation of the
uncompensated care payment. As we
have discussed earlier, section
1886(r)(2)(C) of the Act states that Factor
3 is equal to the percent, for each
subsection (d) hospital, that represents
the quotient of: (1) The amount of
uncompensated care for such hospital
for a period selected by the Secretary (as
estimated by the Secretary, based on
appropriate data (including, in the case
where the Secretary determines
alternative data are available that are a
better proxy for the costs of subsection
(d) hospitals for treating the uninsured,
the use of such alternative data)); and
(2) the aggregate amount of
uncompensated care for all subsection
(d) hospitals that receive a payment
under section 1886(r) of the Act for such
period (as so estimated, based on such
data).
Therefore, Factor 3 is a hospitalspecific value that expresses the
proportion of the estimated
uncompensated care amount for each
subsection (d) hospital and each
subsection (d) Puerto Rico hospital with
the potential to receive Medicare DSH
payments relative to the estimated
uncompensated care amount for all
hospitals estimated to receive Medicare
DSH payments in the fiscal year for
which the uncompensated care payment
is to be made. Factor 3 is applied to the
product of Factor 1 and Factor 2 to
determine the amount of the
uncompensated care payment that each
eligible hospital will receive for FY
2014 and subsequent fiscal years. In
order to implement the statutory
requirements for this factor of the
uncompensated care payment formula,
it was necessary to determine: (1) The
definition of uncompensated care or, in
other words, the specific items that are
to be included in the numerator (that is,
the estimated uncompensated care
amount for an individual hospital) and
the denominator (that is, the estimated
uncompensated care amount for all
hospitals estimated to receive Medicare
DSH payments in the applicable fiscal
year); (2) the data source(s) for the
estimated uncompensated care amount;
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19413
and (3) the timing and manner of
computing the quotient for each
hospital estimated to receive Medicare
DSH payments. The statute instructs the
Secretary to estimate the amounts of
uncompensated care for a period based
on appropriate data. In addition, we
note that the statute permits the
Secretary to use alternative data in the
case where the Secretary determines
that such alternative data are available
that are a better proxy for the costs of
subsection (d) hospitals for treating
individuals who are uninsured.
In the course of considering how to
determine Factor 3 during the
rulemaking process for FY 2014, the
first year this provision was in effect, we
considered defining the amount of
uncompensated care for a hospital as
the uncompensated care costs of that
hospital and determined that Worksheet
S–10 of the Medicare cost report
potentially provides the most complete
data regarding uncompensated care
costs for Medicare hospitals. However,
because of concerns regarding variations
in the data reported on Worksheet S–10
and the completeness of these data, we
did not use Worksheet S–10 data to
determine Factor 3 for FY 2014, or for
FYs 2015, 2016, or 2017. Instead, we
believed that the utilization of insured
low-income patients, as measured by
patient days, would be a better proxy for
the costs of hospitals in treating the
uninsured and therefore appropriate to
use in calculating Factor 3 for these
years. Of particular importance in our
decision making was the relative
newness of Worksheet S–10, which
went into effect on May 1, 2010. At the
time of the rulemaking for FY 2014, the
most recent available cost reports would
have been from FYs 2010 and 2011,
which were submitted on or after May
1, 2010, when the new Worksheet S–10
went into effect. We believed that
concerns about the standardization and
completeness of the Worksheet S–10
data could be more acute for data
collected in the first year of the
Worksheet’s use (78 FR 50635). In
addition, we believed that it would be
most appropriate to use data elements
that have been historically publicly
available, subject to audit, and used for
payment purposes (or that the public
understands will be used for payment
purposes) to determine the amount of
uncompensated care for purposes of
Factor 3 (78 FR 50635). At the time we
issued the FY 2014 IPPS/LTCH PPS
final rule, we did not believe that the
available data regarding uncompensated
care from Worksheet S–10 met these
criteria and, therefore, we believed they
were not reliable enough to use for
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determining FY 2014 uncompensated
care payments. For FYs 2015, 2016, and
2017, the cost reports used for
calculating uncompensated care
payments (that is, FYs 2011, 2012, and
2013) were also submitted prior to the
time that hospitals were on notice that
Worksheet S–10 could be the data
source for calculating uncompensated
care payments. Therefore, we believed it
was also appropriate to use proxy data
to calculate Factor 3 for these years. We
indicated our belief that Worksheet S–
10 could ultimately serve as an
appropriate source of more direct data
regarding uncompensated care costs for
purposes of determining Factor 3 once
hospitals were submitting more accurate
and consistent data through this
reporting mechanism.
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38202), we stated that we
could no longer conclude that
alternative data to the Worksheet S–10
are available for FY 2014 that are a
better proxy for the costs of subsection
(d) hospitals for treating individuals
who are uninsured. Hospitals were on
notice as of FY 2014 that Worksheet S–
10 could eventually become the data
source for CMS to calculate
uncompensated care payments.
Furthermore, hospitals’ cost reports
from FY 2014 had been publicly
available for some time, and CMS had
analyses of Worksheet S–10, conducted
both internally and by stakeholders,
demonstrating that Worksheet S–10
accuracy had improved over time.
Analyses performed by MedPAC had
already shown that the correlation
between audited uncompensated care
data from 2009 and the data from the FY
2011 Worksheet S–10 was over 0.80, as
compared to a correlation of
approximately 0.50 between the audited
uncompensated care data and 2011
Medicare SSI and Medicaid days. Based
on this analysis, MedPAC concluded
that use of Worksheet S–10 data was
already better than using Medicare SSI
and Medicaid days as a proxy for
uncompensated care costs, and that the
data on Worksheet S–10 would improve
over time as the data are actually used
to make payments (81 FR 25090). In
addition, a 2007 MedPAC analysis of
data from the Government
Accountability Office (GAO) and the
American Hospital Association (AHA)
had suggested that Medicaid days and
low-income Medicare days are not an
accurate proxy for uncompensated care
costs (80 FR 49525).
Subsequent analyses from Dobson/
DaVanzo, originally commissioned by
CMS for the FY 2014 rulemaking and
updated in later years, compared
Worksheet S–10 and IRS Form 990 data
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and assessed the correlation in Factor 3s
derived from each of the data sources.
Our analyses on balance led us to
believe that we had reached a tipping
point in FY 2018 with respect to the use
of the Worksheet S–10 data. We refer
readers to the FY 2018 IPPS/LTCH PPS
final rule (82 FR 38201 through 38203)
for a complete discussion of these
analyses.
We found further evidence for this
tipping point when we examined
changes to the FY 2014 Worksheet S–10
data submitted by hospitals following
the publication of the FY 2017 IPPS/
LTCH PPS final rule. In the FY 2017
IPPS/LTCH PPS final rule, as part of our
ongoing quality control and data
improvement measures for the
Worksheet S–10, we referred readers to
Change Request 9648, Transmittal 1681,
titled ‘‘The Supplemental Security
Income (SSI)/Medicare Beneficiary Data
for Fiscal Year 2014 for Inpatient
Prospective Payment System (IPPS)
Hospitals, Inpatient Rehabilitation
Facilities (IRFs), and Long Term Care
Hospitals (LTCHs),’’ issued on July 15,
2016 (available at: https://www.cms.gov/
Regulations-and-Guidance/Guidance/
Transmittals/Downloads/
R1681OTN.pdf). In this transmittal, as
part of the process for ensuring
complete submission of Worksheet S–10
by all eligible DSH hospitals, we
instructed MACs to accept amended
Worksheets S–10 for FY 2014 cost
reports submitted by hospitals (or initial
submissions of Worksheet S–10 if none
had been submitted previously) and to
upload them to the Health Care Provider
Cost Report Information System (HCRIS)
in a timely manner. The transmittal
stated that, for revisions to be
considered, hospitals were required to
submit their amended FY 2014 cost
report containing the revised Worksheet
S–10 (or a completed Worksheet S–10 if
no data were included on the previously
submitted cost report) to the MAC no
later than September 30, 2016. For the
FY 2018 IPPS/LTCH PPS proposed rule
(82 FR 19949 through 19950), we
examined hospitals’ FY 2014 cost
reports to see if the Worksheet S–10
data on those cost reports had changed
as a result of the opportunity for
hospitals to submit revised Worksheet
S–10 data for FY 2014. Specifically, we
compared hospitals’ FY 2014 Worksheet
S–10 data as they existed in the first
quarter of CY 2016 with data from the
fourth quarter of CY 2016. We found
that the FY 2014 Worksheet S–10 data
had changed over that time period for
approximately one quarter of hospitals
that receive uncompensated care
payments. The fact that the Worksheet
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S–10 data changed for such a significant
number of hospitals following a review
of the cost report data they originally
submitted and that the revised
Worksheet S–10 information is available
to be used in determining
uncompensated care costs contributed
to our belief that we could no longer
conclude that alternative data are
available that are a better proxy than the
Worksheet S–10 data for the costs of
subsection (d) hospitals for treating
individuals who are uninsured.
We also recognized commenters’
concerns that, in using Medicaid days as
part of the proxy for uncompensated
care, it would be possible for hospitals
in States that choose to expand
Medicaid to receive higher
uncompensated care payments because
they may have more Medicaid patient
days than hospitals in a State that does
not choose to expand Medicaid. Because
the earliest Medicaid expansions under
the Affordable Care Act began in 2014,
the 2011, 2012, and 2013 Medicaid days
used to calculate uncompensated care
payments in FYs 2015, 2016, and 2017
are the latest available data on Medicaid
utilization that do not reflect the effects
of these Medicaid expansions.
Accordingly, if we had used only lowincome insured days to estimate
uncompensated care in FY 2018, we
would have needed to hold the time
period of these data constant and use
data on Medicaid days from 2011, 2012,
and 2013 in order to avoid the risk of
any redistributive effects arising from
the decision to expand Medicaid in
certain States. As a result, we would
have been using older data that may
provide a less accurate proxy for the
level of uncompensated care being
furnished by hospitals, contributing to
our growing concerns regarding the
continued use of low-income insured
days as a proxy for uncompensated care
costs in FY 2018.
In summary, as we stated in the FY
2018 IPPS/LTCH PPS final rule (82 FR
38203), when weighing the new
information regarding the correlation
between the Worksheet S–10 data and
IRS 990 data that became available to us
after the FY 2017 rulemaking in
conjunction with the information
regarding Worksheet S–10 data and the
low-income days proxy that we
analyzed as part of our consideration of
this issue in prior rulemaking, we
determined that we could no longer
conclude that alternative data to the
Worksheet S–10 are available for FY
2014 that are a better proxy for the costs
of subsection (d) hospitals for treating
individuals who are uninsured. We also
stated that we believe that continued
use of Worksheet S–10 will improve the
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accuracy and consistency of the
reported data, especially in light of
CMS’ concerted efforts to allow
hospitals to review and resubmit their
Worksheet S–10 data for past years and
the use of trims for potentially aberrant
data (82 FR 38207, 38217, and 38218).
We also committed to continue to work
with stakeholders to address their
concerns regarding the accuracy of the
reporting of uncompensated care costs
through provider education and
refinement of the instructions to
Worksheet S–10.
For FY 2019, as discussed in the FY
2019 IPPS/LTCH PPS final rule (83 FR
41413), we continued to monitor the
reporting of Worksheet S–10 data in
anticipation of using Worksheet S–10
data from hospitals’ FY 2014 and FY
2015 cost reports in the calculation of
Factor 3. We acknowledged the
concerns that had been raised regarding
the instructions for Worksheet S–10. In
particular, commenters had expressed
concerns that the lack of clear and
concise line-level instructions
prevented accurate and consistent data
from being reported on Worksheet S–10.
We noted that, in November 2016, CMS
issued Transmittal 10, which clarified
and revised the instructions for the
Worksheet S–10, including the
instructions regarding the reporting of
charity care charges. Transmittal 10 is
available for download on the CMS
website at: https://www.cms.gov/
Regulations-and-Guidance/Guidance/
Transmittals/Downloads/R10P240.pdf.
In Transmittal 10, we clarified that
hospitals may include discounts given
to uninsured patients who meet the
hospital’s charity care criteria in effect
for that cost reporting period. This
clarification applied to cost reporting
periods beginning prior to October 1,
2016, as well as cost reporting periods
beginning on or after October 1, 2016.
As a result, nothing prohibits a hospital
from considering a patient’s insurance
status as a criterion in its charity care
policy. A hospital determines its own
financial criteria as part of its charity
care policy. The instructions for the
Worksheet S–10 set forth that hospitals
may include discounts given to
uninsured patients, including patients
with coverage from an entity that does
not have a contractual relationship with
the provider, who meet the hospital’s
charity care criteria in effect for that cost
reporting period. In addition, we revised
the instructions for the Worksheet S–10
for cost reporting periods beginning on
or after October 1, 2016, to provide that
charity care charges must be determined
in accordance with the hospital’s
charity care criteria/policy and written
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off in the cost reporting period,
regardless of the date of service.
During the FY 2018 rulemaking,
commenters pointed out that, in the FY
2017 IPPS/LTCH PPS final rule (81 FR
56963), CMS agreed to institute certain
additional quality control and data
improvement measures prior to moving
forward with incorporating Worksheet
S–10 data into the calculation of Factor
3. However, the commenters indicated
that, aside from a brief window in 2016
for hospitals to submit corrected data on
their FY 2014 Worksheet S–10 by
September 30, 2016, and the issuance of
revised instructions (Transmittal 10) in
November 2016 that are applicable to
cost reports beginning on or after
October 1, 2016, CMS had not
implemented any additional quality
control and data improvement
measures. We stated in the FY 2018
IPPS/LTCH PPS final rule that we
would continue to work with
stakeholders to address their concerns
regarding the reporting of
uncompensated care through provider
education and refinement of the
instructions to the Worksheet S–10 (82
FR 38206).
On September 29, 2017, we issued
Transmittal 11, which clarified the
definitions and instructions for
uncompensated care, non-Medicare bad
debt, non-reimbursed Medicare bad
debt, and charity care, as well as
modified the calculations relative to
uncompensated care costs and added
edits to ensure the integrity of the data
reported on Worksheet S–10.
Transmittal 11 is available for download
on the CMS website at: https://
www.cms.gov/Regulations-andGuidance/Guidance/Transmittals/
2017Downloads/R11p240.pdf. We
further clarified that full or partial
discounts given to uninsured patients
who meet the hospital’s charity care
policy or financial assistance policy/
uninsured discount policy (hereinafter
referred to as Financial Assistance
Policy or FAP) may be included on Line
20, Column 1 of Worksheet S–10. These
clarifications apply to cost reporting
periods beginning on or after October 1,
2013. We also modified the application
of the CCR. We specified that the CCR
will not be applied to the deductible
and coinsurance amounts for insured
patients approved for charity care and
non-reimbursed Medicare bad debt. The
CCR will be applied to the charges for
uninsured patients approved for charity
care or an uninsured discount, nonMedicare bad debt, and charges for
noncovered days exceeding a length of
stay limit imposed on patients covered
by Medicaid or other indigent care
programs.
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We also provided another opportunity
for hospitals to submit revisions to their
Worksheet S–10 data for FY 2014 and
FY 2015 cost reports. We refer readers
to Change Request 10378, Transmittal
1981, titled ‘‘Fiscal Year (FY) 2014 and
2015 Worksheet S–10 Revisions: Further
Extension for All Inpatient Prospective
Payment System (IPPS) Hospitals,’’
issued on December 1, 2017 (available
at: https://www.cms.gov/Regulationsand-Guidance/Guidance/Transmittals/
2017Downloads/R1981OTN.pdf). In this
transmittal, we instructed MACs to
accept amended Worksheets S–10 for
FY 2014 and FY 2015 cost reports
submitted by hospitals (or initial
submissions of Worksheet S–10 if none
had been submitted previously) and to
upload them to the Health Care Provider
Cost Report Information System (HCRIS)
in a timely manner. The transmittal
included the deadlines by which
hospitals needed to submit their
amended FY 2014 and FY 2015 cost
reports containing the revised
Worksheet S–10 (or a completed
Worksheet S–10 if no data were
included on the previously submitted
cost report) to the MAC, as well as the
dates by which MACs must have
accepted these data and uploaded the
revised cost report to the HCRIS, in
order for the data to be considered for
purposes of the FY 2019 rulemaking.
(2) Background on the Methodology
Used To Calculate Factor 3 for FY 2019
Section 1886(r)(2)(C) of the Act
governs both the selection of the data to
be used in calculating Factor 3, and also
allows the Secretary the discretion to
determine the time periods from which
we will derive the data to estimate the
numerator and the denominator of the
Factor 3 quotient. Specifically, section
1886(r)(2)(C)(i) of the Act defines the
numerator of the quotient as the amount
of uncompensated care for such hospital
for a period selected by the Secretary.
Section 1886(r)(2)(C)(ii) of the Act
defines the denominator as the aggregate
amount of uncompensated care for all
subsection (d) hospitals that receive a
payment under section 1886(r) of the
Act for such period. In the FY 2014
IPPS/LTCH PPS final rule (78 FR
50638), we adopted a process of making
interim payments with final cost report
settlement for both the empirically
justified Medicare DSH payments and
the uncompensated care payments
required by section 3133 of the
Affordable Care Act. Consistent with
that process, we also determined the
time period from which to calculate the
numerator and denominator of the
Factor 3 quotient in a way that would
be consistent with making interim and
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final payments. Specifically, we must
have Factor 3 values available for
hospitals that we estimate will qualify
for Medicare DSH payments and for
those hospitals that we do not estimate
will qualify for Medicare DSH payments
but that may ultimately qualify for
Medicare DSH payments at the time of
cost report settlement.
In the FY 2017 IPPS/LTCH PPS final
rule, in order to mitigate undue
fluctuations in the amount of
uncompensated care payments to
hospitals from year to year and smooth
over anomalies between cost reporting
periods, we finalized a policy of
calculating a hospital’s share of
uncompensated care based on an
average of data derived from three cost
reporting periods instead of one cost
reporting period. As explained in the
preamble to the FY 2017 IPPS/LTCH
PPS final rule (81 FR 56957 through
56959), instead of determining Factor 3
using data from a single cost reporting
period as we did in FY 2014, FY 2015,
and FY 2016, we used data from three
cost reporting periods (Medicaid data
for FYs 2011, 2012, and 2013 and SSI
days from the three most recent
available years of SSI utilization data
(FYs 2012, 2013, and 2014)) to compute
Factor 3 for FY 2017. Furthermore,
instead of determining a single Factor 3
as we had done since the first year of
the uncompensated care payment in FY
2014, we calculated an individual
Factor 3 for each of the three cost
reporting periods, which we then
averaged by the number of cost
reporting years with data to compute the
final Factor 3 for a hospital. Under this
policy, if a hospital had merged, we
would combine data from both hospitals
for the cost reporting periods in which
the merger was not reflected in the
surviving hospital’s cost report data to
compute Factor 3 for the surviving
hospital. Moreover, to further reduce
undue fluctuations in a hospital’s
uncompensated care payments, if a
hospital filed multiple cost reports
beginning in the same fiscal year, we
combined data from the multiple cost
reports so that a hospital could have a
Factor 3 calculated using more than one
cost report within a cost reporting
period. We codified these changes for
FY 2017 by amending the regulation at
§ 412.106(g)(1)(iii)(C).
As we stated in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41414), with
the additional steps we had taken to
ensure the accuracy and consistency of
the data reported on Worksheet S–10
since the publication of the FY 2018
IPPS/LTCH PPS final rule, we
continued to believe that we can no
longer conclude that alternative data to
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the Worksheet S–10 are currently
available for FY 2014 that are a better
proxy for the costs of subsection (d)
hospitals for treating individuals who
are uninsured. Similarly, the actions
that we have taken to improve the
accuracy and consistency of the
Worksheet S–10 data, including the
opportunity for hospitals to resubmit
Worksheet S–10 data for FY 2015, led us
to conclude that there are no alternative
data to the Worksheet S–10 data
currently available for FY 2015 that are
a better proxy for the costs of subsection
(d) hospitals for treating uninsured
individuals. As such, in the FY 2019
IPPS/LTCH PPS final rule (83 FR
41428), we finalized our proposal to
advance the time period of the data used
in the calculation of Factor 3 forward by
1 year and to use data from FY 2013, FY
2014, and FY 2015 cost reports to
determine Factor 3 for FY 2019. For the
reasons we described earlier, we stated
that we continue to believe it is
inappropriate to use Worksheet S–10
data for periods prior to FY 2014.
Rather, for cost reporting periods prior
to FY 2014, we indicated that we
believe it is appropriate to continue to
use low-income insured days.
Accordingly, with a time period that
includes 3 cost reporting years
consisting of FY 2013, FY 2014, and FY
2015, we used Worksheet S–10 data for
the FY 2014 and FY 2015 cost reporting
periods and the low-income insured
days proxy data for the earliest cost
reporting period. As in previous years,
in order to perform this calculation for
the FY 2019 final rule, we drew three
sets of data (1 year of Medicaid
utilization data and 2 years of
Worksheet S–10 data) from the most
recent available HCRIS extract, which
was the June 30, 2018 update of HCRIS,
due to the unique circumstances related
to the impact of the hurricanes in 2017
(Harvey, Irma, Maria, and Nate) and the
extension of the deadline to resubmit
Worksheet S–10 data through January 2,
2018, and the subsequent impact on the
MAC review timeline (83 FR 41421).
Accordingly, for FY 2019, in addition
to the Worksheet S–10 data for FY 2014
and FY 2015, we used Medicaid days
from FY 2013 cost reports and FY 2016
SSI ratios. We noted that cost report
data from Indian Health Service and
Tribal hospitals are included in HCRIS
beginning in FY 2013 and no longer
need to be incorporated from a separate
data source. We also continued the
policies that were finalized in the FY
2015 IPPS/LTCH PPS final rule (79 FR
50020) to address several specific issues
concerning the process and data to be
employed in determining Factor 3 in the
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case of hospital mergers. In addition, we
continued the policies that were
finalized in the FY 2018 IPPS/LTCH
PPS final rule to address technical
considerations related to the calculation
of Factor 3 and the incorporation of
Worksheet S–10 data (82 FR 38213
through 38220). In that final rule, we
adopted a policy, for purposes of
calculating Factor 3, under which we
annualize Medicaid days data and
uncompensated care cost data reported
on the Worksheet S–10 if a hospital’s
cost report does not equal 12 months of
data. As in FY 2018, for FY 2019, we did
not annualize SSI days because we do
not obtain these data from hospital cost
reports in HCRIS. Rather, we obtained
these data from the latest available SSI
ratios posted on the Medicare DSH
homepage (https://www.cms.gov/
Medicare/Medicare-fee-for-servicepayment/AcuteInpatientPPS/dsh.html),
which were aggregated at the hospital
level and did not include the
information needed to determine if the
data should be annualized. To address
the effects of averaging Factor 3s
calculated for 3 separate fiscal years, we
continued to apply a scaling factor to
the Factor 3 values of all DSH eligible
hospitals such that total uncompensated
care payments are consistent with the
estimated amount available to make
uncompensated care payments for the
applicable fiscal year. With respect to
the incorporation of data from
Worksheet S–10, we indicated that we
believe that the definition of
uncompensated care adopted in FY
2018 is still appropriate because it
incorporates the most commonly used
factors within uncompensated care as
reported by stakeholders, including
charity care costs and non-Medicare bad
debt costs, and correlates to Line 30 of
Worksheet S–10. Therefore, for
purposes of calculating Factor 3 and
uncompensated care costs in FY 2019,
we again defined ‘‘uncompensated care’’
as the amount on Line 30 of Worksheet
S–10, which is the cost of charity care
(Line 23) and the cost of non-Medicare
bad debt and non-reimbursable
Medicare bad debt (Line 29).
We noted that we were discontinuing
the policy finalized in the FY 2017
IPPS/LTCH PPS final rule concerning
multiple cost reports beginning in the
same fiscal year (81 FR 56957). Under
this policy, we would first combine the
data across the multiple cost reports
before determining the difference
between the start date and the end date
to determine if annualization was
needed. This policy was developed in
response to commenters’ concerns
regarding the unique circumstances of
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hospitals that file cost reports that are
shorter or longer than 12 months. As we
explained in the FY 2017 IPPS/LTCH
PPS final rule (81 FR 56957 through
56959) and in the FY 2018 IPPS/LTCH
PPS proposed rule (82 FR 19953), we
believed that, for hospitals that file
multiple cost reports beginning in the
same year, combining the data from
these cost reports had the benefit of
supplementing the data of hospitals that
filed cost reports that are less than 12
months, such that the basis of their
uncompensated care payments and
those of hospitals that filed full-year 12month cost reports would be more
equitable. As we stated in the FY 2019
IPPS/LTCH PPS proposed and final
rules, we now believe that concerns
about the equitability of the data used
as the basis of hospital uncompensated
care payments are more thoroughly
addressed by the policy finalized in the
FY 2018 IPPS/LTCH PPS final rule,
under which CMS annualizes the
Medicaid days and uncompensated care
cost data of hospital cost reports that do
not equal 12 months of data. Based on
our experience, we stated that we
believe that in many cases where a
hospital files two cost reports beginning
in the same fiscal year, combining the
data across multiple cost reports before
annualizing would yield a similar result
to choosing the longer of the two cost
reports and then annualizing the data if
the cost report is shorter or longer than
12 months. Furthermore, even in cases
where a hospital files more than one
cost report beginning in the same fiscal
year, it is not uncommon for one of
those cost reports to span exactly 12
months. In this case, if Factor 3 is
determined using only the full 12month cost report, annualization would
be unnecessary as there would already
be 12 months of data. Therefore, for FY
2019, we stated that we believed it was
appropriate to eliminate the additional
step of combining data across multiple
cost reports if a hospital filed more than
one cost report beginning in the same
fiscal year. Instead, for purposes of
calculating Factor 3, we used data from
the cost report that is equivalent to 12
months or, if no such cost report
existed, the cost report that was closest
to 12 months, and annualized the data.
Furthermore, we acknowledged that, in
rare cases, a hospital may have more
than one cost report beginning in one
fiscal year, where one report also spans
the entirety of the following fiscal year,
such that the hospital has no cost report
beginning in that fiscal year. For
instance, a hospital’s cost reporting
period may have started towards the
end of FY 2012 but cover the duration
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of FY 2013. In these rare situations, we
would use data from the cost report that
spans both fiscal years in the Factor 3
calculation for the latter fiscal year as
the hospital would already have data
from the preceding cost report that
could be used to determine Factor 3 for
the previous fiscal year.
In FY 2019, we also continued to
apply statistical trims to anomalous
hospital CCRs using a similar
methodology to the one adopted in the
FY 2018 IPPS/LTCH PPS final rule (82
FR 38217 through 38219), where we
stated our belief that, just as we apply
trims to hospitals’ CCRs to eliminate
anomalies when calculating outlier
payments for extraordinarily high cost
cases (§ 412.84(h)(3)(ii)), it is
appropriate to apply statistical trims to
the CCRs on Worksheet S–10, Line 1,
that are considered anomalies.
Specifically, § 412.84(h)(3)(ii) states that
the Medicare contractor may use a
statewide CCR for hospitals whose
operating or capital CCR is in excess of
3 standard deviations above the
corresponding national geometric mean
(that is, the CCR ‘‘ceiling’’). The
geometric means for purposes of the
Worksheet S–10 trim of CCRs and for
purposes of § 412.84(h)(3)(ii) are
separately calculated annually by CMS
and published in the applicable sections
of the proposed and final IPPS rules
each year. We refer readers to the FY
2019 IPPS/LTCH PPS final rule (83 FR
41415) for a detailed description of the
CCR trim methodology for purposes of
the Worksheet S–10 trim of CCRs,
which included calculating 3 standard
deviations above the national geometric
mean CCR for each of the applicable
cost report years (FY 2014 and FY 2015)
that were part of the Factor 3
methodology for FY 2019.
Similar in concept to the policy that
we adopted for FY 2018, for FY 2019,
we stated that we continued to believe
that uncompensated care costs that
represent an extremely high ratio of a
hospital’s total operating expenses (such
as the ratio of 50 percent used in the FY
2018 IPPS/LTCH PPS final rule) may be
potentially aberrant, and that using the
ratio of uncompensated care costs to
total operating costs to identify
potentially aberrant data when
determining Factor 3 amounts has merit.
We noted that we had instructed the
MACs to review situations where a
hospital has an extremely high ratio of
uncompensated care costs to total
operating costs with the hospital, but
also indicated that we did not intend to
make the MACs’ review protocols
public (83 FR 41416). Similarly, we
believe that situations where there were
extremely large dollar increases or
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19417
decreases in a hospital’s uncompensated
care costs when it resubmitted its FY
2014 Worksheet S–10 or FY 2015
Worksheet S–10 data, or when the data
it had previously submitted were
reprocessed by the MAC, may reflect
potentially aberrant data and warrant
further review. In the FY 2019 IPPS/
LTCH PPS proposed rule (83 FR 20399),
we noted that our calculation of Factor
3 for the final rule would be contingent
on the results of the ongoing MAC
reviews of hospitals’ Worksheet S–10
data, and in the event those reviews
necessitate supplemental data edits, we
would incorporate such edits in the
final rule for the purpose of correcting
aberrant data. After the completion of
the MAC reviews, we did not
incorporate any additional edits to the
Worksheet S–10 data that we did not
propose in the FY 2019 IPPS/LTCH PPS
proposed rule. We refer readers to the
FY 2019 IPPS/LTCH PPS final rule (83
FR 41416) for a detailed discussion of
our policies for trimming aberrant data.
In brief summary, in cases where a
hospital’s uncompensated care costs for
FY 2014 or FY 2015 were an extremely
high ratio of its total operating costs,
and the hospital could not justify the
amount it reported, we determined the
ratio of uncompensated care costs to the
hospital’s total operating costs from
another available cost report, and
applied that ratio to the total operating
expenses for the potentially aberrant
fiscal year to determine an adjusted
amount of uncompensated care costs.
For example, if the FY 2015 cost report
was determined to include potentially
aberrant data, data from the FY 2016
cost report would be used for the ratio
calculation. In this case, the hospital’s
uncompensated care costs for FY 2015
would be trimmed by multiplying its FY
2015 total operating costs by the ratio of
uncompensated care costs to total
operating costs from the hospital’s FY
2016 cost report to calculate an estimate
of the hospital’s uncompensated care
costs for FY 2015 for purposes of
determining Factor 3 for FY 2019.
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41416), for Indian Health
Service and Tribal hospitals, subsection
(d) Puerto Rico hospitals, and allinclusive rate providers, we continued
the policy we first adopted for FY 2018
of substituting data regarding FY 2013
low-income insured days for the
Worksheet S–10 data when determining
Factor 3. As we discussed in the FY
2018 IPPS/LTCH PPS final rule (82 FR
38209), the use of data from Worksheet
S–10 to calculate the uncompensated
care amount for Indian Health Service
and Tribal hospitals may jeopardize
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these hospitals’ uncompensated care
payments due to their unique funding
structure. With respect to Puerto Rico
hospitals, we indicated that we continue
to agree with concerns raised by
commenters that the uncompensated
care data reported by these hospitals
need to be further examined before the
data are used to determine Factor 3 (82
FR 38209). Finally, we acknowledged
that the CCRs for all-inclusive rate
providers are potentially erroneous and
still in need of further examination
before they can be used in the
determination of uncompensated care
amounts for purposes of Factor 3 (82 FR
38212). For the reasons described earlier
related to the impact of the Medicaid
expansion beginning in FY 2014, we
stated that we also continue to believe
that it is inappropriate to calculate a
Factor 3 using FY 2014 and FY 2015
low-income insured days. Because we
did not believe it was appropriate to use
the FY 2014 or FY 2015 uncompensated
care data for these hospitals and we also
did not believe it was appropriate to use
the FY 2014 or FY 2015 low-income
insured days, we stated that the best
proxy for the costs of Indian Health
Service and Tribal hospitals, subsection
(d) Puerto Rico hospitals, and allinclusive rate providers for treating the
uninsured continues to be the lowincome insured days data for FY 2013.
Accordingly, for these hospitals, we
determined Factor 3 only on the basis of
low-income insured days for FY 2013.
We stated our belief that this approach
was appropriate as the FY 2013 data
reflect the most recent available
information regarding these hospitals’
low-income insured days before any
expansion of Medicaid. In addition,
because we continued to use 1 year of
insured low-income patient days as a
proxy for uncompensated care and
residents of Puerto Rico are not eligible
for SSI benefits, we continued to use a
proxy for SSI days for Puerto Rico
hospitals consisting of 14 percent of the
hospital’s Medicaid days, as finalized in
the FY 2017 IPPS/LTCH PPS final rule
(81 FR 56953 through 56956).
Therefore, for FY 2019, we computed
Factor 3 for each hospital by—
Step 1: Calculating Factor 3 using the
low-income insured days proxy based
on FY 2013 cost report data and the FY
2016 SSI ratio (or, for Puerto Rico
hospitals, 14 percent of the hospital’s
FY 2013 Medicaid days);
Step 2: Calculating Factor 3 based on
the FY 2014 Worksheet S–10 data;
Step 3: Calculating Factor 3 based on
the FY 2015 Worksheet S–10 data; and
Step 4: Averaging the Factor 3 values
from Steps 1, 2, and 3; that is, adding
the Factor 3 values from FY 2013, FY
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2014, and FY 2015 for each hospital,
and dividing that amount by the number
of cost reporting periods with data to
compute an average Factor 3 (or for
Puerto Rico hospitals, Indian Health
Service and Tribal hospitals, and allinclusive rate providers, using the
Factor 3 value from Step 1).
We also amended the regulations at
§ 412.106(g)(1)(iii)(C) by adding a new
paragraph (5) to reflect the above
methodology for computing Factor 3 for
FY 2019.
In the FY 2019 IPPS/LTCH PPS final
rule, we noted that if a hospital does not
have both Medicaid days for FY 2013
and SSI days for FY 2016 available for
use in the calculation of Factor 3 in Step
1, we would consider the hospital not
to have data available for the fiscal year,
and would remove that fiscal year from
the calculation and divide by the
number of years with data. A hospital
would be considered to have both
Medicaid days and SSI days data
available if it reported zero days for
either component of the Factor 3
calculation in Step 1. However, if a
hospital was missing data due to not
filing a cost report in one of the
applicable fiscal years, we would divide
by the remaining number of fiscal years.
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41417), we noted that we
did not make any proposals with respect
to the development of Factor 3 for FY
2020 and subsequent fiscal years.
However, we noted that the above
methodology would have the effect of
fully transitioning the incorporation of
data from Worksheet S–10 into the
calculation of Factor 3 if used in FY
2020, and therefore, the use of lowincome insured days would be phased
out by FY 2020 if the same methodology
were to be proposed and finalized for
that year. We also indicated that it was
possible that when we examine the FY
2016 Worksheet S–10 data, we might
determine that the use of multiple years
of Worksheet S–10 data is no longer
necessary in calculating Factor 3 for FY
2020. We stated that, given the efforts
hospitals have already undertaken with
respect to reporting their Worksheet S–
10 data and the subsequent reviews by
the MACs that had already been
conducted prior to the development of
the FY 2019 IPPS/LTCH PPS final rule,
along with additional review work that
might take place following the issuance
of the FY 2019 final rule, we might
consider using 1 year of Worksheet S–
10 data as the basis for calculating
Factor 3 for FY 2020.
For new hospitals that did not have
data for any of the three cost reporting
periods used in the Factor 3 calculation
for FY 2019, we continued to apply the
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new hospital policy finalized in the FY
2014 IPPS/LTCH PPS final rule (78 FR
50643). That is, the hospital would not
receive either interim empirically
justified Medicare DSH payments or
interim uncompensated care payments.
However, if the hospital is later
determined to be eligible to receive
empirically justified Medicare DSH
payments based on its FY 2019 cost
report, the hospital would also receive
an uncompensated care payment
calculated using a Factor 3, where the
numerator is the uncompensated care
costs reported on Worksheet S–10 of the
hospital’s FY 2019 cost report, and the
denominator is the sum of the
uncompensated care costs reported on
Worksheet S–10 of the FY 2015 cost
reports for all DSH eligible hospitals
(that is, the most recent year of the 3year time period used in the
development of Factor 3 for FY 2019).
We noted that, given the time period of
the data used to calculate Factor 3, any
hospitals with a CCN established after
October 1, 2015, would be considered
new and subject to this policy.
(3) Proposed Methodology for
Calculating Factor 3 for FY 2020
(a) Proposal to Use of Audited FY 2015
Data
Since the publication of the FY 2019
IPPS/LTCH PPS final rule, we have
continued to monitor the reporting of
Worksheet S–10 data in order to
determine the most appropriate data to
use in the calculation of Factor 3 for FY
2020. As stated in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41424), due
to the overwhelming feedback from
commenters emphasizing the
importance of audits in ensuring the
accuracy and consistency of data
reported on the Worksheet S–10, we
expected audits of the Worksheet S–10
to begin in the Fall of 2018. The audit
protocol instructions were still under
development at the time of the FY 2019
IPPS/LTCH PPS final rule; yet, we noted
the audit protocols would be provided
to the MACs in advance of the audit.
Once the audit protocol instructions
were complete, we began auditing the
Worksheet S–10 data for selected
hospitals in the Fall of 2018 so that the
audited uncompensated care data from
these hospitals would be available in
time for use in this FY 2020 proposed
rule. We chose to audit 1 year of data
(that is, FY 2015) in order to maximize
the available audit resources and not
spread those audit resources over
multiple years, potentially diluting their
effectiveness. We chose to focus the
audit on the FY 2015 cost reports
primarily because this was the most
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recent year of data that we had broadly
allowed to be resubmitted by hospitals,
and many hospitals had already made
considerable efforts to amend their FY
2015 reports for the FY 2019
rulemaking. We also considered that we
had previously used the FY 2015 data
as part of the calculation of the FY 2019
uncompensated care payments;
therefore, the data had previously been
subject to public comment and scrutiny.
Given that we have conducted audits
of the FY 2015 Worksheet S–10 data and
have previously used the FY 2015 data
to determine uncompensated care
payments, and the fact that the FY 2015
data are the most recent data that we
have allowed to be resubmitted to date,
we believe that, on balance, the FY 2015
Worksheet S–10 data are the best
available data to use for calculating
Factor 3 for FY 2020. However, as
discussed in more detail later in the
next section, an alternative we also
considered is the use of FY 2017 data.
We are seeking public comments on this
alternative and, based on the public
comments we receive, could adopt it in
the FY 2020 final rule.
We recognize that, in FY 2019, we
used 3 years of data in the calculation
of Factor 3 in order to smooth over
anomalies between cost reporting
periods and to mitigate undue
fluctuations in the amount of
uncompensated care payments from
year to year. However, we believe that,
for FY 2020, mixing audited and
unaudited data for individual hospitals
by averaging multiple years of data
could potentially lead to a less smooth
result, which is counter to our original
goal in using 3 years of data. To the
extent that the audited FY 2015 data for
a hospital are relatively different from
its unaudited FY 2014 data and/or its
unaudited FY 2016 data, we potentially
would be diluting the effect of our
considerable auditing efforts and
introducing unnecessary variability into
the calculation if we continued to use 3
years of data to calculate Factor 3. For
example, approximately 10 percent of
audited hospitals have more than a $20
million difference between their audited
FY 2015 data and their unaudited FY
2016 data.
Accordingly, we are proposing to use
a single year of Worksheet S–10 data
from FY 2015 cost reports to calculate
Factor 3 in the FY 2020 methodology.
We note that the proposed
uncompensated care payments to
hospitals whose FY 2015 Worksheet S–
10 data were audited represent
approximately half of the proposed total
uncompensated care payments for FY
2020. For purposes of this FY 2020
proposed rule, we have used the most
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recent available HCRIS extract available,
which is the HCRIS data updated
through February 15, 2019. We expect to
use the March 2019 update of HCRIS for
the final rule.
(b) Alternative Considered To Use FY
2017 Data
Although we are proposing to use
Worksheet S–10 data from the FY 2015
cost reports, we acknowledge that some
hospitals have raised concerns regarding
some of the adjustments made to the FY
2015 cost reports following the audits of
these reports (for example, adjustments
made to Line 22 of Worksheet S–10).
These hospitals contend that there are
issues regarding the instructions in
effect for FY 2015, especially compared
to the reporting instructions that were
effective for cost reporting periods
beginning on or after October 1, 2016,
and some of these adjustments would
not have been made if CMS had chosen
as an alternative to audit the FY 2017
reports.
Accordingly, we are seeking public
comments on whether the changes in
the reporting instructions between the
FY 2015 cost reports and the FY 2017
cost reports have resulted in a better
common understanding among
hospitals of how to report
uncompensated care costs and
improved relative consistency and
accuracy across hospitals in reporting
these costs. We also are seeking public
comments on whether, due to the
changes in the reporting instructions,
we should use a single year of
uncompensated care cost data from the
FY 2017 reports, instead of the FY 2015
reports, to calculate Factor 3 for FY
2020. We note that we are not proposing
to use FY 2016 reports because the
reporting instructions for that year were
similar to the reporting instructions for
the FY 2015 reports. If, based on the
public comments received, we were to
adopt a final policy in which we use
Worksheet S–10 data from the FY 2017
cost reports to determine Factor 3 for FY
2020, we would also expect to use the
March 2019 update of HCRIS for the
final rule.
Under the alternative considered on
which we are seeking public comment,
the FY 2017 Worksheet S–10 data
would be used instead of the FY 2015
Worksheet S–10 data, but, in general,
the proposed Factor 3 methodology
would be unchanged. The limited
circumstances where the methodology
would need to differ from the proposed
methodology using FY 2015 data, if we
were to adopt the alternative of using
FY 2017 data in the final rule based on
the public comments received, are
outlined in section IV.F.4.c.(3)(d) of the
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preamble of this proposed rule
(Methodological Considerations for
Calculating Factor 3). If an aspect of the
proposed methodology described below
does not specifically indicate that we
would modify it under the alternative
considered, that aspect of the
methodology would be unchanged,
regardless of whether we use FY 2015
data or FY 2017 data. We note that we
are providing all of the same public
information regarding the alternative
considered, including the Factor 3
values for each hospital and the impact
information, that we are providing for
our proposal to use FY 2015 data.
(c) Proposed Definition of
‘‘Uncompensated Care’’
We continue to believe that the
definition of ‘‘uncompensated care’’ first
adopted in FY 2018 when we started to
incorporate data from Worksheet S–10
into the determination of Factor 3 and
used again in FY 2019 is appropriate, as
it incorporates the most commonly used
factors within uncompensated care as
reported by stakeholders, namely,
charity care costs and bad debt costs,
and correlates to Line 30 of Worksheet
S–10. Therefore, we are proposing that,
for purposes of determining
uncompensated care costs and
calculating Factor 3 for FY 2020,
‘‘uncompensated care’’ would continue
to be defined as the amount on Line 30
of Worksheet S–10, which is the cost of
charity care (Line 23) and the cost of
non-Medicare bad debt and nonreimbursable Medicare bad debt (Line
29).
(d) Methodological Considerations for
Calculating Factor 3
For FY 2020, we are proposing to
continue the merger policies that were
finalized in the FY 2015 IPPS/LTCH
PPS final rule (79 FR 50020). In
addition, we are proposing to continue
the policy that was finalized in the FY
2018 IPPS/LTCH PPS final rule of
annualizing uncompensated care cost
data reported on the Worksheet S–10 if
a hospital’s cost report does not equal
12 months of data.
We are proposing to modify the new
hospital policy first adopted in the FY
2014 IPPS/LTCH PPS final rule (78 FR
50643) and continued through the FY
2019 IPPS/LTCH PPS final rule (83 FR
41417), for new hospitals that do not
have data for the cost reporting period(s)
used in the proposed Factor 3
calculation. For FY 2020, new hospitals
that are eligible for Medicare DSH
would receive interim empirically
justified DSH payments. Generally, new
hospitals do not yet have available data
to project their eligibility for DSH
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payments because there is a lag until the
SSI ratio and the Medicaid ratio become
available. However, we note that there
are some new hospitals (that is,
hospitals with CCNs established after
October 1, 2015) that have a preliminary
projection of being eligible for DSH
payments based on their most recent
available DSH percentages. Because
these hospitals do not have a FY 2015
cost report to use in the Factor 3
calculation and the projection of
eligibility for DSH payments is still
preliminary, we are proposing that the
MAC would make a final determination
concerning whether the hospital is
eligible to receive Medicare DSH
payments at cost report settlement based
on its FY 2020 cost report. If the
hospital is ultimately determined to be
eligible for Medicare DSH payments for
FY 2020, the hospital would receive an
uncompensated care payment
calculated using a Factor 3, where the
numerator is the uncompensated care
costs reported on Worksheet S–10 of the
hospital’s FY 2020 cost report, and the
denominator is the sum of the
uncompensated care costs reported on
Worksheet S–10 of the FY 2015 cost
reports for all DSH-eligible hospitals.
This denominator would be the same
denominator that is determined
prospectively for purposes of
determining Factor 3 for all DSHeligible hospitals, excluding Puerto Rico
hospitals and Indian Health Service and
Tribal hospitals. The new hospital
would not receive interim
uncompensated care payments before
cost report settlement because we would
have no FY 2015 uncompensated care
data on which to determine what those
interim payments should be. We note
that, given the time period of the data
we are proposing to use to calculate
Factor 3, any hospitals with a CCN
established on or after October 1, 2015,
would be considered new and subject to
this policy. However, under the
alternative policy considered of using
FY 2017 data, we would modify the new
hospital policy, such that any hospital
with a CCN established on or after
October 1, 2017, would be considered
new and subject to this policy with
conforming changes to provide for the
use of FY 2017 uncompensated care
data.
We have received questions regarding
the new hospital policy for new Puerto
Rico hospitals. In FY 2018 and FY 2019,
Factor 3 for all Puerto Rico hospitals,
including new Puerto Rico hospitals,
was based on the low-income insured
proxy data. Under this approach, the
MAC will calculate a Factor 3 for new
Puerto Rico hospitals at cost report
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settlement for the applicable fiscal year
using the Medicaid days from the
hospital’s cost report and the SSI day
proxy (that is, 14 percent of the
hospital’s Medicaid days) divided by
the low-income insured proxy data
denominator that was established for
that fiscal year. For FY 2020, we are
proposing that Puerto Rico hospitals
that do not have a FY 2013 report would
be considered new hospitals and would
be subject to the proposed new hospital
policy, as discussed above. Specifically,
the numerator would be the
uncompensated care costs reported on
Worksheet S–10 of the hospital’s FY
2020 cost report and the denominator
would be the same denominator that is
determined prospectively for purposes
of determining Factor 3 for all DSHeligible hospitals. We believe this notice
of proposed rulemaking provides
sufficient time for all new hospitals to
take the steps necessary to ensure that
their uncompensated care costs for FY
2020 are accurately reported on their FY
2020 Worksheet S–10. In addition, we
expect MACs to review FY 2020 reports
from new hospitals, as necessary, which
will address past commenters’ concerns
regarding the need for further review of
Puerto Rico hospitals’ uncompensated
care data before the data are used to
determine Factor 3. Therefore, we
believe the uncompensated care costs
reported on their FY 2020 Worksheet S–
10 are the best available and appropriate
data to use to calculate Factor 3 for new
Puerto Rico hospitals. This proposed
would also allow our new hospital
policy to be more uniform, given that
Worksheet S–10 would be the source of
the uncompensated care cost data across
all new hospitals.
For Indian Health Service and Tribal
hospitals and subsection (d) Puerto Rico
hospitals that have a FY 2013 cost
report, we are proposing to adapt the
policy first adopted for the FY 2018
rulemaking regarding FY 2013 lowincome insured days when determining
Factor 3. As we discussed in the FY
2018 IPPS/LTCH PPS final rule (82 FR
38209), the use of data from Worksheet
S–10 to calculate the uncompensated
care amount for Indian Health Service
and Tribal hospitals may jeopardize
these hospitals’ uncompensated care
payments due to their unique funding
structure. With respect to Puerto Rico
hospitals that would not be subject to
the proposed new hospital policy, we
continue to agree with concerns raised
by commenters that the uncompensated
care data reported by these hospitals
need to be further examined before the
data are used to determine Factor 3 (82
FR 38209). Accordingly, for these
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hospitals, we are proposing to
determine Factor 3 based on Medicaid
days from FY 2013 and the most recent
update of SSI days. The aggregate
amount of uncompensated care that is
used in the Factor 3 denominator for
these hospitals would continue to be
based on the low-income patient proxy;
that is, the aggregate amount of
uncompensated care determined for all
DSH eligible hospitals using the lowincome insured days proxy. We believe
this approach is appropriate because the
FY 2013 data reflect the most recent
available information regarding these
hospitals’ Medicaid days before any
expansion of Medicaid. At the time of
development of this proposed rule, for
modeling purposes, we computed
Factor 3 for these hospitals using FY
2013 Medicaid days and the most recent
available FY 2017 SSI days. In addition,
because we are continuing to use 1 year
of insured low-income patient days as a
proxy for uncompensated care for
Puerto Rico hospitals and residents of
Puerto Rico are not eligible for SSI
benefits, we are proposing to continue
to use a proxy for SSI days for Puerto
Rico hospitals, consisting of 14 percent
of a hospital’s Medicaid days, as
finalized in the FY 2017 IPPS/LTCH
PPS final rule (81 FR 56953 through
56956).
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41417), we noted that
further examination of the CCRs for allinclusive rate providers was necessary
before we considered incorporating
Worksheet S–10 into the Factor 3
calculation for these hospitals. We have
examined the CCRs from the FY 2015
cost reports and believe the risk that allinclusive rate providers will have
aberrant CCRs and, consequently,
aberrant uncompensated care data, is
mitigated by the proposal to apply trim
methodologies for potentially aberrant
uncompensated care costs for all
hospitals. Therefore, we believe it is no
longer necessary to propose specific
Factor 3 policies for all-inclusive rate
providers.
Because we are proposing to use 1
year of cost report data, as opposed to
averaging 3 cost report years, it is also
no longer necessary to propose to apply
a scaling factor to the Factor 3 of all
DSH eligible hospitals similar to the
scaling factor that was finalized in FY
2018 IPPS/LTCH PPS final rule (82 FR
38214) and also applied in the FY 2019
IPPS/LTCH PPS final rule. The primary
purpose of the scaling factor was to
account for the averaging effect of the
use of 3 years of data on the Factor 3
calculation.
However, we are proposing to
continue certain other policies finalized
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in the FY 2019 IPPS/LTCH PPS final
rule, specifically: (1) For providers with
multiple cost reports, beginning in the
same fiscal year, using the longest cost
report and annualizing Medicaid data
and uncompensated care data if a
hospital’s cost report does not equal 12
months of data; (2) in the rare case
where a provider has multiple cost
reports, beginning in the same fiscal
year, but one report also spans the
entirety of the following fiscal year,
such that the hospital has no cost report
for that fiscal year, using the cost report
that spans both fiscal years for the latter
fiscal year; and (3) applying statistical
trim methodologies to potentially
aberrant CCRs and potentially aberrant
uncompensated care costs reported on
the Worksheet S–10. Thus, if a
hospital’s uncompensated care costs for
FY 2015 are an extremely high ratio of
its total operating costs, and the hospital
cannot justify the amount it reported,
we are proposing to determine the ratio
of uncompensated care costs to the
hospital’s total operating costs from
another available cost report, and apply
that ratio to the total operating expenses
for the potentially aberrant fiscal year to
determine an adjusted amount of
uncompensated care costs. For example,
if the FY 2015 cost report is determined
to include potentially aberrant data,
data from the FY 2016 cost report would
be used for the ratio calculation. In this
case, similar to the trim methodology
used for FY 2019, the hospital’s
uncompensated care costs for FY 2015
would be trimmed by multiplying its FY
2015 total operating costs by the ratio of
uncompensated care costs to total
operating costs from the hospital’s FY
2016 cost report to calculate an estimate
of the hospital’s uncompensated care
costs for FY 2015 for purposes of
determining Factor 3 for FY 2020.
In support of the alternative policy
considered of using uncompensated
care data from FY 2017 and to improve
the quality of the Worksheet S–10 data
generally, we are currently in a process
of outreach to hospitals related to
potentially aberrant data reported in
their FY 2017 cost reports. For example,
a significant positive or negative
difference in the percent of total
uncompensated care costs to total
operating costs when comparing the
hospital’s FY 2015 cost report to its FY
2017 cost report may indicate
potentially aberrant data. While
hospitals may see uncompensated care
cost fluctuations from year to year, if a
hospital experiences a significant
change compared to other comparable
hospitals, this could be an indication of
potentially aberrant data. A hospital
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with such changes would have the
opportunity to justify its reporting
fluctuation to the MAC and, if
necessary, to amend its FY 2017 cost
report. If a hospital’s FY 2017 cost
report remains unchanged without an
acceptable response or explanation from
the provider, under the alternative
policy considered, we would trim the
data in the provider’s FY 2017 cost
report using data from the provider’s FY
2015 cost report in order to determine
Factor 3 for purposes of the final rule.
While we expect all providers will
have FY 2017 cost reports in HCRIS by
the time that any data would be taken
from HCRIS for the final rule, if such
data are not reflected in HCRIS for an
unforeseen reason unrelated to any
inappropriate action or improper
reporting on the part of the hospital, we
would substitute the Worksheet S–10
data from the FY 2015 cost report for the
data from the FY 2017 cost report.
Similar to the process used in the FY
2018 IPPS/LTCH PPS final rule (82 FR
38217 through 38218) and the FY 2019
IPPS/LTCH PPS (83 FR 41415 and
41416) for trimming CCRs, in this FY
2020 IPPS/LTCH PPS proposed rule, we
are proposing the following steps:
Step 1: Remove Maryland hospitals.
In addition, we would remove allinclusive rate providers because their
CCRs are not comparable to the CCRs
calculated for other IPPS hospitals.
Step 2: For FY 2015 cost reports,
calculate a CCR ‘‘ceiling’’ with the
following data: For each IPPS hospital
that was not removed in Step 1
(including non-DSH eligible hospitals),
we would use cost report data to
calculate a CCR by dividing the total
costs on Worksheet C, Part I, Line 202,
Column 3 by the charges reported on
Worksheet C, Part I, Line 202, Column
8. (Combining data from multiple cost
reports from the same fiscal year is not
necessary, as the longer cost report
would be selected.) The ceiling would
be calculated as 3 standard deviations
above the national geometric mean CCR
for the applicable fiscal year. This
approach is consistent with the
methodology for calculating the CCR
ceiling used for high-cost outliers.
Remove all hospitals that exceed the
ceiling so that these aberrant CCRs do
not skew the calculation of the
statewide average CCR. (For this
proposed rule, this trim would remove
8 hospitals that have a CCR above the
calculated ceiling of 0.925 for FY 2015
cost reports.) (Under the alternative
policy considered, the trim would
remove 13 hospitals that have a CCR
above the calculated ceiling of 0.942 for
FY 2017 cost reports.)
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Step 3: Using the CCRs for the
remaining hospitals in Step 2,
determine the urban and rural statewide
average CCRs for FY 2015 for hospitals
within each State (including non-DSH
eligible hospitals), weighted by the sum
of total inpatient discharges and
outpatient visits from Worksheet S–3,
Part I, Line 14, Column 14.
Step 4: Assign the appropriate
statewide average CCR (urban or rural)
calculated in Step 3 to all hospitals with
a CCR for FY 2015 greater than 3
standard deviations above the national
geometric mean for that fiscal year (that
is, the CCR ‘‘ceiling’’). For this proposed
rule, the statewide average CCR would
therefore be applied to 8 hospitals, of
which 4 hospitals have FY 2015
Worksheet S–10 data. (Under the
alternative policy considered, the
statewide average CCR would be
applied to 13 hospitals, of which 5
hospitals have FY 2017 Worksheet S–10
data.)
For providers that did not report a
CCR on Worksheet S–10, Line 1, we
would assign them the statewide
average CCR in step 4.
After applying the applicable trims to
a hospital’s CCR as appropriate, we are
proposing that we would calculate a
hospital’s uncompensated care costs for
the applicable fiscal year as being equal
to Line 30, which is the sum of Line 23,
Column 3, and Line 29 determined
using the hospital’s CCR or the
statewide average CCR (urban or rural),
if applicable.
Therefore, for FY 2020, we are
proposing to compute Factor 3 for each
hospital by—
Step 1: Selecting the provider’s
longest cost report from its Federal
fiscal year (FFY) 2015 cost reports.
(Alternatively, in the rare case when the
provider has no FFY 2015 cost report
because the cost report for the previous
Federal fiscal year spanned the FFY
2015 time period, the previous Federal
fiscal year cost report would be used in
this step.)
Step 2: Annualizing the
uncompensated care costs (UCC) from
Worksheet S–10 Line 30, if the cost
report is more than or less than 12
months. (If applicable, use the statewide
average CCR (urban or rural) to calculate
uncompensated care costs.)
Step 3: Combining annualized
uncompensated care costs for hospitals
that merged.
Step 4: Calculating Factor 3 for Indian
Health Service and Tribal hospitals and
Puerto Rico hospitals using the lowincome insured days proxy based on FY
2013 cost report data and the most
recent available SSI ratio (or, for Puerto
Rico hospitals, 14 percent of the
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hospital’s FY 2013 Medicaid days). The
denominator is calculated using the
low-income insured days proxy data
from all DSH eligible hospitals.
Step 5: Calculating Factor 3 for the
remaining DSH eligible hospitals using
annualized uncompensated care costs
(Worksheet S–10 Line 30) based on FY
2015 cost report data (from Step 3). The
hospitals for which Factor 3 was
calculated in Step 4 are excluded from
this calculation.
We also are proposing to amend the
regulations at § 412.106(g)(1)(iii)(C) by
adding a new paragraph (6) to reflect the
above proposed methodology for
computing Factor 3 for FY 2020.
We note that, if a hospital does not
have Worksheet S–10 data for FY 2015
and the hospital is not a new hospital
(that is, its CCN was established before
October 1, 2015) nor has the rare case
of no FY 2015 cost report, we are
proposing to apply the steps above with
uncompensated care costs of zero for the
hospital. In addition, if, in the course of
the Worksheet S–10 reviews by MACs,
a hospital is unable to provide sufficient
documentation or is unwilling to justify
its cost report, which subsequently
results in the hospital’s Worksheet S–10
being adjusted to zero, we also are
proposing to use the above steps to
calculate Factor 3. We recognize that,
under this proposal, these hospitals
would be treated as having reported no
uncompensated care costs on the
Worksheet S–10 for FY 2015, which
would result in their not receiving
uncompensated care payments for FY
2020. However, we believe this proposal
is equitable to other hospitals because
all short-term acute care hospitals are
required to report Worksheet S–10 and
must maintain sufficient documentation
to support the information reported. In
addition, hospitals have been on notice
since the beginning of FY 2014 that
Worksheet S–10 could eventually
become the data source for CMS to
calculate uncompensated care
payments. Furthermore, we have
previously given hospitals the
opportunity to amend their Worksheet
S–10 for FY 2015 cost reports (or to
submit a Worksheet S–10 for FY 2015 if
none had been submitted previously).
As we have done for every proposed
and final rule beginning in FY 2014, in
conjunction with both the FY 2020
IPPS/LTCH PPS proposed rule and final
rule, we will publish on the CMS
website a table listing Factor 3
computed using both the proposed
methodology and the potential
alternative methodology for all hospitals
that we estimate would receive
empirically justified Medicare DSH
payments in FY 2020 (that is, those
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hospitals that would receive interim
uncompensated care payments during
the fiscal year), and for the remaining
subsection (d) hospitals and subsection
(d) Puerto Rico hospitals that have the
potential of receiving a Medicare DSH
payment in the event that they receive
an empirically justified Medicare DSH
payment for the fiscal year as
determined at cost report settlement. We
note that, at the time of development of
this proposed rule, the FY 2017 SSI
ratios were available. Accordingly, for
purposes of this proposed rule, we have
computed Factor 3 for Indian Health
Service and Tribal hospitals and Puerto
Rico hospitals using the most recent
available data regarding SSI days from
the FY 2017 SSI ratios. We also will
publish in the supplemental data file a
list of the mergers that we are aware of
and the computed uncompensated care
payment for each merged hospital.
Hospitals have 60 days from the date
of public display of this FY 2020 IPPS/
LTCH PPS proposed rule to review the
table and supplemental data file
published on the CMS website in
conjunction with the proposed rule and
to notify CMS in writing of any
inaccuracies. Comments that are
specific to the information included in
the table and supplemental data file can
be submitted to the CMS inbox at
Section3133DSH@cms.hhs.gov. We will
address these comments as appropriate
in the table and the supplemental data
file that we publish on the CMS website
in conjunction with the publication of
the FY 2020 IPPS/LTCH PPS final rule.
After the publication of the FY 2020
IPPS/LTCH PPS final rule, hospitals
will have until August 31, 2019, to
review and submit comments on the
accuracy of the table and supplemental
data file published in conjunction with
the final rule. Comments may be
submitted to the CMS inbox at
Section3133DSH@cms.hhs.gov through
August 31, 2019, and any changes to
Factor 3 will be posted on the CMS
website prior to October 1, 2019.
We are inviting public comments on
our proposed methodology for
calculating Factor 3 for FY 2020,
including, but not limited to, our
proposed use of the FY 2015 Worksheet
S–10 data and the alternative policy
considered of using the FY 2017
Worksheet S–10 data instead of the FY
2015 Worksheet S–10 data.
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5. Request for Public Comments on
Ways To Reduce Provider
Reimbursement Review Board (PRRB)
Appeals Related to a Hospital’s
Medicaid Fraction Used in the
Disproportionate Share Hospital (DSH)
Payment Adjustment Calculation
As part of our ongoing efforts to
reduce regulatory burden on providers,
we are examining the backlog of appeals
cases at the Provider Reimbursement
Review Board (PRRB). A large number
of appeals before the PRRB relate to the
calculation of a hospital’s
disproportionate patient percentage
(DPP) used in the calculation of the DSH
payment adjustment. (We refer readers
to section IV.F. 1. of the preamble of this
proposed rule for a discussion of the
calculation of a hospitals DPP.) Many of
these appeals before the PRRB focus on
the calculation of a hospital’s Medicaid
fraction, which is one of the two
fractions comprising the DPP,
particularly the data used to determine
an individual’s Medicaid eligibility in
the calculation. Specifically, it is
possible that updated data on Medicaid
eligibility are available following cost
report submission. As a result, many
hospitals annually appeal their cost
reports to the PRRB in an effort to try
and use updated State Medicaid
eligibility data to calculate the Medicaid
fraction. We believe it is in both CMS’
and the providers’ interest to seek a
solution to issues related to the
Medicaid fraction that appear to have
led to a large volume and backlog of
PRRB appeals. Therefore, we believe it
is appropriate to explore options that
may prevent the need for such appeals.
We note that the Provider
Reimbursement Review Board Rules,
Version 2.0, August 29, 2018, contain
revisions in Rules 46 and 47 pertaining
to ‘‘Withdrawal of an Appeal or Issue
Within an Appeal’’ and
‘‘Reinstatement’’, respectively. These
changes may lower the number of
tracked PRRB appeals. In exploring
possible solutions, we are concerned
about balancing the competing interests
of administrative finality, ease of
implementation for both CMS and
providers, and the use of the most
appropriate data.
We believe one such solution might
be to develop regulations governing the
timing of the data for determining
Medicaid eligibility, somewhat similar
to our existing policy on entitlement to
SSI benefits which is determined at a
specific time. For more information on
this policy, we refer readers to the FY
2011 IPPS/LTCH PPS final rule (75 FR
50276). Under this possible solution, a
provider would submit a cost report
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with Medicaid days based on the best
available Medicaid eligibility data at the
time of filing and could request a
‘‘reopening’’ when the cost report is
settled without filing an appeal. CMS
would issue directives to the MACs
requiring them to reopen those cost
reports for this issue at a specific time
and set a realistic period during which
the provider could submit updated data.
This would be an expansion of the
preamble instructions finalized in the
CY 2016 OPPS/ASC final rule with
comment period issued on November
13, 2015 (80 FR 70563 and 70564)
which requires the MACs to accept one
amended cost report submitted within
12 months after the due date of the cost
report solely for the purpose of revising
Medicaid days. (We note that an
amendment of the cost report is
initiated by the provider prior to final
settlement of the cost report, while a
reopening of the cost report occurs after
final settlement and can be requested by
the provider or initiated by the MAC.)
Under this possible expansion, we
would require MACs to reopen cost
reports for the purpose of revising the
Medicaid fraction near the end of the 3year reopening window and use the
Medicaid data at that time to settle the
cost report. We believe the 3 years of the
reopening period could provide
adequate time to update the Medicaid
data used to determine an individual’s
Medicaid eligibility for purposes of
calculating a hospital’s Medicaid
fraction. However, we are generally
interested in public comments on using
reopenings as a mechanism to use
updated Medicaid eligibility data and
reduce the filing of PRRB appeals—in
particular, the optimal time for review
of data to occur taking into account the
hospital’s desire to receive accurate
payment and CMS’ and the MACs’
desire to settle cost reports in a timely
manner (for example, whether it makes
sense to review data 2 years after cost
report submission, near the end of the
3 years mentioned in the reopening
regulations, or at some other time).
We also are considering allowing
hospitals, for a one-time option, to
resubmit a cost report with updated
Medicaid eligibility information,
somewhat similar to our existing DSH
policy allowing hospitals a one-time
option to have their SSI ratios
calculated based on their cost reporting
period rather than the Federal fiscal
year under 42 CFR 412.106(a)(3). Under
this option, we would undertake
rulemaking to determine the timeframe
for exercising the option (which may be
a maximum allowable time after the
close of a cost reporting period or a
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specific window during which the
request could be made). We are
interested in feedback and comments
concerning the viability of these
options, as well as any alternative
approaches, that could help reduce the
number of DSH-related appeals and
inform our future rulemaking efforts.
G. Hospital Readmissions Reduction
Program: Proposed Updates and
Changes (§§ 412.150 Through 412.154)
1. Statutory Basis for the Hospital
Readmissions Reduction Program
Section 1886(q) of the Act, as
amended by section 15002 of the 21st
Century Cures Act, establishes the
Hospital Readmissions Reduction
Program. Under the Hospital
Readmissions Reduction Program,
Medicare payments under the acute
inpatient prospective payment system
for discharges from an applicable
hospital, as defined under section
1886(d) of the Act, may be reduced to
account for certain excess readmissions.
Section 15002 of the 21st Century Cures
Act requires the Secretary to compare
hospitals with respect to the number of
their Medicare-Medicaid dual-eligible
beneficiaries (dual-eligibles) in
determining the extent of excess
readmissions. We refer readers to the FY
2016 IPPS/LTCH PPS final rule (80 FR
49530 through 49531) and the FY 2018
IPPS/LTCH PPS final rule (82 FR 38221
through 38240) for a detailed discussion
of and additional information on the
statutory history of the Hospital
Readmissions Reduction Program.
2. Regulatory Background
We refer readers to the following final
rules for detailed discussions of the
regulatory background and descriptions
of the current policies for the Hospital
Readmissions Reduction Program:
• FY 2012 IPPS/LTCH PPS final rule
(76 FR 51660 through 51676);
• FY 2013 IPPS/LTCH PPS final rule
(77 FR 53374 through 53401);
• FY 2014 IPPS/LTCH PPS final rule
(78 FR 50649 through 50676);
• FY 2015 IPPS/LTCH PPS final rule
(79 FR 50024 through 50048);
• FY 2016 IPPS/LTCH PPS final rule
(80 FR 49530 through 49543);
• FY 2017 IPPS/LTCH PPS final rule
(81 FR 56973 through 56979);
• FY 2018 IPPS/LTCH PPS final rule
(82 FR 38221 through 38240); and
• FY 2019 IPPS/LTCH PPS final rule
(83 FR 41431 through 41439).
These rules describe the general
framework for the implementation of
the Hospital Readmissions Reduction
Program, including: (1) The selection of
measures for the applicable conditions/
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procedures; (2) the calculation of the
excess readmission ratio (ERR), which is
used, in part, to calculate the payment
adjustment factor; (3) beginning in FY
2019, the calculation of the proportion
of ‘‘dually eligible’’ Medicare
beneficiaries which is used to stratify
hospitals into peer groups and establish
the peer group median ERRs; (4) the
calculation of the payment adjustment
factor, specifically addressing the base
operating DRG payment amount,
aggregate payments for excess
readmissions (including calculating the
peer group median ERRs), aggregate
payments for all discharges, and the
neutrality modifier; (5) the opportunity
for hospitals to review and submit
corrections using a process similar to
what is currently used for posting
results on Hospital Compare; (6) the
adoption of an extraordinary
circumstances exception policy to
address hospitals that experience a
disaster or other extraordinary
circumstance; (7) the clarification that
the public reporting of ERRs will be
posted on an annual basis to the
Hospital Compare website as soon as is
feasible following the review and
corrections period; and (8) the
specification that the definition of
‘‘applicable hospital’’ does not include
hospitals and hospital units excluded
from the IPPS, such as LTCHs, cancer
hospitals, children’s hospitals, IRFs,
IPFs, CAHs, and hospitals in United
States territories and Puerto Rico.
We also have codified certain
requirements of the Hospital
Readmissions Reduction Program at 42
CFR 412.152 through 412.154, which we
are proposing to update in this proposed
rule to reflect both proposed and
previously finalized policies.
The Hospital Readmissions Reduction
Program strives to put patients first by
ensuring they are empowered to make
decisions about their own healthcare
along with their clinicians, using
information from data-driven insights
that are increasingly aligned with
meaningful quality measures. We
believe the Hospital Readmissions
Reduction Program incentivizes
hospitals to improve health care quality
and value, while giving patients the
tools and information needed to make
the best decisions for them. To that end,
we are committed to monitoring the
efficacy of the program to ensure that
the Hospital Readmissions Reduction
Program improves the lives of patients
and reduces cost.
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3. Summary of Proposed Policies for the
Hospital Readmissions Reduction
Program
In this proposed rule, we are
proposing the following policies: (1) A
measure removal policy that aligns with
the removal factor policies previously
adopted in other quality reporting and
quality payment programs; (2) an update
to the program’s definition of ‘‘dualeligible’’ beginning with the FY 2021
program year, to allow for a 1-month
lookback period in data sourced from
the State Medicare Modernization Act
(MMA) files to determine dual-eligible
status for beneficiaries who die in the
month of discharge; (3) a subregulatory
process to address any potential future
nonsubstantive changes to the payment
adjustment factor components; and (4)
an update to the regulations at 42 CFR
412.152 and 412.154 to reflect proposed
policies and to codify additional
previously finalized policies.
We discuss these proposals in greater
detail below.
4. Current Measures and Proposed
Measure Policies for FY 2020 and
Subsequent Years
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a. Current Measures
The Hospital Readmissions Reduction
Program currently includes six
applicable conditions/procedures:
Acute myocardial infarction (AMI);
heart failure (HF); pneumonia; elective
primary total hip arthroplasty/total knee
arthroplasty (THA/TKA); chronic
obstructive pulmonary disease (COPD);
and coronary artery bypass graft (CABG)
surgery. We refer readers to the FY 2019
IPPS/LTCH PPS final rule (83 FR 41431
through 41439) for more information
about how the Hospital Readmissions
Reduction Program supports CMS’ goal
of bringing quality measurement,
transparency, and improvement together
with value-based purchasing to the
hospital inpatient care setting through
the Meaningful Measures Initiative. We
continue to believe the measures we
have adopted adequately meet the goals
of the Hospital Readmissions Reduction
Program. Therefore, we are not
proposing to remove or adopt any
additional measures at this time.
b. Proposed Measure Removal Factors
Policy
While we are not proposing to remove
any measures from the Hospital
Readmissions Reduction Program in this
proposed rule, we are proposing to
adopt a measure removal factors policy
as part of our efforts to ensure that the
Hospital Readmissions Reduction
Program measure set continues to
promote improved health outcomes for
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beneficiaries while minimizing the
overall burden and costs associated with
the program. The adoption of measure
removal factors would align the
Hospital Readmissions Reduction
Program with our other quality
reporting and quality payment programs
and help ensure consistency in our
measure evaluation methodology across
programs.
In the FY 2019 IPPS/LTCH PPS final
rule, we updated a number of CMS
programs’ considerations for removing
measures from the respective programs.
Specifically, we finalized eight measure
removal factors for the Hospital IQR
Program (83 FR 41540 through 41544),
the Hospital VBP Program (83 FR 41441
through 41446), the PCHQR Program (83
FR 41609 through 41611), and the LTCH
QRP (83 FR 41625 through 41627).
We believe these removal factors are
also appropriate for the Hospital
Readmissions Reduction Program, and
we believe that alignment between CMS
quality programs is important to provide
stakeholders with a clear, consistent,
and transparent process. Therefore, to
align with our other quality reporting
and quality payment programs, we are
proposing to adopt the following
removal factors for the Hospital
Readmissions Reduction Program:
• Factor 1. Measure performance
among hospitals is so high and
unvarying that meaningful distinctions
and improvements in performance can
no longer be made (‘‘topped-out’’
measures);
• Factor 2. Measure does not align
with current clinical guidelines or
practice;
• Factor 3. Measure can be replaced
by a more broadly applicable measure
(across settings or populations) or a
measure that is more proximal in time
to desired patient outcomes for the
particular topic;
• Factor 4. Measure performance or
improvement does not result in better
patient outcomes;
• Factor 5. Measure can be replaced
by a measure that is more strongly
associated with desired patient
outcomes for the particular topic;
• Factor 6. Measure collection or
public reporting leads to negative
unintended consequences other than
patient harm; 395
395 When there is reason to believe that the
continued collection of a measure as it is currently
specified raises potential patient safety concerns,
CMS will take immediate action to remove a
measure from the program and not wait for the
annual rulemaking cycle. In such situations, we
would promptly retire such measures followed by
subsequent confirmation of the retirement in the
next IPPS rulemaking. When we do so, we will
notify hospitals and the public through the usual
hospital and QIO communication channels used for
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• Factor 7. Measure is not feasible to
implement as specified; and
• Factor 8. The costs associated with
a measure outweigh the benefit of its
continued use in the program.396
We note that these factors are
considerations taken into account when
deciding whether or not to remove
measures, not firm requirements, and
that we will propose to remove
measures based on these factors on a
case-by-case basis. We continue to
believe that there may be circumstances
in which a measure that meets one or
more factors for removal should be
retained regardless, because the benefits
of a measure can outweigh its
drawbacks. Our goal is to move the
program forward in the least
burdensome manner possible, while
maintaining a parsimonious set of
meaningful quality measures and
continuing to incentivize improvement
in the quality of care provided to
patients.
5. Proposed Updated Definition of
‘‘Dual-Eligible’’ Beginning in FY 2021
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38226 through 38229), as
part of implementing the 21st Century
Cures Act, we finalized the definition of
dual-eligible as follows: ‘‘Dual-eligible
is a patient beneficiary who has been
identified as having full benefit status in
both the Medicare and Medicaid
programs in the State Medicare
Modernization Act (MMA) files for the
month the beneficiary was discharged
from the hospital.’’ In the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41437
through 41438), we finalized our
proposal to codify this definition at 42
CFR 412.152 along with other
definitions pertinent to dual-eligibility
calculations for assigning hospitals into
peer groups.
In this proposed rule, we are
proposing to update our previously
finalized definition of ‘‘dual-eligible’’ to
specify that, for the payment adjustment
factors beginning with the FY 2021
program year, ‘‘dual-eligible’’ is a
patient beneficiary who has been
identified as having full benefit status in
both the Medicare and Medicaid
programs in data sourced from the State
MMA files for the month the beneficiary
was discharged from the hospital,
except for those patient beneficiaries
the Hospital Readmissions Reduction Program,
which include memo and email notification and
QualityNet website articles and postings.
396 We refer readers to the Hospital IQR Program’s
measure removal factors discussions in the FY 2016
IPPS/LTCH PPS final rule (80 FR 49641 through
49643) and the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41540 through 41544) for additional details
on the removal factors and the rationale supporting
them.
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who die in the month of discharge, who
will be identified using the previous
month’s data sourced from the State
MMA files.397
The updated definition is necessary to
account for misidentification of the
dual-eligible status of patient
beneficiaries who die in the month of
discharge, which can occur under the
current definition. We were not aware at
the time we finalized our current
definition of ‘‘dual-eligible’’ that there
are times when the data sourced from
the State MMA files may underreport
the number of beneficiaries with dualeligibility status for the month in which
the beneficiaries dies, and, therefore,
these data are not fully accurate
reflections of dual-eligible status for the
month in which a beneficiary dies. We
have identified two situations that lead
to the underreporting of dual-eligible
patients: (1) The dual-eligible status is
not recorded in the month of death; and
(2) the dual-eligible status changes from
dual in the months prior to death to
non-dual in the month of death. While
the number of misidentified patient
beneficiaries is very small and did not
have a substantive impact, we believe
that using the most accurate information
available is the most appropriate policy
for the program and consistent with our
initial rationale for using the State MMA
files as the source to identify dualeligibles. When we adopted the current
definition of ‘‘dual-eligible’’ in the FY
2018 IPPS/LTCH PPS final rule (82 FR
38226), we stated, and many
commenters agreed, that the State MMA
file is considered the most current and
most accurate source of data for
identifying dual-eligible beneficiaries
because the data are also used for
operational purposes related to the
administration of Medicare Part D
benefits.
Our intent was and remains to use the
most accurate data available to
determine ‘‘dual-eligible’’ status in the
hospital grouping portion of the
payment adjustment. Through our
analysis, we believe using a 1-month
lookback period within the data sourced
from the State MMA files to determine
dual-eligible status for beneficiaries who
die in the month of discharge will
improve the accuracy of the number of
beneficiaries identified as having dualeligible status. We note that we are
proposing to update this definition for
FY 2021 instead of FY 2020 because of
the time associated with updates to the
397 In addition, it has come to our attention that
the determination of dual eligibility is made from
data sourced from the State MMA files, not the
original State MMA files. The program also
considers this to be a nonsubstantive change as the
data are obtained from the specified source.
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data systems is inconsistent with our
ability to finalize this proposal in time
for FY 2020 and the lack of a
subregulatory policy, which would
allow us to make nonsubstantive
changes outside of the rulemaking
schedule.
We are proposing to revise the
definition of ‘‘dual-eligible’’ codified at
42 CFR 412.152 to incorporate this
update.
6. Proposed Adoption of a
Subregulatory Process for Changes to
Payment Adjustment Factor
Components
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41434), we reiterated our
policy regarding the maintenance of
technical specifications for quality
measures. In adopting our policy for the
maintenance of technical specifications
in the FY 2015 IPPS/LTCH PPS final
rule (79 FR 50039), we stated that it is
important to have in place a
subregulatory process to incorporate
nonsubstantive updates required by the
National Quality Forum into the
measure specifications we have adopted
for the Hospital Readmissions
Reduction Program, so that these
measures remain up to date. We also
stated that we would continue to use
notice-and-comment rulemaking for any
substantive changes to measure
specification. We continue to believe
this process is the most expeditious
manner possible to ensure that quality
measures remain fully up to date while
preserving the public’s ability to
comment on updates that so
fundamentally change a measure that it
is no longer the same measure that we
originally adopted. When we adopted
this policy, we received commenter
support for our policy of handling
substantive and nonsubstantive changes
to measures. The policy allows CMS
two mechanisms to address measure
updates: (1) The use of future proposed
rules and public comment periods for
substantive changes; and (2)
subregulatory processes for
nonsubstantive changes which also
preserve CMS’ autonomy and flexibility,
in order to rapidly implement
nonsubstantive updates to measures (79
FR 50039).
We now believe it is important for the
Hospital Readmissions Reduction
Program to adopt an analogous
subregulatory process for changes to the
payment adjustment factor components
to provide similar flexibility to rapidly
implement nonsubstantive updates to
implement data sourcing and other
minor changes when payment
adjustment factor components are
impacted. We are proposing to adopt a
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policy under which we would use a
subregulatory process to make
nonsubstantive changes to the payment
adjustment factor components used for
the Hospital Readmissions Reduction
Program. We previously adopted our
payment adjustment factor components
policies through the notice-andcomment rulemaking process. The
Hospital Readmissions Reduction
Program relies on these payment
adjustment factor components,
including, but not limited to, dual
proportion, peer group assignment, peer
group median ERR, neutrality modifier,
and ratio of DRG payments to total
payments, to determine hospital
payments in each fiscal year. Each year,
we provide details on most of that
information in the Hospital Specific
Report (HSR) User Guide located on
QualityNet website at: https://
www.qualitynet.org/dcs/Content
Server?c=Page&pagename=QnetPublic
%2FPage%2FQnetTier3&cid=
1228772412669. However, there are
times when data sourcing and other
technical aspects of the payment
adjustment factor components change
and require updating, even when those
changes do not alter the intent of our
previously finalized policies. Because
the updates to data sourcing and
technical aspects of the components are
not always linked to the timing of
regulatory actions, we believe this
proposed policy is prudent to allow for
the use of the most up-to-date, accurate
information. We reiterate that we would
continue to consider all changes to the
framework of the components
themselves as substantive changes that
we would propose through the noticeand-comment rulemaking process.
Most recently, as discussed earlier, we
identified an issue with data accuracy
for determining dual-eligible status from
data sourced from the State MMA files
for beneficiaries who die in the same
month as discharge. In this proposed
rule, we are proposing to amend the
definition of ‘‘dual-eligible’’ to account
for this data issue. However, we would
like to clarify that the proposal is not
altering the intent of our previously
finalized policy. Instead, the proposed
updated definition of ‘‘dual-eligible’’
allows for the use of the month
preceding discharge for identifying
dual-eligibles who died during the
discharge month after learning that the
current files misidentified the dualeligibility status of certain patient
beneficiaries who die in the month of
discharge. Although we have identified
this issue, and do not believe that it is
a substantive change to our policy for
determining dual-eligibles, we believe
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that we should utilize the notice-andcomment rulemaking process to address
this clarification because we do not
currently have a subregulatory policy in
place to address this type of data issue.
However, we believe that a
subregulatory process for addressing
nonsubstantive data issues like the dualeligible update could be used for similar
situations in the future. We would
publish these nonsubstantive data
changes in the HSR User Guide
annually. We note that we would
continue to use notice-and-comment
rulemaking for substantive changes.
With respect to what constitutes
substantive changes versus
nonsubstantive changes, we expect to
make this determination on a case-bycase basis. In other quality reporting and
quality payment programs (77 FR
53504), we stated that substantive
changes are those that are so significant
that the measures could no longer be
considered the same measure. For this
proposed policy, we would utilize the
same principle; we would deem a
change to be substantive and to require
notice-and-comment rulemaking when
the impact of the change to the payment
adjustment factor component was so
significant that it could no longer be
considered to be the same as the
previously finalized component.
Examples of nonsubstantive changes
would include, but not be limited to,
updated naming or locations of data
files and/or other minor discrepancies
that do not change the intent of the
policy. Examples of substantive changes
to data might include use of different
methodologies to use data than finalized
for the payment adjustment factor
component or the use of a different
component in the methodology for
payment calculations.
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7. Proposed Applicable Period for FY
2022
We refer readers to the FY 2012 IPPS/
LTCH PPS final rule (76 FR 51671) and
the FY 2013 IPPS/LTCH PPS final rule
(77 FR 53675) for discussion of our
previously finalized policy for defining
applicable periods. In the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41434
through 41435), we finalized the
following ‘‘applicable periods’’ to
calculate the readmission payment
adjustment factor for FY 2019, FY 2020,
and FY 2021, respectively:
• The 3-year time period of July 1,
2014 through June 30, 2017 for FY 2019;
• The 3-year time period of July 1,
2015 through June 30, 2018 for FY 2020;
and
• The 3-year time period of July 1,
2016 through June 30, 2019 for FY 2021.
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These are the 3-year periods from
which data are being collected in order
to calculate ERRs and payment
adjustment factors for the fiscal year;
this includes aggregate payments for
excess readmissions and aggregate
payments for all discharges used in the
calculation of the payment adjustment.
The ‘‘applicable period’’ for dualeligibles is the same as the ‘‘applicable
period’’ that we otherwise adopt for
purposes of the Hospital Readmissions
Reduction Program.
We are proposing, for FY 2022,
consistent with the definition specified
at § 412.152, that the ‘‘applicable
period’’ for the Hospital Readmissions
Reduction Program would be the 3-year
period from July 1, 2017 through June
30, 2020. The applicable period for
dual-eligibles for FY 2022 would
similarly be the 3-year period from July
1, 2017 through June 30, 2020.
8. Identification of Aggregate Payments
for Each Condition/Procedure and All
Discharges for FY 2020
When calculating the numerator
(aggregate payments for excess
readmissions), we determine the base
operating DRG payment amount for an
individual hospital for the applicable
period for such condition/procedure,
using Medicare inpatient claims from
the MedPAR file with discharge dates
that are within the applicable period.
Under our established methodology, we
use the update of the MedPAR file for
each Federal fiscal year, which is
updated 6 months after the end of each
Federal fiscal year within the applicable
period, as our data source.
In identifying discharges for the
applicable conditions/procedures to
calculate the aggregate payments for
excess readmissions, we apply the same
exclusions to the claims in the MedPAR
file as are applied in the measure
methodology for each of the applicable
conditions/procedures. For the FY 2020
applicable period, this includes the
discharge diagnoses for each applicable
condition/procedure based on a list of
specific ICD–9–CM or ICD–10–CM and
ICD–10–PCS code sets, as applicable, for
that condition/procedure, because
diagnoses and procedure codes for
discharges occurring prior to October 1,
2015 were reported under the ICD–9–
CM code set, while discharges occurring
on or after October 1, 2015 (FY 2016),
were reported under the ICD–10–CM
and ICD–10–PCS code sets.
We identify Medicare fee-for-service
(FFS) claims that meet the criteria
described above for each applicable
condition/procedure to calculate the
aggregate payments for excess
readmissions (that is, claims paid for
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under Medicare Part C (Medicare
Advantage) are not included in this
calculation). This policy is consistent
with the methodology to calculate ERRs
based solely on admissions and
readmissions for Medicare FFS patients.
Therefore, consistent with our
established methodology, for FY 2020,
we are proposing to continue to exclude
admissions for patients enrolled in
Medicare Advantage, as identified in the
Medicare Enrollment Database.
In this proposed rule, for FY 2020, we
are proposing to determine aggregate
payments for excess readmissions,
aggregate payments for all discharges
using data from MedPAR claims with
discharge dates that are on or after July
1, 2015, and not later than June 30,
2018. As we stated in FY 2018 IPPS/
LTCH PPS final rule (82 FR 38232), we
will determine the neutrality modifier
using the most recently available full
year of MedPAR data. However, we note
that, for the purpose of modeling the
proposed FY 2020 readmissions
payment adjustment factors for this
proposed rule, we are using the
proportion of dual-eligibles, excess
readmission ratios, and aggregate
payments for each condition/procedure
and all discharges for applicable
hospitals from the FY 2019 Hospital
Readmissions Reduction Program
applicable period. For the FY 2020
program year, applicable hospitals will
have the opportunity to review and
correct calculations based on the
proposed FY 2020 applicable period of
July 1, 2015 to June 30, 2018, before
they are made public under our policy
regarding reporting of hospital-specific
information. Again, we reiterate that
this period is intended to review the
program calculations, and not the
underlying data. For more information
on the review and corrections process,
we refer readers to the FY 2013 IPPS/
LTCH PPS final rule (77 FR 53399
through 53401).
In this proposed rule, for FY 2020, we
are proposing to use MedPAR data from
July 1, 2015 through June 30, 2018 for
the FY 2020 Hospital Readmissions
Reduction Program calculations.
Specifically—
• The March 2016 update of the FY
2015 MedPAR file to identify claims
within FY 2015 with discharges dates
that are on or after July 1, 2015;
• The March 2017 update of the FY
2016 MedPAR file to identify claims
within FY 2016;
• The March 2018 update of the FY
2017 MedPAR file to identify claims
within FY 2017; and
• The March 2019 update of the FY
2018 MedPAR file to identify claims
E:\FR\FM\03MYP2.SGM
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within FY 2018 with discharge dates
that are on or before June 30, 2018.
9. Calculation of Payment Adjustment
Factors for FY 2020
As we discussed in the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38226),
section 1886(q)(3)(D) of the Act requires
the Secretary to group hospitals and
apply a methodology that allows for
separate comparisons of hospitals
within peer groups in determining a
hospital’s adjustment factor for
payments applied to discharges
beginning in FY 2019.
To implement this provision, in the
FY 2018 IPPS/LTCH PPS final rule (82
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where dx is AMI, HF, pneumonia,
COPD, THA/TKA or CABG and
payments refers to the base operating
DRG payments. The payment reduction
(1–P) resulting from use of the median
ERR for the peer group is scaled by a
neutrality modifier to achieve budget
neutrality. We refer readers to the FY
2018 IPPS/LTCH PPS final rule (82 FR
38226 through 38237) for a detailed
discussion of the payment adjustment
methodology. We are not proposing any
changes to this payment adjustment
calculation methodology for FY 2020.
10. Calculation of Payment Adjustment
for FY 2020
Section 1886(q)(3)(A) of the Act
defines the payment adjustment factor
for an applicable hospital for a fiscal
year as ‘‘equal to the greater of: (i) The
ratio described in subparagraph (B) for
the hospital for the applicable period (as
defined in paragraph (5)(D)) for such
fiscal year; or (ii) the floor adjustment
factor specified in subparagraph (C).’’
Section 1886(q)(3)(B) of the Act, in turn,
describes the ratio used to calculate the
adjustment factor. Specifically, it states
that the ratio is equal to 1 minus the
ratio of—(i) the aggregate payments for
excess readmissions, and (ii) the
aggregate payments for all discharges,
scaled by the neutrality modifier. The
calculation of this ratio is codified at
§ 412.154(c)(1) of the regulations and
the floor adjustment factor is codified at
§ 412.154(c)(2) of the regulations.
Section 1886(q)(3)(C) of the Act
specifies the floor adjustment factor at
0.97 for FY 2015 and subsequent fiscal
years.
Consistent with section 1886(q)(3) of
the Act, codified in our regulations at
§ 412.154(c)(2), for FY 2020, the
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19427
FR 38226 through 38237), we finalized
several changes to the payment
adjustment methodology for FY 2019.
First, we finalized that an individual
would be counted as a full-benefit dualeligible patient if the beneficiary was
identified as full-benefit dual status in
the State Medicare Modernization Act
(MMA) files for the month he or she was
discharged from the hospital (82 FR
38226 through 38228). Second, we
finalized our policy to define the
proportion of full benefit dual-eligible
beneficiaries as the proportion of dualeligible patients among all Medicare
FFS and Medicare Advantage stays (82
FR 38226 through 38228). Third, we
finalized our policy to define the data
period for determining dual-eligibility
as the 3-year data period corresponding
to the Program’s applicable period (82
FR 38229). Fourth, we finalized our
policy to stratify hospitals into
quintiles, or five peer groups, based on
their proportion of dual-eligible patients
(82 FR 38229 through 38231). Finally,
we finalized our policy to use the
median ERR for the hospital’s peer
group in place of 1.0 in the payment
adjustment formula and apply a uniform
modifier to maintain budget neutrality
(82 FR 38231 through 38237). The
payment adjustment formula would
then be:
payment adjustment factor will be either
the greater of the ratio or the floor
adjustment factor of 0.97. Under our
established policy, the ratio is rounded
to the fourth decimal place. In other
words, for FY 2020, a hospital subject to
the Hospital Readmissions Reduction
Program would have an adjustment
factor that is between 1.0 (no reduction)
and 0.9700 (greatest possible reduction).
For additional information on the FY
2020 payment calculation, we refer
readers to the QualityNet website at:
https://www.qualitynet.org/dcs/
ContentServer?c=Page&pagename=
QnetPublic%2FPage%
2FQnetTier3&cid= 1228776124112.
stratified methodology used by the
Hospital Readmissions Reduction
Program, and we emphasize that the two
disparity methods would not be used in
payment adjustment factors calculations
under the Hospital Readmissions
Reduction Program. We believe that
providing the results of both disparity
methods alongside a hospital’s measure
data as a point of reference allows for a
more meaningful comparison and
comprehensive assessment of the
quality of care for patients with social
risk factors and the identification of
providers where disparities in health
care may exist. We also believe the two
disparity methods provide additional
perspectives on health care equity (83
FR 41598).
We believe hospitals can use their
results from the disparity methods to
identify and develop strategies to reduce
disparities in the quality of care for
patients through targeted improvement
efforts (83 FR 41598). The two disparity
methods and the stratified methodology
used by the Hospital Readmissions
Reduction Program are part of CMS’
broader effort to account for social risk
factors in quality measurement and
quality payment programs. We refer
readers to section VIII.A.9. of the
preamble of this proposed rule for more
information on confidential reporting of
stratified data for hospital quality
measures. We further refer readers to the
FY 2017 IPPS/LTCH PPS final rule (81
FR 57167 through 57168), the FY 2018
IPPS/LTCH PPS final rule (82 FR 38324
through 38326; 82 FR 38403 through
38409), and the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41597 through
41601) for detailed discussions on
disparity reporting.
11. Confidential Reporting of Stratified
Data for Hospital Quality Measures
Beginning as early as the spring of
2020, CMS plans to include in
confidential hospital-specific reports
(HSR) data stratified by patient dual
eligible status for the six readmissions
measures included in the Hospital
Readmissions Reduction Program.
These data will include two disparity
methodologies designed to illuminate
potential disparities within individual
hospitals and across hospitals nationally
and will supplement the measure data
currently publicly reported on the
Hospital Compare website. The first
methodology, the Within-Hospital
Disparity Method highlights differences
in outcomes for dual eligible versus
non-dual eligible patients within an
individual hospital, while the second
methodology, the Dual Eligible Outcome
Method, allows for a comparison of
performance in care for dual-eligible
patients across hospitals (82 FR 38405
through 38407; 83 FR 41598). These two
disparity methods are separate from the
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We note that the two disparity
methods do not place any additional
collection or reporting burden on
hospitals because dual-eligibility data
are readily available in claims data. In
addition, we reiterate that these
confidential hospital-specific reports
data do not impact the calculation of
hospital payment adjustment factors
under the Hospital Readmissions
Reduction Program.
12. Proposed Revisions of Regulatory
Text
We are proposing to revise 42 CFR
412.152 to reflect proposed policies and
to codify previously finalized policies.
Specifically, we are proposing to revise
the definition of ‘‘aggregate payments
for excess readmissions’’, as discussed
earlier, to specify that it means the sum
of the product for each applicable
condition, among others, of ‘‘the excess
readmission ratio for the hospital for the
applicable period minus the peer group
median excess readmission ratio’’
(instead of minus 1) (proposed
paragraph (3) of the definition) and to
include the neutrality modifier—a
multiplicative factor that equates total
Medicare savings under the current
stratified methodology to the previous
non-stratified methodology (proposed
paragraph (4) of the definition).
We are proposing to revise the
definition of ‘‘applicable condition’’ to
include other conditions and
procedures as determined appropriate
by the Secretary. In expanding the
applicable conditions, the Secretary will
seek endorsement of the entity with a
contract under section 1890(a) of the
Act, but may apply such measures
without such an endorsement in the
case of a specified area or medical topic
determined appropriate by the Secretary
for which a feasible and practical
measure has not been endorsed by the
entity with a contract under section
1890(a) of the Act as long as due
consideration is given to measures that
have been endorsed or adopted by a
consensus organization identified by the
Secretary.
We are proposing to revise the
definition of ‘‘base operating DRG
payment amount’’, with respect to a sole
community hospital that receives
payments under § 412.92(d) or a
Medicare-dependent, small rural
hospital that receives payments under
§ 412.108(c), to remove the applicability
date of FY 2013, and to specify that this
amount also includes the difference
between the hospital-specific payment
rate and the Federal payment rate
determined under the subpart. This
proposal is intended to align the
regulatory text with section
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1886(q)(2)(b)(i) of the Act, because the
regulatory text was not updated
following the expiration of the FY 2013
changes.
We are proposing to revise the
definition of ‘‘dual-eligible’’ to specify
that, for payment adjustment factors
beginning in FY 2021, dual-eligible is a
patient beneficiary who has been
identified as having full benefit status in
both the Medicare and Medicaid
programs in data sourced from the State
MMA files for the month the beneficiary
was discharged from the hospital except
for those patient beneficiaries who die
in the month of discharge, which will be
identified using the previous month’s
data as sourced from the State MMA
files, as discussed earlier.
We are proposing to revise
§ 412.154(e) to specify that the
limitations on administrative or judicial
review would include the neutrality
modifier and the proportion of dualeligibles as discussed earlier (proposed
new paragraphs (e)(4) and (5); existing
paragraph (e)(4) would be redesignated
as paragraph (e)(6)).
H. Hospital Value-Based Purchasing
(VBP) Program: Proposed Policy
Changes
1. Background
a. Statutory Background and Overview
of Past Program Years
Section 1886(o) of the Act requires the
Secretary to establish a hospital valuebased purchasing program (the Hospital
VBP Program) under which value-based
incentive payments are made in a fiscal
year (FY) to hospitals that meet
performance standards established for a
performance period for such fiscal year.
Both the performance standards and the
performance period for a fiscal year are
to be established by the Secretary.
For more of the statutory background
and descriptions of our current policies
for the Hospital VBP Program, we refer
readers to the Hospital Inpatient VBP
Program final rule (76 FR 26490 through
26547); the FY 2012 IPPS/LTCH PPS
final rule (76 FR 51653 through 51660);
the CY 2012 OPPS/ASC final rule with
comment period (76 FR 74527 through
74547); the FY 2013 IPPS/LTCH PPS
final rule (77 FR 53567 through 53614);
the FY 2014 IPPS/LTCH PPS final rule
(78 FR 50676 through 50707); the CY
2014 OPPS/ASC final rule (78 FR 75120
through 75121); the FY 2015 IPPS/LTCH
PPS final rule (79 FR 50048 through
50087); the FY 2016 IPPS/LTCH PPS
final rule (80 FR 49544 through 49570);
the FY 2017 IPPS/LTCH PPS final rule
(81 FR 56979 through 57011); the CY
2017 OPPS/ASC final rule with
comment period (81 FR 79855 through
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79862); the FY 2018 IPPS/LTCH PPS
final rule (82 FR 38240 through 38269);
and the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41440 through 41472).
We also have codified certain
requirements for the Hospital VBP
Program at 42 CFR 412.160 through
412.167.
b. FY 2020 Program Year Payment
Details
Section 1886(o)(7)(B) of the Act
instructs the Secretary to reduce the
base operating DRG payment amount for
a hospital for each discharge in a fiscal
year by an applicable percent. Under
section 1886(o)(7)(A) of the Act, the sum
total of these reductions in a fiscal year
must equal the total amount available
for value-based incentive payments for
all eligible hospitals for the fiscal year,
as estimated by the Secretary. We
finalized details on how we would
implement these provisions in the FY
2013 IPPS/LTCH PPS final rule (77 FR
53571 through 53573), and we refer
readers to that rule for further details.
Under section 1886(o)(7)(C)(v) of the
Act, the applicable percent for the FY
2020 program year is 2.00 percent.
Using the methodology we adopted in
the FY 2013 IPPS/LTCH PPS final rule
(77 FR 53571 through 53573), we
estimate that the total amount available
for value-based incentive payments for
FY 2020 is approximately $1.9 billion,
based on the December 2018 update of
the FY 2018 MedPAR file. We intend to
update this estimate for the FY 2020
IPPS/LTCH PPS final rule using the
March 2019 update of the FY 2018
MedPAR file.
As finalized in the FY 2013 IPPS/
LTCH PPS final rule (77 FR 53573
through 53576), we will utilize a linear
exchange function to translate this
estimated amount available into a valuebased incentive payment percentage for
each hospital, based on its Total
Performance Score (TPS). We will then
calculate a value-based incentive
payment adjustment factor that will be
applied to the base operating DRG
payment amount for each discharge
occurring in FY 2020, on a per-claim
basis. We are publishing proxy valuebased incentive payment adjustment
factors in Table 16 associated with this
proposed rule (which is available via
the internet on the CMS website). The
proxy factors are based on the TPSs
from the FY 2019 program year. These
FY 2019 performance scores are the
most recently available performance
scores hospitals have been given the
opportunity to review and correct. The
slope of the linear exchange function
used to calculate the proxy value-based
incentive payment adjustment factors in
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Table 16 is 2.8391388973. This slope,
along with the estimated amount
available for value-based incentive
payments, is also published in Table 16.
We intend to update this table as
Table 16A in the final rule (which will
be available on the CMS website) to
reflect changes based on the March 2019
update to the FY 2018 MedPAR file. We
also intend to update the slope of the
linear exchange function used to
calculate those updated proxy valuebased incentive payment adjustment
factors. The updated proxy value-based
incentive payment adjustment factors
for FY 2020 will continue to be based
on historic FY 2019 program year TPSs
because hospitals will not have been
given the opportunity to review and
correct their actual TPSs for the FY 2020
program year until after the FY 2020
IPPS/LTCH PPS final rule is published.
After hospitals have been given an
opportunity to review and correct their
actual TPSs for FY 2020, we will post
Table 16B (which will be available via
the internet on the CMS website) to
display the actual value-based incentive
payment adjustment factors, exchange
function slope, and estimated amount
available for the FY 2020 program year.
We expect Table 16B will be posted on
the CMS website in the fall of 2019.
2. Retention and Removal of Quality
Measures
a. Retention of Previously Adopted
Hospital VBP Program Measures and
Relationship Between the Hospital IQR
and Hospital VBP Program Measure Sets
In the FY 2013 IPPS/LTCH PPS final
rule (77 FR 53592), we finalized a policy
to retain measures from prior program
years for each successive program year,
unless otherwise proposed and
finalized. In the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41440 through
41441), we finalized a revision to our
regulations at 42 CFR 412.164(a) to
clarify that once we have complied with
the statutory prerequisites for adopting
a measure for the Hospital VBP Program
(that is, we have selected the measure
from the Hospital IQR Program measure
set and included data on that measure
on Hospital Compare for at least one
year prior to its inclusion in a Hospital
VBP Program performance period), the
Hospital VBP Program statute does not
require that the measure continue to
remain in the Hospital IQR Program. We
are not proposing any changes to these
policies in this proposed rule.
b. Measure Removal Factors for the
Hospital VBP Program
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41441 through 41446), in
alignment with the Hospital IQR
Program, we finalized the following
measure removal factors for the Hospital
VBP Program:
• Factor 1. Measure performance
among hospitals is so high and
unvarying that meaningful distinctions
and improvements in performance can
no longer be made (‘‘topped out’’
measures), defined as: Statistically
indistinguishable performance at the
75th and 90th percentiles; and truncated
coefficient of variation ≤0.10; 398
• Factor 2. A measure does not align
with current clinical guidelines or
practice;
• Factor 3. The availability of a more
broadly applicable measure (across
settings or populations), or the
availability of a measure that is more
proximal in time to desired patient
outcomes for the particular topic;
• Factor 4. Performance or
improvement on a measure does not
result in better patient outcomes;
• Factor 5. The availability of a
measure that is more strongly associated
with desired patient outcomes for the
particular topic;
• Factor 6. Collection or public
reporting of a measure leads to negative
unintended consequences other than
patient harm;
19429
• Factor 7. It is not feasible to
implement the measure specifications;
and
• Factor 8. The costs associated with
a measure outweigh the benefit of its
continued use in the program.
We noted that these removal factors
will be considerations taken into
account when deciding whether or not
to remove measures, not firm
requirements. We continue to believe
that there may be circumstances in
which a measure that meets one or more
factors for removal should be retained
regardless, because the drawbacks of
removing a measure could be
outweighed by other benefits to
retaining the measure. In addition, to
further align with policies adopted in
the Hospital IQR Program (74 FR
43864), in the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41446), we finalized a
policy that if we believe continued use
of a measure poses specific patient
safety concerns, we may promptly
remove the measure from the program
without rulemaking and notify hospitals
and the public of the removal of the
measure along with the reasons for its
removal through routine
communication channels and then
confirm the removal of the measure
from the Hospital VBP Program measure
set in rulemaking. We are not proposing
any changes to these policies in this
proposed rule.
c. Summary of Previously Adopted
Measures for the FY 2022 and FY 2023
Program Years
We refer readers to the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41454
through 41456) and below for tables
showing summaries of previously
adopted measures for the FY 2022 and
FY 2023 program years. We note that we
are not proposing to add new measures
to or remove measures from the Hospital
VBP Program in this proposed rule.
SUMMARY OF PREVIOUSLY ADOPTED MEASURES FOR THE FY 2022 PROGRAM YEAR
Measure short name
Domain/measure name
NQF No.
Person and Community Engagement Domain
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HCAHPS ...................................................
Hospital Consumer Assessment of Healthcare Providers and Systems (HCAHPS)
(including Care Transition Measure).
0166 (0228)
Safety Domain
CAUTI .......................................................
CLABSI .....................................................
398 We previously adopted the two criteria for
determining the ‘‘topped-out’’ status of Hospital
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National Healthcare Safety Network (NHSN) Catheter-Associated Urinary Tract Infection (CAUTI) Outcome Measure.
National Healthcare Safety Network (NHSN) Central Line-Associated Bloodstream
Infection (CLABSI) Outcome Measure.
VBP Program measures in the FY 2015 IPPS/LTCH
PPS final rule (79 FR 50055).
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SUMMARY OF PREVIOUSLY ADOPTED MEASURES FOR THE FY 2022 PROGRAM YEAR—Continued
Measure short name
Domain/measure name
Colon and Abdominal Hysterectomy SSI
MRSA Bacteremia ....................................
CDI ............................................................
NQF No.
American College of Surgeons—Centers for Disease Control and Prevention Harmonized Procedure Specific Surgical Site Infection (SSI) Outcome Measure.
National Healthcare Safety Network (NHSN) Facility-wide Inpatient Hospital-onset
Methicillin-resistant Staphylococcus aureus (MRSA) Bacteremia Outcome Measure.
National Healthcare Safety Network (NHSN) Facility-wide Inpatient Hospital-onset
Clostridium difficile Infection (CDI) Outcome Measure.
0753
1716
1717
Clinical Outcomes Domain
MORT–30–AMI .........................................
MORT–30–HF ...........................................
MORT–30–PN (updated cohort) ...............
MORT–30–COPD .....................................
MORT–30–CABG .....................................
COMP–HIP–KNEE * .................................
Hospital 30-Day, All-Cause, Risk-Standardized Mortality Rate Following Acute Myocardial Infarction (AMI) Hospitalization.
Hospital 30-Day, All-Cause, Risk-Standardized Mortality Rate Following Heart Failure (HF) Hospitalization.
Hospital 30-Day, All-Cause, Risk-Standardized Mortality Rate Following Pneumonia
Hospitalization.
Hospital 30-Day, All-Cause, Risk-Standardized Mortality Rate Following Chronic
Obstructive Pulmonary Disease (COPD) Hospitalization.
Hospital 30-Day, All-Cause, Risk-Standardized Mortality Rate Following Coronary
Artery Bypass Graft (CABG) Surgery.
Hospital-Level Risk-Standardized Complication Rate Following Elective Primary
Total Hip Arthroplasty (THA) and/or Total Knee Arthroplasty (TKA).
0230
0229
0468
1893
2558
1550
Efficiency and Cost Reduction Domain
MSPB ........................................................
Medicare Spending Per Beneficiary (MSPB)—Hospital ..............................................
2158
* We note that we are updating the short name of the Hospital-Level Risk-Standardized Complication Rate Following Elective Primary Total Hip
Arthroplasty (THA) and/or Total Knee Arthroplasty (TKA) measure (NQF #1550) from THA/TKA to COMP–HIP–KNEE in order to maintain consistency with the updated Measure ID and short name used in tables on the Hospital Compare website and hospital reports for the Hospital VBP
Program. This updated name is used throughout section IV.H. of the preamble of this proposed rule.
SUMMARY OF PREVIOUSLY ADOPTED MEASURES FOR THE FY 2023 PROGRAM YEAR
Measure short name
Domain/measure name
NQF No.
Person and Community Engagement Domain
HCAHPS ........................................
Hospital Consumer Assessment of Healthcare Providers and Systems (HCAHPS) (including Care Transition Measure).
0166 (0228)
Safety Domain
CAUTI ............................................
CLABSI ..........................................
Colon
and
Abdominal
Hysterectomy SSI.
MRSA Bacteremia ..........................
CDI .................................................
CMS PSI 90 * .................................
National Healthcare Safety Network (NHSN) Catheter-Associated Urinary Tract Infection
(CAUTI) Outcome Measure.
National Healthcare Safety Network (NHSN) Central Line-Associated Bloodstream Infection (CLABSI) Outcome Measure.
American College of Surgeons—Centers for Disease Control and Prevention Harmonized
Procedure Specific Surgical Site Infection (SSI) Outcome Measure.
National Healthcare Safety Network (NHSN) Facility-wide Inpatient Hospital-onset
Methicillin-resistant Staphylococcus aureus (MRSA) Bacteremia Outcome Measure.
National Healthcare Safety Network (NHSN) Facility-wide Inpatient Hospital-onset Clostridium difficile Infection (CDI) Outcome Measure.
CMS Patient Safety and Adverse Events Composite * ..........................................................
0138
0139
0753
1716
1717
0531
Clinical Outcomes Domain
MORT–30–AMI ..............................
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MORT–30–HF ................................
MORT–30–PN (updated cohort) ....
MORT–30–COPD ..........................
MORT–30–CABG ..........................
COMP–HIP–KNEE .........................
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Hospital 30-Day, All-Cause, Risk-Standardized Mortality Rate Following Acute Myocardial
Infarction (AMI) Hospitalization.
Hospital 30-Day, All-Cause, Risk-Standardized Mortality Rate Following Heart Failure (HF)
Hospitalization.
Hospital 30-Day, All-Cause, Risk-Standardized Mortality Rate Following Pneumonia Hospitalization.
Hospital 30-Day, All-Cause, Risk-Standardized Mortality Rate Following Chronic Obstructive Pulmonary Disease (COPD) Hospitalization.
Hospital 30-Day, All-Cause, Risk-Standardized Mortality Rate Following Coronary Artery
Bypass Graft (CABG) Surgery.
Hospital-Level Risk-Standardized Complication Rate Following Elective Primary Total Hip
Arthroplasty (THA) and/or Total Knee Arthroplasty (TKA).
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SUMMARY OF PREVIOUSLY ADOPTED MEASURES FOR THE FY 2023 PROGRAM YEAR—Continued
Measure short name
Domain/measure name
NQF No.
Efficiency and Cost Reduction Domain
MSPB .............................................
Medicare Spending Per Beneficiary (MSPB)—Hospital .........................................................
2158
* We note that we have updated the name of the Patient Safety and Adverse Events Composite (PSI 90) to the CMS Patient Safety and Adverse Events Composite (CMS PSI 90) when it is used in CMS programs due to transition of the measure from AHRQ to CMS.
3. Previously Adopted Baseline and
Performance Periods
a. Background
Section 1886(o)(4) of the Act requires
the Secretary to establish a performance
period for the Hospital VBP Program
that begins and ends prior to the
beginning of such fiscal year. We refer
readers to the FY 2017 IPPS/LTCH PPS
final rule (81 FR 56998 through 57003)
for baseline and performance periods
that we have adopted for the FY 2019,
FY 2020, FY 2021, and FY 2022
program years. In the same final rule,
we finalized a schedule for all future
baseline and performance periods for
previously adopted measures. We refer
readers to the FY 2018 IPPS/LTCH PPS
final rule (82 FR 38256 through 38261)
and the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41466 through 41469) for
additional baseline and performance
periods that we have adopted for the FY
2022, FY 2023, and subsequent program
years.
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b. Person and Community Engagement
Domain
Since the FY 2015 program year, we
have adopted a 12-month baseline
period and a 12-month performance
period for measures in the Person and
Community Engagement domain
(previously referred to as the Patientand Caregiver-Centered Experience of
Care/Care Coordination domain) (77 FR
53598; 78 FR 50692; 79 FR 50072; 80 FR
49561). In the FY 2017 IPPS/LTCH PPS
final rule (81 FR 56998), we finalized
our proposal to adopt a 12-month
performance period for the Person and
Community Engagement domain that
runs on the calendar year 2 years prior
to the applicable program year and a 12month baseline period that runs on the
calendar year 4 years prior to the
applicable program year, for the FY
2019 program year and subsequent
years.
We are not proposing any changes to
these policies in this proposed rule.
c. Clinical Outcomes Domain
For the FY 2020 and FY 2021 program
years, we adopted a 36-month baseline
period and a 36-month performance
period for measures in the Clinical
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Outcomes domain (previously referred
to as the Clinical Care domain) (79 FR
50073; 80 FR 49563 through 49564). In
the FY 2017 IPPS/LTCH PPS final rule
(81 FR 57001), we also adopted a 22month performance period and a 36month baseline period specifically for
the MORT–30–PN (updated cohort)
measure for the FY 2021 program year.
In the FY 2017 IPPS/LTCH PPS final
rule (81 FR 57000), we adopted a 36month performance period and a 36month baseline period for the FY 2022
program year for each of the previously
finalized measures in the Clinical
Outcomes domain—that is, the MORT–
30–AMI, MORT–30–HF, MORT–30–
COPD, COMP–HIP–KNEE, and MORT–
30–CABG measures. In the same final
rule, we adopted a 34-month
performance period and a 36-month
baseline period for the MORT–30–PN
(updated cohort) measure for the FY
2022 program year.
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38259), we adopted a 36month performance period and a 36month baseline period for the MORT–
30–AMI, MORT–30–HF, MORT–30–
COPD, MORT–30–CABG, MORT–30–PN
(updated cohort), and COMP–HIP–
KNEE measures for the FY 2023
program year and subsequent years.
Specifically, for the mortality measures
(MORT–30–AMI, MORT–30–HF,
MORT–30–COPD, MORT–30–CABG,
and MORT–30–PN (updated cohort)),
the performance period runs for 36
months from July 1, five years prior to
the applicable fiscal program year, to
June 30, two years prior to the
applicable fiscal program year, and the
baseline period runs for 36 months from
July 1, ten years prior to the applicable
fiscal program year, to June 30, seven
years prior to the applicable fiscal
program year. For the COMP–HIP–
KNEE measure, the performance period
runs for 36 months from April 1, five
years prior to the applicable fiscal
program year, to March 31, two years
prior to the applicable fiscal program
year, and the baseline period runs for 36
months from April 1, ten years prior to
the applicable fiscal program year, to
March 31, seven years prior to the
applicable fiscal program year.
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We are not proposing any changes to
the length of these performance or
baseline periods in this proposed rule.
d. Safety Domain
In the FY 2017 IPPS/LTCH PPS final
rule (81 FR 57000), we finalized our
proposal to adopt a performance period
for all measures in the Safety domain—
with the exception of the CMS Patient
Safety and Adverse Events Composite
(CMS PSI 90) measure—that runs on the
calendar year 2 years prior to the
applicable program year and a baseline
period that runs on the calendar year 4
years prior to the applicable program
year for the FY 2019 program year and
subsequent program years.
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38258), for the FY 2023
program year, we adopted a 21-month
baseline period (October 1, 2015 to June
30, 2017) and a 24-month performance
period (July 1, 2019 to June 30, 2021) for
the CMS PSI 90 measure. In the FY 2018
IPPS/LTCH PPS final rule (82 FR 38258
through 38259), we adopted a 24-month
performance period and a 24-month
baseline period for the CMS PSI 90
measure for the FY 2024 program year
and subsequent years. Specifically, the
performance period runs from July 1,
four years prior to the applicable fiscal
program year, to June 30, two years
prior to the applicable fiscal program
year, and the baseline period runs from
July 1, eight years prior to the applicable
fiscal program year, to June 30, six years
prior to the applicable fiscal program
year.
We are not proposing any changes to
these policies in this proposed rule.
e. Efficiency and Cost Reduction
Domain
Since the FY 2016 program year, we
have adopted a 12-month baseline
period and a 12-month performance
period for the MSPB measure in the
Efficiency and Cost Reduction domain
(78 FR 50692; 79 FR 50072; 80 FR
49562). In the FY 2017 IPPS/LTCH PPS
final rule (81 FR 56998), we finalized
our proposal to adopt a 12-month
performance period for the MSPB
measure that runs on the calendar year
2 years prior to the applicable program
year and a 12-month baseline period
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that runs on the calendar year 4 years
prior to the applicable program year for
the FY 2019 program year and
subsequent years.
We are not proposing any changes to
these policies in this proposed rule.
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f. Summary of Previously Adopted
Baseline and Performance Periods for
the FY 2022 Through FY 2025 Program
Years
The tables below summarize the
baseline and performance periods that
we have previously adopted.
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19433
Previously Adopted Baseline and Performance Periods for the FY 2022 Program
Year
Domain
Baseline Period
Performance Period
Person and Community
Engagement
• January 1, 2018• January 1, 2020• HCAHPS
December 31, 2018
December 31, 2020
Clinical Outcomes
• Mortality (MORT -30• July 1, 2012• July 1, 2017AMI, MORT-30-HF,
June 30, 2015
June 30, 2020
MORT-30-COPD, MORT30-CABG)
• MORT -30-PN (updated
• July 1, 2012cohort)
June 30, 2015
• September 1, 2017• COMP-HIP-KNEE
• April 1, 2012- March June 30, 2020
31,2015
• April 1, 2017March 31, 2020
Safety
• NHSN measures (CAUTI, • January 1, 2018• January 1, 2020CLABSI, Colon and
December 31, 2018
December 31, 2020
Abdominal Hysterectomy
SSI, CDI, MRSA
Bacteremia)
Efficiency and Cost Reduction
• January 1, 2020• January 1, 2018• MSPB
December 31, 2018
December 31, 2020
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Previously Adopted Baseline and Performance Periods for the FY 2023 Program
Year
Domain
Baseline Period
Performance Period
Person and Community
Engagement
• January 1, 2019• January 1, 2021• HCAHPS
December 31, 2019
December 31, 2021
Clinical Outcomes
• Mortality (MORT -30• July 1, 2013- June • July 1, 2018AMI, MORT-30-HF,
30,2016
June 30, 2021
MORT-30-COPD, MORT30-CABG, MORT -30-PN
(updated cohort)
• April 1, 2018• COMP-HIP-KNEE
• April 1, 2013March 31, 2016
March 31, 2021
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Previously Adopted Baseline and Performance Periods for the FY 2023 Program
Year
Domain
Baseline Period
Performance Period
Safety
• January 1, 2021• NHSN measures (CAUTI, • January 1, 2019CLABSI, Colon and
December 31, 2019
December 31, 2021
Abdominal Hysterectomy
SSI, CDI, MRSA
Bacteremia)
• July 1, 2019• October 1, 2015June 30, 2017
June 30, 2021
• CMS PSI 90
Efficiency and Cost Reduction
• January 1, 2019• January 1, 2021• MSPB
December 31, 2019
December 31, 2021
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Previously Adopted Baseline and Performance Periods for the FY 2024 Program
Year
Domain
Baseline Period
Performance Period
Person and Community
Engagement
• January 1, 2020• January 1, 2022• HCAHPS
December 31, 2020
December 31, 2022
Clinical Outcomes
• July 1, 2014• July 1, 2019• Mortality
(MORT-30-AMI, MORTJune 30, 2017
June 30, 2022
30-HF, MORT-30-COPD,
MORT-30-CABG,
MORT-30-PN (updated
cohort)
• COMP-HIP-KNEE
• April 1, 2014• April 1, 2019March 31, 2017
March 31, 2022
Safety
• January 1, 2020• January 1, 2022• NHSN measures
(CAUTI, CLABSI, Colon
December 31, 2020
December 31, 2022
and Abdominal
Hysterectomy SSI, CDI,
MRSA Bacteremia)
• July 1, 2016• July 1, 2020• CMS PSI 90
June 30, 2018
June 30, 2022
Efficiency and Cost Reduction
• January 1, 2020• January 1, 2022• MSPB
December 31, 2020
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a. Background
Section 1886(o)(3)(A) of the Act
requires the Secretary to establish
performance standards for the measures
selected under the Hospital VBP
Program for a performance period for
the applicable fiscal year. The
performance standards must include
levels of achievement and improvement,
as required by section 1886(o)(3)(B) of
the Act, and must be established no
later than 60 days before the beginning
of the performance period for the fiscal
year involved, as required by section
1886(o)(3)(C) of the Act. We refer
readers to the Hospital Inpatient VBP
Program final rule (76 FR 26511 through
26513) for further discussion of
achievement and improvement
standards under the Hospital VBP
Program.
In addition, when establishing the
performance standards, section
1886(o)(3)(D) of the Act requires the
Secretary to consider appropriate
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factors, such as: (1) Practical experience
with the measures, including whether a
significant proportion of hospitals failed
to meet the performance standard
during previous performance periods;
(2) historical performance standards; (3)
improvement rates; and (4) the
opportunity for continued
improvement.
We refer readers to the FY 2013, FY
2014, and FY 2015 IPPS/LTCH PPS final
rules (77 FR 53599 through 53605; 78
FR 50694 through 50699; and 79 FR
50077 through 50081, respectively) for a
more detailed discussion of the general
scoring methodology used in the
Hospital VBP Program. We refer readers
to the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41469 through 41470) for
previously established performance
standards for the FY 2021 program year.
We note that the performance
standards for the following measures are
calculated with lower values
representing better performance:
• CDC NHSN HAI measures (CLABSI,
CAUTI, CDI, MRSA Bacteremia, and
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Colon and Abdominal Hysterectomy
SSI);
• CMS PSI 90 measure;
• COMP–HIP–KNEE measure; and
• MSPB measure.
This distinction is made in contrast to
other measures—HCAHPS and the
mortality measures, which use survival
rates rather than mortality rates—for
which higher values indicate better
performance. As discussed further in
the FY 2014 IPPS/LTCH PPS final rule
(78 FR 50684), the performance
standards for the Colon and Abdominal
Hysterectomy SSI measure are
computed separately for each procedure
stratum, and we first award
achievement and improvement points to
each stratum separately, and then
compute a weighted average of the
points awarded to each stratum by
predicted infections.
b. Previously Established and Estimated
Performance Standards for the FY 2022
Program Year
In the FY 2017 IPPS/LTCH PPS final
rule (81 FR 57009), we established
performance standards for the FY 2022
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4. Performance Standards for the
Hospital VBP Program
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program year for the Clinical Outcomes
domain measures (MORT–30–AMI,
MORT–30–HF, MORT–30–PN (updated
cohort), MORT–30–COPD, MORT–30–
CABG, and COMP–HIP–KNEE) and the
Efficiency and Cost Reduction domain
measure (MSPB). We note that the
performance standards for the MSPB
measure are based on performance
period data. Therefore, we are unable to
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provide numerical equivalents for the
standards at this time.
In accordance with our methodology
for calculating performance standards
discussed more fully in the Hospital
Inpatient VBP Program final rule (76 FR
26511 through 26513) and codified at 42
CFR 412.160, we are estimating
additional performance standards for
the FY 2022 program year. We note that
the numerical values for the
performance standards for the Safety
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and Person and Community Engagement
domains for the FY 2022 program year
in the tables below are estimates based
on the most recently available data, and
we intend to update the numerical
values in the FY 2020 IPPS/LTCH PPS
final rule.
The previously established and
estimated performance standards for the
measures in the FY 2022 program year
are set out in the tables below.
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The eight dimensions of the HCAHPS
measure are calculated to generate the
HCAHPS Base Score. For each of the
eight dimensions, Achievement Points
(0–10 points) and Improvement Points
(0–9 points) are calculated, the larger of
which is then summed across the eight
dimensions to create the HCAHPS Base
Score (0–80 points). Each of the eight
dimensions is of equal weight; therefore,
the HCAHPS Base Score ranges from 0
to 80 points. HCAHPS Consistency
Points are then calculated, which range
from 0 to 20 points. The Consistency
Points take into consideration the scores
of all eight Person and Community
Engagement dimensions. The final
element of the scoring formula is the
summation of the HCAHPS Base Score
and the HCAHPS Consistency Points,
which results in the Person and
Community Engagement Domain score
that ranges from 0 to 100 points.
ESTIMATED PERFORMANCE STANDARDS FOR THE FY 2022 PROGRAM YEAR: PERSON AND COMMUNITY ENGAGEMENT
DOMAIN ±
Floor
(minimum)
HCAHPS survey dimension
Communication with Nurses ........................................................................................................
Communication with Doctors .......................................................................................................
Responsiveness of Hospital Staff ................................................................................................
Communication about Medicines ................................................................................................
Hospital Cleanliness & Quietness ...............................................................................................
Discharge Information ..................................................................................................................
Care Transition ............................................................................................................................
Overall Rating of Hospital ............................................................................................................
10.93
13.98
16.92
8.50
4.39
65.62
5.11
18.86
Achievement
threshold
(50th
percentile)
79.06
79.69
65.97
63.60
65.47
87.17
51.88
71.48
Benchmark
(mean of top
decile)
87.42
87.97
81.33
74.56
79.49
91.96
63.18
85.32
± The estimated performance standards displayed in this table were calculated using one quarter (Q4) CY 2017 data and three quarters (Q1,
Q2, and Q3) CY 2018 data. We will update this table’s performance standards using four quarters of CY 2018 data in the FY 2020 IPPS/LTCH
PPS final rule.
c. Previously Established Performance
Standards for Certain Measures for the
FY 2023 Program Year
We have adopted certain measures for
the Safety domain, Clinical Outcomes
domain, and Efficiency and Cost
Reduction domain for future program
years in order to ensure that we can
adopt baseline and performance periods
of sufficient length for performance
scoring purposes. In the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38264
through 38265), we established
performance standards for the FY 2023
program year for the Clinical Outcomes
domain measures (MORT–30–AMI,
MORT–30–HF, MORT–30–PN (updated
cohort), MORT–30–COPD, MORT–30–
CABG, and COMP–HIP–KNEE) and for
the Efficiency and Cost Reduction
domain measure (MSPB). In the FY
2019 IPPS/LTCH PPS final rule (83 FR
41471 through 41472), we established,
for the FY 2023 program year, the
performance standards for the Safety
domain measure, CMS PSI 90. We note
that the performance standards for the
MSPB measure are based on
performance period data. Therefore, we
are unable to provide numerical
equivalents for the standards at this
time. The previously established
performance standards for these
measures are set out in the table below.
PREVIOUSLY ESTABLISHED PERFORMANCE STANDARDS FOR THE FY 2023 PROGRAM YEAR
Measure short name
Achievement threshold
Benchmark
Safety Domain
CMS PSI 90 * .....................................................
0.972658 ...........................................................
0.760882.
Clinical Outcomes Domain
MORT–30–AMI ..................................................
MORT–30–HF ...................................................
MORT–30–PN (updated cohort) .......................
MORT–30–COPD ..............................................
MORT–30–CABG ..............................................
COMP–HIP–KNEE * ..........................................
0.866548
0.881939
0.840138
0.919769
0.968747
0.027428
...........................................................
...........................................................
...........................................................
...........................................................
...........................................................
...........................................................
0.885499.
0.906798.
0.871741.
0.936349.
0.979620.
0.019779.
Efficiency and Cost Reduction Domain
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MSPB * ...............................................................
Median Medicare Spending per Beneficiary
ratio across all hospitals during the performance period.
Mean of the lowest decile Medicare Spending
per Beneficiary ratios across all hospitals
during the performance period
* Lower values represent better performance.
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d. Previously Established and Newly
Established Performance Standards for
Certain Measures for the FY 2024
Program Year
We have adopted certain measures for
the Safety domain, Clinical Outcomes
domain, and Efficiency and Cost
Reduction domain for future program
years in order to ensure that we can
adopt baseline and performance periods
of sufficient length for performance
scoring purposes. In the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41472), we
established performance standards for
the FY 2024 program year for the
Clinical Outcomes domain measures
(MORT–30–AMI, MORT–30–HF,
MORT–30–PN (updated cohort),
MORT–30–COPD, MORT–30–CABG,
and COMP–HIP–KNEE) and the
Efficiency and Cost Reduction domain
measure (MSPB). We note that the
performance standards for the MSPB
measure are based on performance
period data. Therefore, we are unable to
provide numerical equivalents for the
standards at this time.
In accordance with our methodology
for calculating performance standards
discussed more fully in the Hospital
Inpatient VBP Program final rule (76 FR
26511 through 26513) and codified at 42
CFR 412.160, we are establishing
performance standards for the CMS PSI
90 measure for the FY 2024 program
year. The previously established and
newly established performance
standards for these measures are set out
in the table below.
PREVIOUSLY ESTABLISHED AND NEWLY ESTABLISHED PERFORMANCE STANDARDS FOR THE FY 2024 PROGRAM YEAR
Measure short name
Achievement threshold
Benchmark
Safety Domain
CMS PSI 90 * .....................................................
0.968841 ...........................................................
0.754176
Clinical Outcomes Domain
MORT–30–AMI # ...............................................
MORT–30–HF # .................................................
MORT–30–PN (updated cohort) # .....................
MORT–30–COPD # ...........................................
MORT–30–CABG # ...........................................
COMP–HIP–KNEE *# ........................................
0.869247
0.882308
0.840281
0.916491
0.969499
0.025396
...........................................................
...........................................................
...........................................................
...........................................................
...........................................................
...........................................................
0.887868
0.907733
0.872976
0.934002
0.980319
0.018159
Efficiency and Cost Reduction Domain
MSPB *# .............................................................
Median Medicare Spending per Beneficiary
ratio across all hospitals during the performance period.
Mean of the lowest decile Medicare Spending
per Beneficiary ratios across all hospitals
during the performance period
* Lower values represent better performance.
# Previously established performance standards.
e. Newly Established Performance
Standards for Certain Measures for the
FY 2025 Program Year
As discussed above, we have adopted
certain measures for the Clinical
Outcomes domain (MORT–30–AMI,
MORT–30–HF, MORT–30–PN (updated
cohort), MORT–30–COPD, MORT–30–
CABG, and COMP–HIP–KNEE) and the
Efficiency and Cost Reduction domain
(MSPB) for future program years in
order to ensure that we can adopt
baseline and performance periods of
sufficient length for performance
scoring purposes. In accordance with
our methodology for calculating
performance standards discussed more
fully in the Hospital Inpatient VBP
Program final rule (76 FR 26511 through
26513), and our performance standards
definitions codified at 42 CFR 412.160,
we are establishing the following
performance standards for the FY 2025
program year for the Clinical Outcomes
domain and the Efficiency and Cost
Reduction domain. We note that the
performance standards for the MSPB
measure are based on performance
period data. Therefore, we are unable to
provide numerical equivalents for the
standards at this time. The newly
established performance standards for
these measures are set out in the table
below.
NEWLY ESTABLISHED PERFORMANCE STANDARDS FOR THE FY 2025 PROGRAM YEAR
Measure short name
Achievement threshold
Benchmark
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Clinical Outcomes Domain
MORT–30–AMI ..................................................
MORT–30–HF ...................................................
MORT–30–PN (updated cohort) .......................
MORT–30–COPD ..............................................
MORT–30–CABG ..............................................
COMP–HIP–KNEE ** .........................................
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0.872624
0.883990
0.841475
0.915127
0.970100
0.025332
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...........................................................
...........................................................
...........................................................
...........................................................
...........................................................
...........................................................
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0.889994.
0.910344.
0.874425.
0.932236.
0.979775.
0.017946.
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19439
NEWLY ESTABLISHED PERFORMANCE STANDARDS FOR THE FY 2025 PROGRAM YEAR—Continued
Measure short name
Achievement threshold
Benchmark
Efficiency and Cost Reduction Domain
MSPB *# .............................................................
Median Medicare Spending per Beneficiary
ratio across all hospitals during the performance period.
Mean of the lowest decile Medicare Spending
per Beneficiary ratios across all hospitals
during the performance period.
proportionately reweighted. We are not
proposing any changes to these domain
weights in this proposed rule.
fiscal year hospitals that do not report
a minimum number (as determined by
the Secretary) of cases for the measures
that apply to the hospital for the
performance period for the fiscal year.
For additional discussion of the
previously finalized minimum numbers
of cases for measures under the Hospital
VBP Program, we refer readers to the
Hospital Inpatient VBP Program final
rule (76 FR 26527 through 26531); the
CY 2012 OPPS/ASC final rule (76 FR
74532 through 74534); the FY 2013
IPPS/LTCH PPS final rule (77 FR 53608
through 53610); the FY 2015 IPPS/LTCH
PPS final rule (79 FR 50085 through
50086); the FY 2016 IPPS/LTCH PPS
final rule (80 FR 49570); the FY 2017
IPPS/LTCH PPS final rule (81 FR
57011); the FY 2018 IPPS/LTCH PPS
final rule (82 FR 38266 through 38267);
and the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41465 through 41466). We
are not proposing any changes to these
policies in this proposed rule.
* Lower values represent better performance.
5. Scoring Methodology and Data
Requirements
a. Domain Weighting for the FY 2022
Program Year and Subsequent Years for
Hospitals That Receive a Score on All
Domains
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38266), we finalized our
proposal to retain the equal weight of 25
percent for each of the four domains in
the Hospital VBP Program for the FY
2020 program year and subsequent years
for hospitals that receive a score in all
domains. In FY 2019 IPPS/LTCH PPS
rulemaking (83 FR 20416 through
20420; 41459 through 41464), we
proposed, but did not adopt, any
changes to the Hospital VBP Program
domains and weighting. We are not
proposing any changes to these domain
weights in this proposed rule.
b. Domain Weighting for the FY 2022
Program Year and Subsequent Years for
Hospitals Receiving Scores on Fewer
Than Four Domains
In the FY 2015 IPPS/LTCH PPS final
rule (79 FR 50084 through 50085), for
the FY 2017 program year and
subsequent years, we adopted a policy
that hospitals must receive domain
scores on at least three of four quality
domains in order to receive a TPS, and
hospitals with sufficient data on only
three domains will have their TPSs
c. Minimum Numbers of Measures for
Hospital VBP Program Domains
Based on our previously finalized
policies (82 FR 38266), for a hospital to
receive domain scores for the FY 2021
program year and subsequent years:
• A hospital must report a minimum
number of 100 completed HCAHPS
surveys for a hospital to receive a
Person and Community Engagement
domain score.
• A hospital must receive a minimum
of two measure scores within the
Clinical Outcomes domain to receive a
Clinical Outcomes domain score.
• A hospital must receive a minimum
of two measure scores within the Safety
domain to receive a Safety domain
score.
• A hospital must receive a minimum
of one measure score within the
Efficiency and Cost Reduction domain
to receive an Efficiency and Cost
Reduction domain score.
We are not proposing any changes to
these policies in this proposed rule.
d. Minimum Numbers of Cases for
Hospital VBP Program Measures
(1) Background
Section 1886(o)(1)(C)(ii)(IV) of the Act
requires the Secretary to exclude for the
(2) Summary of Previously Adopted
Minimum Numbers of Cases
The previously adopted minimum
numbers of cases for these measures are
set forth in the table below.
PREVIOUSLY ADOPTED MINIMUM CASE NUMBER REQUIREMENTS FOR THE FY 2022 PROGRAM YEAR AND SUBSEQUENT
YEARS
Measure short name
Minimum number of cases
Person and Community Engagement Domain
HCAHPS .........................................
Hospitals must report a minimum number of 100 completed HCAHPS surveys.
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Clinical Outcomes Domain
MORT–30–AMI ...............................
MORT–30–HF .................................
MORT–30–PN (updated cohort) .....
MORT–30–COPD ...........................
MORT–30–CABG ...........................
COMP–HIP–KNEE ..........................
Hospitals
Hospitals
Hospitals
Hospitals
Hospitals
Hospitals
must
must
must
must
must
must
report
report
report
report
report
report
a
a
a
a
a
a
minimum
minimum
minimum
minimum
minimum
minimum
number
number
number
number
number
number
of
of
of
of
of
of
25
25
25
25
25
25
cases.
cases.
cases.
cases.
cases.
cases.
Safety Domain
CAUTI .............................................
CLABSI ...........................................
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Hospitals have a minimum of 1.000 predicted infections as calculated by the CDC.
Hospitals have a minimum of 1.000 predicted infections as calculated by the CDC.
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PREVIOUSLY ADOPTED MINIMUM CASE NUMBER REQUIREMENTS FOR THE FY 2022 PROGRAM YEAR AND SUBSEQUENT
YEARS—Continued
Measure short name
Minimum number of cases
Colon and Abdominal Hysterectomy
SSI.
MRSA Bacteremia ..........................
CDI ..................................................
CMS PSI 90 ....................................
Hospitals have a minimum of 1.000 predicted infections as calculated by the CDC.
Hospitals have a minimum of 1.000 predicted infections as calculated by the CDC.
Hospitals have a minimum of 1.000 predicted infections as calculated by the CDC.
Hospitals must report a minimum of three eligible cases on any one underlying indicator.
Efficiency and Cost Reduction Domain
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MSPB ..............................................
Hospitals must report a minimum number of 25 cases.
e. Proposed Administrative Policies for
NHSN Healthcare-Associated Infection
(HAI) Measure Data
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41553), beginning with the
CY 2020 reporting period, the Hospital
IQR Program finalized removal of the
five CDC NHSN HAI measures that are
used in both the Hospital VBP and HAC
Reduction Programs (CAUTI, CLABSI,
Colon and Abdominal Hysterectomy
SSI, MRSA Bacteremia, and CDI). Since
these measures were adopted in the
Hospital VBP Program, the Hospital
VBP Program has used the same data to
calculate the CDC NHSN HAI measures
that is used by the Hospital IQR
Program. In the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41475 through
41478), the HAC Reduction Program
adopted data collection policies for the
CDC NHSN HAI measures, beginning on
January 1, 2020 with CY 2020
submissions, which will use the same
process as the Hospital IQR Program for
hospitals to report, review, and correct
CDC NHSN HAI measure data.
Furthermore, the HAC Reduction
Program also adopted processes to
validate the CDC NHSN HAI measures
used in the HAC Reduction Program
beginning with Q3 2020 discharges (83
FR 41478 through 41483). These
processes are intended to reflect, to the
greatest extent possible, the processes
previously established for the Hospital
IQR Program in order to aid continued
hospital reporting through clear and
consistent requirements. In section
IV.I.7. of the preamble of this proposed
rule, the HAC Reduction Program is
proposing additional refinements to its
validation process for the CDC NHSN
HAI measures in the HAC Reduction
Program and providing clarifications
regarding validation processes.
To streamline and simplify processes
across hospital programs, we are
proposing that the Hospital VBP
Program will use the same data to
calculate the CDC NHSN HAI measures
that the HAC Reduction Program uses
for purposes of calculating the measures
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under that program, beginning on
January 1, 2020 for CY 2020 data
collection, which would apply to the
Hospital VBP Program starting with data
for the FY 2022 program year
performance period. This proposed start
date aligns with the effective date of the
removal of the measures from the
Hospital IQR Program and the date
when data on those measures will begin
to be reported for the HAC Reduction
Program, allowing for a seamless
transition. We note that the data used by
the HAC Reduction Program will be the
same data previously used by the
Hospital IQR Program, and therefore, we
do not anticipate any changes in the use
of such data for the Hospital VBP
Program.
We also are proposing that the
Hospital VBP Program will use the same
processes adopted by the HAC
Reduction Program for hospitals to
review and correct data for the CDC
NHSN HAI measures and will rely on
HAC Reduction Program validation to
ensure the accuracy of CDC NHSN HAI
measure data used in the Hospital VBP
Program. We note that the processes for
hospitals to submit, review, and correct
their data for these measures are the
same processes previously used by the
Hospital IQR Program. We believe that
using the HAC Reduction Program
review and correction process will
satisfy the requirement in section
1886(o)(10)(A)(ii) of the Act to allow
hospitals to review and submit
corrections for Hospital VBP Program
information that will be made public
with respect to each hospital. In
addition, as noted earlier, the HAC
Reduction Program’s validation
processes are intended to reflect, to the
greatest extent possible, the processes
previously established for the Hospital
IQR Program. We refer readers to the FY
2019 IPPS/LTCH PPS final rule (83 FR
41478 through 41483) for a discussion
of those processes in the HAC
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Reduction Program.399 We believe
relying on the HAC Reduction
Program’s validation process would be
sufficient for purposes of ensuring the
accuracy of CDC NHSN HAI measure
data under the Hospital VBP Program.
We believe that these policies will
ensure that the use of the same data for
the Hospital VBP Program will result in
accurate measure scores under the
Hospital VBP Program.
We refer readers to the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41475
through 41484) for additional details on
the HAC Reduction Program’s data
collection, review and correction,
validation, and data accuracy policies
for the CDC NHSN HAI measures. We
also refer readers to sections IV.I.6. and
IV.I.7. of the preamble of this proposed
rule for additional information about
HAC Reduction Program data collection,
review and correction, and proposed
refinements to validation policies for
the CDC NHSN HAI measures.
I. Hospital-Acquired Condition (HAC)
Reduction Program
1. Background
We refer readers to the FY 2014 IPPS/
LTCH PPS final rule (78 FR 50707
through 50708) for a general overview of
the HAC Reduction Program. For a
detailed discussion of the statutory basis
of the HAC Reduction Program, we refer
readers to the FY 2014 IPPS/LTCH PPS
final rule (78 FR 50708 through 50709).
For a further description of our
previously finalized policies for the
HAC Reduction Program, we refer
readers to the FY 2014 IPPS/LTCH PPS
399 The FY 2019 IPPS/LTCH PPS final rule (83 FR
41478 through 41483) includes additional
information regarding provider selection, targeting
criteria, calculation of the confidence, education
review process, and application of validation
penalty for the HAC Reduction Program’s validation
processes compared to the Hospital IQR Program’s
processes. We also refer readers to section IV.I.7. of
the preamble of this proposed rule for proposed
changes to the validation selection methodology
and proposed clarifications to the validation
filtering methodology for the HAC Reduction
Program.
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final rule (78 FR 50707 through 50729),
the FY 2015 IPPS/LTCH PPS final rule
(79 FR 50087 through 50104), the FY
2016 IPPS/LTCH PPS final rule (80 FR
49570 through 49581), the FY 2017
IPPS/LTCH PPS final rule (81 FR 57011
through 57026), the FY 2018 IPPS/LTCH
PPS final rule (82 FR 38269 through
38278), and the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41472 through
41492). These policies describe the
general framework for implementation
of the HAC Reduction Program,
including: (1) The relevant definitions
applicable to the program; (2) the
payment adjustment under the program;
(3) the measure selection process and
conditions for the program, including a
risk adjustment- and scoring
methodology; (4) performance scoring;
(5) data collection; (6) validation; (7) the
process for making hospital-specific
performance information available to
the public, including the opportunity
for a hospital to review the information
and submit corrections; and (8)
limitation of administrative and judicial
review. We remind readers that data
collection and validation (items (5) and
(6)) policies were newly finalized in the
FY 2019 IPPS/LTCH PPS final rule (83
FR 41472 through 41492).
We also have codified certain
requirements of the HAC Reduction
Program at 42 CFR 412.170 through
412.172. In section IV.I.12. of the
preamble of this proposed rule, we are
proposing to update 42 CFR 412.172(f)
to reflect policies finalized in the FY
2019 IPPS/LTCH PPS final rule.
2. Implementation of the HAC
Reduction Program for FY 2020
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41472 through 41492), we
reviewed the HAC Reduction Program
in the context of our Meaningful
Measures Initiative. The HAC Reduction
Program addresses the priority areas of
making care safer by reducing harm
caused in the delivery of care. The
measures in the Program generally
represent ‘‘never events’’ 400 and often,
if not always, assess the incidence of
preventable conditions. In the FY 2019
IPPS/LTCH PPS final rule (83 FR 41547
through 41553), for the Hospital IQR
Program, as part of the Meaningful
Measures Initiative, we deduplicated
the CMS Patient Safety and Adverse
Events Composite (CMS PSI 90)
beginning with the Hospital IQR
Program’s FY 2020 payment
determination, and the Centers for
Disease Control and Prevention (CDC)
National Healthcare Safety Network
(NHSN) Healthcare-Associated Infection
(HAI) measures (CDC NHSN HAI
measures) from the Hospital IQR
Program beginning in CY 2020/FY 2022
payment determination. However, we
retained these measures in the HAC
Reduction Program because we believe
these measures will continue to
encourage hospitals to address the
serious harm caused by these adverse
events while still using the most
parsimonious measure set available. To
that end, however, we were required to
adopt numerous HAC Reduction
Program-specific CDC NHSN HAI
measure policies, including data
collection, validation requirements, and
scoring associated with data
completeness, timeliness, and accuracy,
to transition the administrative
processes on which the HAC Reduction
Program had historically relied on the
Hospital IQR Program to support. In the
FY 2019 IPPS/LTCH PPS final rule (83
19441
FR 41475 through 41484), for the HAC
Reduction Program, we formally
adopted analogous processes to
independently manage these
administrative processes to receive CDC
NHSN data beginning in CY 2020 and
with validation beginning with Q3 CY
2020 infectious events.
In this proposed rule, we are
proposing to clarify policies that we
finalized for the HAC Reduction
Program in the FY 2019 IPPS/LTCH PPS
final rule, so that they are implemented
as intended. We are specifically
proposing to: (1) Adopt a measure
removal policy that aligns with the
removal factor policies previously
adopted in other quality reporting and
quality payment programs; (2) clarify
administrative policies for validation of
the CDC NHSN HAI measures; (3) adopt
the data collection periods for the FY
2022 program year; and (4) update
regulations for the HAC Reduction
Program at 42 CFR 412.172(f) to reflect
policies finalized in the FY 2019 IPPS/
LTCH PPS final rule.
3. Current Measures for FY 2020 and
Subsequent Years
The HAC Reduction Program has
adopted six measures. In the FY 2014
IPPS/LTCH PPS final rule (78 FR
50717), we finalized the use of five CDC
NHSN HAI measures: (1) CAUTI; (2)
CDI; (3) CLABSI; (4) Colon and
Abdominal Hysterectomy SSI; and (5)
MRSA Bacteremia. In the FY 2017 IPPS/
LTCH PPS final rule (81 FR 57014), we
finalized the use of the CMS Patient
Safety and Adverse Events Composite
(CMS PSI 90) measure. These previously
finalized measures, with their full
measure names, are shown in the table
below.401
HAC REDUCTION PROGRAM MEASURES FOR FY 2019
Short name
Measure name
CMS PSI 90 ...................
CAUTI ............................
CDI .................................
CMS Patient Safety Indicator (PSI) 90 ...................................................................................................
CDC NHSN Catheter-associated Urinary Tract Infection (CAUTI) Outcome Measure .........................
CDC NHSN Facility-wide Inpatient Hospital-onset Clostridium difficile Infection (CDI) Outcome
Measure.
CDC NHSN Central Line-Associated Bloodstream Infection (CLABSI) Outcome Measure ..................
American College of Surgeons—Centers for Disease Control and Prevention (ACS–CDC) Harmonized Procedure Specific Surgical Site Infection (SSI) Outcome Measure.
CDC NHSN Facility-wide Inpatient Hospital-onset Methicillin-resistant Staphylococcus aureus
(MRSA) Bacteremia Outcome Measure.
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CLABSI ..........................
Colon and Abdominal
Hysterectomy SSI.
MRSA Bacteremia .........
400 The term ‘‘Never Event’’ was first introduced
in 2001 by Ken Kizer, MD, former CEO of the
National Quality Forum (NQF), in reference to
particularly shocking medical errors (such as
wrong-site surgery) that should never occur. Over
time, the list has been expanded to signify adverse
events that are unambiguous (clearly identifiable
and measurable), serious (resulting in death or
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significant disability), and usually preventable. The
NQF initially defined 27 such events in 2002. The
list has been revised since then, most recently in
2011, and now consists of 29 events grouped into
7 categories: Surgical, product or device, patient
protection, care management, environmental,
radiologic, and criminal.’’ Never Events are
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NQF #
0531
0138
1717
0139
0753
1716
available at: https://psnet.ahrq.gov/primers/primer/
3/neverevents.
401 In the FY 2019 IPPS/LTCH PPS final rule (83
FR 41485 through 41489), we finalized the equal
weighting of measures to coincide with the removal
of Domains for scoring purposes, so these measures
are no longer grouped by Domain.
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In this proposed rule, we are not
proposing to add or remove any
measures.
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4. Measures Specification and Technical
Specifications
As we stated in the FY 2015 IPPS/
LTCH PPS final rule (79 FR 50100
through 50101) and reiterated in the FY
2019 IPPS/LTCH PPS final rule (83 FR
41475), we will use a subregulatory
process to make nonsubstantive updates
to measures used for the HAC Reduction
Program and use notice-and-comment
rulemaking to adopt substantive updates
to measures. We are not making any
substantive changes to the measures this
year. Technical specifications for the
CMS PSI 90 measure can be found on
the QualityNet website at: https://
www.qualitynet.org/dcs/
ContentServer?c=Page&pagename=
QnetPublic%2FPage
%2FQnetBasic&cid=1228695355425.
Technical specifications for the CDC
NHSN HAI measures can be found at
CDC’s NHSN website at: https://
www.cdc.gov/nhsn/acute-care-hospital/
index.html. Both websites provide
measure updates and other information
necessary to guide hospitals
participating in the collection of HAC
Reduction Program data.
5. Proposed Measure Removal Factors
While we are not proposing to remove
any measures in this proposed rule, we
are proposing to adopt a removal factor
policy as part of our ongoing efforts to
ensure that the HAC Reduction Program
measure set continues to promote
improved health outcomes for
beneficiaries while minimizing the
overall burden and costs associated with
the program. In addition, the adoption
of measure removal factors would align
the HAC Reduction Program with our
other quality reporting and quality
payment programs and help ensure
consistency in our measure evaluation
methodology across programs.
In the FY 2019 IPPS/LTCH PPS final
rule, we updated considerations for
removing measures from several CMS
quality reporting and quality payment
programs. Specifically, we finalized
eight measure removal factors for the
Hospital IQR Program (83 FR 41540
through 41544), the Hospital VBP
Program (83 FR 41441 through 41446),
the PCHQR Program (83 FR 41609
through 41611), and the LTCH QRP (83
FR 41625 through 41627).
We believe these removal factors are
also appropriate for the HAC Reduction
Program, and we believe that alignment
among CMS quality programs is
important to provide stakeholders with
a clear, consistent, and transparent
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process. Therefore, to align with our
other quality reporting and quality
payment programs, we are proposing to
adopt the following removal factors for
the HAC Reduction Program:
• Factor 1. Measure performance
among hospitals is so high and
unvarying that meaningful distinctions
and improvements in performance can
no longer be made (‘‘topped-out’’
measures);
• Factor 2. Measure does not align
with current clinical guidelines or
practice;
• Factor 3. Measure can be replaced
by a more broadly applicable measure
(across settings or populations) or a
measure that is more proximal in time
to desired patient outcomes for the
particular topic;
• Factor 4. Measure performance or
improvement does not result in better
patient outcomes;
• Factor 5. Measure can be replaced
by a measure that is more strongly
associated with desired patient
outcomes for the particular topic;
• Factor 6. Measure collection or
public reporting leads to negative
unintended consequences other than
patient harm; 402
• Factor 7. Measure is not feasible to
implement as specified; and
• Factor 8. The costs associated with
a measure outweigh the benefit of its
continued use in the program.403
We note that these removal factors are
considerations taken into account when
deciding whether or not to remove
measures, not firm requirements, and
that we will propose to remove
measures based on these factors on a
case-by-case basis. We continue to
believe that there may be circumstances
in which a measure that meets one or
more factors for removal should be
retained regardless because the benefits
of a measure can outweigh its
drawbacks. Our goal is to move the
program forward in the least
burdensome manner possible, while
402 When there is reason to believe that the
continued collection of a measure as it is currently
specified raises potential patient safety concerns,
CMS will take immediate action to remove a
measure from the program and not wait for the
annual rulemaking cycle. In such situations, we
would promptly retire such measures followed by
subsequent confirmation of the retirement in the
next IPPS rulemaking. When we do so, we will
notify hospitals and the public through the usual
hospital and QIO communication channels used for
the HAC Reduction Program, which include memo
and email notification and QualityNet website
articles and postings.
403 We refer readers to the Hospital IQR Program’s
removal factors discussions in the FY 2016 IPPS/
LTCH PPS final rule (80 FR 49641 through 49643)
and the FY 2019 IPPS/LTCH PPS final rule (83 FR
41540 through 41544) for additional details on the
removal factors and the rationale supporting them.
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maintaining a parsimonious set of
meaningful quality measures and
continuing to incentivize improvement
in the quality of care provided to
patients.
6. Administrative Policies for the HAC
Reduction Program for FY 2020 and
Subsequent Years
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41475 through 41485), we
discussed our previously finalized
administrative polices for the HAC
Reduction Program and adopted several
HAC Reduction Program-specific
policies for CDC NHSN HAI data
collection and validation.
a. Data Collection Beginning CY 2020
As finalized in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41475
through 41477), the HAC Reduction
Program will assume responsibility for
receiving CDC NHSN HAI data from the
CDC beginning with CY 2020 (January 1,
2020) submissions. All reporting
requirements, including, but not limited
to, quarterly frequency, CDC collection
system and deadlines, will remain
constant from the current Hospital IQR
Program requirements to aid continued
hospital reporting through clear and
consistent requirements. We refer
readers to the Hospital IQR Program’s
prior years’ rules for reference of these
requirements 404 and to QualityNet for
the current reporting requirements and
deadlines.
Hospitals will continue to submit data
through the CDC NHSN portal by
selecting ‘‘NHSN Reporting’’ after
signing in at: https://sams.cdc.gov. The
HAC Reduction Program will receive
the CDC NHSN data directly from the
CDC instead of through the Hospital IQR
Program as an intermediary. We note
that some hospitals may not have
locations that meet the CDC NHSN
criteria for CLABSI or CAUTI reporting,
and that some hospitals may perform so
few procedures requiring surveillance
under the Colon and Abdominal
Hysterectomy SSI measure that the data
may not be meaningful for public
reporting or sufficiently reliable to be
utilized for a program year. If a hospital
does not have adequate locations or
procedures, it should submit the
Measure Exception Form to the HAC
404 FY 2011 IPPS/LTCH PPS final rule (75 FR
50223 through 50224); FY 2012 IPPS/LTCH PPS
final rule (76 FR 51644 through 51645); FY 2013
IPPS/LTCH PPS final rule (77 FR 53539); FY 2014
IPPS/LTCH PPS final rule (78 FR 50821 through
50822); FY 2015 IPPS/LTCH PPS final rule (79 FR
50259 through 50262); FY 2016 IPPS/LTCH PPS
final rule (80 FR 49710); FY 2017 IPPS/LTCH PPS
final rule (81 FR 57173); FY 2018 IPPS/LTCH PPS
final rule (82 FR 38398); FY 2019 IPPS/LTCH PPS
final rule (83 FR 41607).
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b. Review and Correction of Claims Data
and Chart-Abstracted CDC NHSN HAI
Data Used in the HAC Reduction
Program for FY 2020 and Subsequent
Years
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For the review and correction of
claims data, hospitals are encouraged to
ensure that their claims are accurate
prior to the snapshot date, which is
taken after the 90-day period following
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the last date of discharge used in the
applicable period. In the FY 2014 IPPS/
LTCH PPS final rule (78 FR 50726
through 50727) and FY 2019 IPPS/LTCH
PPS final rule (83 FR 41477 through
41478), we detailed the process for the
review and correction of claims-based
data, and we refer readers to those rules
for more information on the process for
the review and correction of claimsbased data.
For the review and correction of
chart-abstracted CDC NHSN HAI
measures, we reiterate that hospitals can
submit, review, and correct any of the
chart-abstracted information for the full
41⁄2 months after the end of the
reporting quarter. We refer readers to
the FY 2014 IPPS/LTCH PPS final rule
(78 FR 50726), the FY 2018 IPPS/LTCH
PPS final rule (82 FR 38270 through
38271), and the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41477 through
41478) for more information.
In this proposed rule, we are not
proposing any change to our current
administrative policies regarding the
review and correction of claims data or
chart-abstracted CDC NHSN HAI data.
7. Proposed Change to Validation
Targeting Methodology and
Clarifications Regarding Validation
Processes
a. Summary of Existing Validation
Processes
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41478 through 41484), we
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adopted processes to validate the CDC
NHSN HAI measure data used in the
HAC Reduction Program because the
Hospital IQR Program finalized its
proposals to remove CDC NHSN HAI
measures from its program. We finalized
the HAC Reduction Program’s processes
to reflect, to the greatest extent possible,
the processes previously established
under the Hospital IQR Program. We
refer readers to the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41478 through
41484), for detailed information on the
following HAC Reduction Program
validation processes:
•
•
•
•
Measures Subject to Validation
Educational Review Process
Calculation of Confidence Intervals
Application of Validation Scoring and
Penalty
• Validation Period
• Data Accuracy and Completeness
Acknowledgement
We also refer readers to the
QualityNet website for more
information regarding measure
abstraction: https://www.qualitynet.org/
dcs/ContentServer?cid=%
201228776288808&
pagename=QnetPublic%2FPage%
2FQnetTier3&c=Page.
We would also like to remind
stakeholders of the finalized validation
periods for the HAC Reduction Program.
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EP03MY19.026
Reduction Program beginning on
January 1, 2020. The IPPS Quality
Reporting Programs Measure Exception
Form is located using the link located
on the QualityNet website under the
Hospitals Inpatient > Hospital Inpatient
Quality Reporting Program tab at:
https://www.qualitynet.org/dcs/
ContentServer?c=Page&pagename=
QnetPublic%2FPage%2FQnetTier2&
cid=1228760487021. As has been the
case under the Hospital IQR Program,
hospitals seeking an exception would
submit this form at least annually to be
considered.
We reiterate that no additional
collection mechanisms are required for
the CMS PSI 90 measure because it is a
claims-based measure calculated using
data submitted to CMS by hospitals for
Medicare payment, and therefore
imposes no additional administrative or
reporting requirements on participating
hospitals.
In this proposed rule, we are not
proposing any updates to our previously
finalized data collection processes.
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In this proposed rule, we are
proposing to change the number of
hospitals selected under the validation
targeting methodology and are
providing two clarifications to this
validation process.
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b. Proposed Change to the Previously
Finalized Validation Selection
Methodology
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41480), we finalized our
policy to select 200 additional hospitals
for targeted validation and five targeting
criteria.
While we are retaining the same
targeting criteria that we finalized last
year, we are proposing to change the
number of hospitals targeted from
exactly 200 hospitals to ‘‘up to 200
hospitals.’’ We believe this change is
necessary to provide flexibility in the
selection process for the HAC Reduction
Program so that we can implement a
targeting process for validation of chartabstracted measures in both the Hospital
IQR Program and HAC Reduction
Program in a manner that does not
unnecessarily subject hospitals to
selection just to meet the 200 number.
This proposed policy would allow us to
only select hospitals that meet the
targeting criteria and allow us to remove
hospitals that do not have the requisite
number of CDC NHSN HAI events from
the targeted validation pool. We note
that this will not affect the statistical
reliability of the validation sample
because statistical methodologies are
only applied to data within hospitals for
validation.
c. Clarifications to the Validation
Selection Methodology
As discussed in section IV.I.7.a. of the
preamble of this proposed rule, in the
FY 2019 IPPS/LTCH PPS final rule (83
FR 41478 through 41484), we finalized
several proposals to implement
validation of the CDC NHSN HAI
measures in the HAC Reduction
Program, in as similar a manner to the
validation process used by the Hospital
IQR Program as prudent. In this
proposed rule, in addition to proposing
to change the number of targeted
hospitals from ‘‘200’’ to ‘‘up to 200’’, we
also are clarifying our selection process
for both the random and targeted sample
of subsection (d) hospitals subject to
HAC Reduction Program validation.
During the comment period for the FY
2019 IPPS/LTCH PPS proposed rule (83
FR 41479), some commenters expressed
concern that hospitals could now be
selected for validation under both the
405 The CMS Clinical Data Abstraction Center
(CDAC) performs the validation.
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Hospital IQR Program and the HAC
Reduction Program during the same
reporting period, thereby increasing the
burden to selected hospitals. As we
stated last year, one of the goals of our
deduplication efforts has been and
continues to be a reduction in provider
burden. To that end and to allay
stakeholder concerns, we are clarifying
the provider selection process and
reassuring providers that we will work
to reduce validation burden to the
greatest extent possible.
We are clarifying that the HAC
Reduction Program, in conjunction with
the Hospital IQR Program, will use an
aggregated random sample selection
methodology through which the
validation team would select one pool
of 400 subsection (d) hospitals for
validation of chart-abstracted measures
in both the Hospital IQR Program and
HAC Reduction Program. The pool of
400 hospitals will be selected randomly
and validated for both the CDC NHSN
HAI measures for the HAC Reduction
Program and the Hospital IQR Program’s
chart-abstracted measures. The HAC
Reduction Program will include all
subsection (d) hospitals, whereas the
Hospital IQR Program will remove any
subsection (d) hospital without an
active notice of participation in the
Hospital IQR Program (83 FR 41479).
This approach will ensure that the
Programs’ validation samples are
selected at random and would avoid any
perception associated with the selection
of one program’s sample before the
other program’s sample. We will begin
using this selection process with Q3 CY
2020 infectious events, which is when
the HAC Reduction Program is
scheduled to begin its validation
process. We refer readers to section
VIII.A.11. of the preamble of this
proposed rule for more information on
the Hospital IQR Program’s validation
policies.
After the random selection process, an
additional targeted 406 aggregated
sample of up to 200 hospitals will be
selected for the HAC Reduction and
Hospital IQR Programs’ validation
processes using existing targeting
criteria.
We also note that any nonsubstantive
updates to the specifications for
validation of chart-abstracted measures
will be provided on the QualityNet
website at: https://www.qualitynet.org/
dcs/ContentServer?cid=%
201228776288808&pagename=
QnetPublic%2FPage%
406 We refer readers to the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41480), where we detailed the
criteria for selecting additional hospitals for
targeted validation.
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2FQnetTier3&c=Page. Further, any
substantive changes, such as the
measures validated, changes to passing
confidence intervals, and the number of
providers selected, will be proposed
through notice-and-comment
rulemaking.
We believe this clarification of our
approach to the random selection of one
pool of 400 hospitals and our proposal
to select up to 200 targeted hospitals
will avoid increasing provider burden
because the total number of hospitals
selected for validation is not increasing,
nor are the measures that were subject
to validation for the selected hospitals
prior to deduplication.
Moreover, we do not anticipate any
increased burden to hospitals because
we are not increasing the number of
cases selected for validation. For HAC
Reduction Program validation, we will
continue to select up to 40 cases
annually from each hospital selected for
validation (four CAUTI, four CLABSI,
and two Colon and Abdominal
Hysterectomy SSI per quarter; or four
CDI, four MRSA, and two Colon and
Abdominal Hysterectomy SSI per
quarter). As we stated in the FY 2019
IPPS/LTCH PPS rulemaking, we intend
this process to be as efficient as possible
and we believe this clarification and our
proposal help meet that expectation.
d. Proposed Clarification to Validation
Filtering Methodology
As we discussed for the Hospital IQR
Program in the FY 2013 IPPS/LTCH PPS
final rule (77 FR 53542), CMS has the
option to target the sample selection to
cases, referred to as candidate events,
that are more likely to be true CDC
NHSN HAIs events, or those that meet
CDC NHSN HAI criteria. To better target
true events for CDC NHSN HAI
validation, we are proposing to clarify
our approach for selecting CLABSI and
CAUTI cases for chart-abstracted
validation when CDC NHSN HAI
validation that is currently performed
under the Hospital IQR Program
migrates to the HAC Reduction Program,
beginning with the reporting of Q3 CY
2020 infections events. To date, our
experience has shown us that many
candidate cases selected for validation
have all their positive cultures collected
during the first or second day following
admission and, as such, would be
considered community onset events for
CLABSI and CAUTI.407 Therefore, we
407 We refer readers to CDC guidance on this issue
and the ‘‘CLABSI Tool Display’’ on the CDC website
and on QualityNet, located at: https://www.cdc.gov/
nhsn/PDFs/pscManual/2PSC_IdentifyingHAIs_
NHSNcurrent.pdf and https://www.qualitynet.org/
dcs/ContentServer?c=Page&pagename=QnetPublic
%2FPage%2FQnetTier3&cid=1140537256076.
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are proposing to clarify that we will
eliminate these candidate CLABSI and
CAUTI cases from the CDC NHSN HAI
selection process prior to random case
selection via a filtering method. The
filtering method would eliminate any
cases from the validation pool for which
all positive blood or urine cultures were
collected during the first or second day
following admission. We estimate that,
by implementing this proposed filtering
method, the number of true events
validated for CLABSI and CAUTI will
increase without increasing the sample
size, which will help us better
understand the overreporting and
underreporting of such events. This
proposed approach is also in support of
the recommendations provided by a
recent HHS Office of Inspector General
(OIG) report, which recommended that
we make better use of analytics to
ensure the integrity of hospital-reported
quality data and the resulting payment
adjustments by identifying potential
gaming or other inaccurate reporting of
quality data.408
A key rationale for this proposed
approach is that we have found that the
yield rate for CLABSI and CAUTI,
which is defined as the ratio of the
number of true CDC NHSN HAI events
to the total sample size of candidate
events, is low (13 percent for CLABSI
and 9 percent for CAUTI, based on the
FY 2017 validation sample). After
applying the proposed filtering method
to the FY 2017 sample, we estimated
that the yield rate increased from 13
percent to 24 percent for CLABSI and
from 9 percent to 17 percent for CAUTI.
This increase will help CMS better
understand the number of overreporting
and underreporting of such events. A
higher yield rate improves the power of
the validation methodology, meaning
that CMS could potentially select fewer
cases for validation while still
increasing the predictive power of the
validation methodology. A potential
reduction in the amount of cases
selected for validation would decrease
burden for hospitals.
In addition, because hospitals may
now have fewer than four events each
of CLABSI and CAUTI that meet
validation filtering requirements, we
expect a reduction in burden from some
hospitals being required to submit three
or fewer medical records as part of the
validation process. We anticipate this
filtering method to allow for both a
richer data sample and reduced
provider burden.
We also note that the agreement rates
between hospital-reported MRSA and
CDI events compared to events
identified as infections by a trained
CMS abstractor using a standardized
protocol (77 FR 53548) have been lower
than the agreement rates for CLABSI
and CAUTI. Unlike the true event rate
issue for CLABSI and CAUTI, we have
determined that the lower overall
agreement rates for MRSA and CDI is
due to the overreporting of such events.
This overreporting appears to be caused
by missing or incomplete laboratory
record information submitted by
hospitals on the validation templates.
As a result, we will provide additional
training to hospitals regarding template
completion and medical record
submission with the hope of increasing
19445
hospital validation performance on
MRSA and CDI measures.
Colon and Abdominal Hysterectomy
SSI has a similarly low yield rate, and
we have begun testing a filtering option
to apply to Colon and Abdominal
Hysterectomy SSI cases to increase the
yield rate for that measure as well. We
anticipate providing further guidance
for Colon and Abdominal Hysterectomy
SSI in future rulemaking cycles. In this
proposed rule, we are not proposing any
changes to the validation of Colon and
Abdominal Hysterectomy SSI events.
8. HAC Reduction Program Scoring
Methodology
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41485 through 41489), we
finalized our proposal to remove
domains from the HAC Reduction
Program and simply assign equal weight
to each measure for which a hospital
has a measure score. As a result of this
policy, we calculate each hospital’s
Total HAC Score as the equally
weighted average of the hospital’s
measure scores. The table below
displays the weights applied to each
measure under this approach. All other
aspects of the HAC Reduction Program
scoring methodology remained the
same, including the calculation of
measure scores as Winsorized z-scores
(FY 2017 IPPS/LTCH PPS final rule 81
FR 57022 through 57025), the
determination of the 75th percentile
Total HAC Score (83 FR 41480), and the
determination of the worst-performing
quartile (83 FR 41481 through 41482). In
this proposed rule, we are not proposing
any changes to this methodology.
WEIGHT APPLIED TO EACH MEASURE BY NUMBER OF MEASURES WITH MEASURE SCORE FOR HOSPITALS WITH AND
WITHOUT A CMS PSI 90 SCORE UNDER EQUAL MEASURE WEIGHTS APPROACH
Weight applied to:
Number of CDC NHSN HAI measures with measure score
CMS PSI 90
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0 ..................................................................................................
1 ..................................................................................................
2 ..................................................................................................
3 ..................................................................................................
4 ..................................................................................................
5 ..................................................................................................
Any number .................................................................................
9. Scoring Calculations Review and
Correction Period
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41484), we renamed the
annual 30-day review and correction
period to the ‘‘Scoring Calculations
408 April 2017 OIG report titled ‘‘CMS Validated
Hospital Inpatient Quality Reporting Program Data,
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100.0
50.0
33.3
25.0
20.0
16.7
N/A
Each CDC NHSN HAI measure
N/A.
50.0.
33.3.
25.0.
20.0.
16.7.
100.0 (equally divided among each CDC NHSN HAI measure
with measure score).
Review and Correction Period.’’ The
purpose of the annual 30-day review
and corrections period is to allow
hospitals to review the calculation of
their HAC Reduction Program scores.
The HAC Reduction Program will
continue to provide hospitals with
annual confidential hospital-specific
reports and discharge level information
used in the calculation of their Total
HAC Scores via the QualityNet Secure
But Should Use Additional Tools to Identify
Gaming.’’ Available at: https://www.oig.hhs.gov/oei/
reports/oei-01–15–00320.asp.
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Portal. Hospitals must register at:
https://www.qualitynet.org/dcs/
ContentServer?c=Page&pagename=
QnetPublic%2FPage
%2FQnetTier2&cid=1138115992011 for
a QualityNet Secure Portal account in
order to access their annual hospitalspecific reports.
As we stated in the FY 2014 IPPS/
LTCH PPS final rule (78 FR 50725
through 50728), hospitals have a period
of 30 days after the information is
posted to the QualityNet Secure Portal
to review their HAC Reduction Program
scores, submit questions about the
calculation of their results, and request
corrections for their HAC Reduction
Program scores prior to public reporting.
Hospitals may use the 30-day Scoring
Calculations Review and Correction
Period to request corrections to the
following information prior to public
reporting:
• CMS PSI 90 measure score;
• CMS PSI 90 measure result and
Winsorized measure result;
• CLABSI measure score;
• CAUTI measure score;
• Colon and Abdominal
Hysterectomy SSI measure score;
• MRSA Bacteremia measure score;
• CDI measure score; and
• Total HAC Score.
As we clarified in the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38270
through 38271), this 30-day period is
not an opportunity for hospitals to
submit additional corrections related to
the underlying claims data for the CMS
PSI 90, or to add new claims to the data
extract used to calculate the results.
Hospitals have an opportunity to review
and correct claims and CDC NHSN HAI
data used in the HAC Reduction
Program as detailed in the FY 2014
IPPS/LTCH PPS final rule (78 FR 50726
through 50727), the FY 2018 IPPS/LTCH
PPS final rule (82 FR 38270 through
38271), and the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41477 through
41478).
In this proposed rule, we are not
proposing any changes our policies
regarding the scoring calculations
review and correction period.
10. Proposed Applicable Period for FY
2022 Program Year
In the FY 2018 IPPS/LTCH PPS final
rule, we finalized the applicable period
for the CMS Patient Safety and Adverse
Events Composite (CMS PSI 90) as the
24-month period from July 1, 2016
through June 30, 2018. For the CDC
NHSN HAI measures (CLABSI, CAUTI,
Colon and Abdominal Hysterectomy
SSI, MRSA Bacteremia, and CDI), we
finalized the use of data from CYs 2017
and 2018, that is, January 1, 2017
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through December 31, 2018, for the FY
2020 program.
Consistent with the definition
specified at § 412.170, we are proposing
to adopt the applicable period for the
FY 2022 HAC Reduction Program for
the CMS PSI 90 as the 24-month period
from July 1, 2018 through June 30, 2020,
and the applicable period for CDC
NHSN HAI measures as the 24-month
period from January 1, 2019 through
December 31, 2020.
11. Limitation on Administrative and
Judicial Review
Section 1886(p)(7) of the Act, as
codified at 42 CFR 412.172(g), provides
that there will be no administrative or
judicial review under section 1869 of
the Act, under section 1878 of the Act,
or otherwise for any of the following:
• The criteria describing an
applicable hospital in paragraph
1886(p)(2)(A) of the Act;
• The specification of hospital
acquired conditions under paragraph
1886(p)(3) of the Act;
• The specification of the applicable
period under paragraph 1886(p)(4) of
the Act;
• The provision of reports to
applicable hospitals under paragraph
1886(p)(5) of the Act; and
• The information made available to
the public under paragraph 1886(p)(6)
of the Act.
For additional information, we refer
readers to FY 2014 IPPS/LTCH PPS final
rule (78 FR 50729) and FY 2015 IPPS/
LTCH PPS final rule (79 FR 50100).
12. Proposed Regulatory Updates (42
CFR 412.172)
We are proposing to update 42 CFR
412.172(f)(2) and (4) to reflect current
policies and align across our quality
programs. We are proposing these
updates to remove references to
domains, which were removed from the
scoring methodology beginning with the
FY 2020 calculation. We refer readers to
the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41485 through 41489) for a
discussion of the removal of domains
from the HAC Reduction Program and
more information about the equal
weighting scoring methodology.
J. Payments for Indirect and Direct
Graduate Medical Education Costs
(§§ 412.105 and 413.75 Through 413.83)
1. Background
Section 1886(h) of the Act, as added
by section 9202 of the Consolidated
Omnibus Budget Reconciliation Act
(COBRA) of 1985 (Pub. L. 99–272),
establishes a methodology for
determining Medicare payments to
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hospitals for the direct costs of
approved graduate medical education
(GME) programs. Section 1886(h)(2) of
the Act sets forth a methodology for the
determination of a hospital-specific
base-period per resident amount (PRA)
that is calculated by dividing a
hospital’s allowable direct costs of GME
in a base period by its number of fulltime equivalent (FTE) residents in the
base period. The base period is, for most
hospitals, the hospital’s cost reporting
period beginning in FY 1984 (that is,
October 1, 1983 through September 30,
1984). The base year PRA is updated
annually for inflation. In general,
Medicare direct GME payments are
calculated by multiplying the hospital’s
updated PRA by the weighted number
of FTE residents working in all areas of
the hospital complex (and at
nonprovider sites, when applicable),
and the hospital’s Medicare share of
total inpatient days. The provisions of
section 1886(h) of the Act are
implemented in regulations at 42 CFR
413.75 through 413.83.
Section 1886(d)(5)(B) of the Act
provides for a payment adjustment
known as the indirect medical
education (IME) adjustment under the
IPPS for hospitals that have residents in
an approved GME program, in order to
account for the higher indirect patient
care costs of teaching hospitals relative
to nonteaching hospitals. The regulation
regarding the calculation of this
additional payment is located at 42 CFR
412.105. The hospital’s IME adjustment
applied to the MS–DRG payments is
calculated based on the ratio of the
hospital’s number of FTE residents
training in either the inpatient or
outpatient departments of the IPPS
hospital to the number of inpatient
hospital beds.
The calculation of both direct GME
and IME payments is affected by the
number of FTE residents that a hospital
is allowed to count. Generally, the
greater the number of FTE residents a
hospital counts, the greater the amount
of Medicare direct GME and IME
payments the hospital will receive.
Congress, through the Balanced Budget
Act of 1997 (Pub. L. 105–33),
established a limit (that is, a cap) on the
number of allopathic and osteopathic
residents that a hospital may include in
its FTE resident count for direct GME
and IME payment purposes. Under
section 1886(h)(4)(F) of the Act, for cost
reporting periods beginning on or after
October 1, 1997, a hospital’s
unweighted FTE count of residents for
purposes of direct GME may not exceed
the hospital’s unweighted FTE count for
direct GME in its most recent cost
reporting period ending on or before
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December 31, 1996. Under section
1886(d)(5)(B)(v) of the Act, a similar
limit based on the FTE count for IME
during that cost reporting period is
applied effective for discharges
occurring on or after October 1, 1997.
Dental and podiatric residents are not
included in this statutorily mandated
cap.
Section 5504 of the Affordable Care
Act (Pub. L. 111–148) made a number of
statutory changes relating to the
determination of a hospital’s FTE
resident count for direct GME and IME
payment purposes and the manner in
which FTE resident limits are calculated
and applied to hospitals under certain
circumstances. Regulations
implementing these changes are
discussed in the November 24, 2010
final rule (75 FR 72133) and the FY
2013 IPPS/LTCH PPS final rule (77 FR
53416).
2. Proposed Policy Changes Related to
Critical Access Hospitals (CAHs) as
Nonproviders for Direct GME and IME
Payment Purposes
Under the regulation governing direct
GME payments to nonprovider sites at
42 CFR 413.78(g) (and the
corresponding IME regulation at 42 CFR
412.105(f)(1)(ii)(E)), a hospital can
include residents training in a
nonprovider setting in its FTE count if
the hospital incurs the residents’
salaries and fringe benefits while the
residents are training at that site, in
addition to other requirements. Under
current policy, critical access hospitals
(CAHs) that train residents in approved
residency training programs are paid
101 percent of the reasonable costs for
any costs they incur associated with
training residents in approved
programs, consistent with the CAH
payment regulations at 42 CFR 413.70.
We have heard concerns related to CMS’
current policy that CAHs are not
considered nonprovider sites for
purposes of direct GME and IME
payments, including the concern that
CMS’ current policy is creating barriers
to training residents in rural areas,
thereby also hindering efforts to
increase the practice of physicians in
rural areas. We previously heard
concerns that not considering CAHs to
be nonprovider sites would reduce
training in rural and underserved areas
and affect primary care and communitybased residency training programs, such
as family medicine, which train in those
areas (78 FR 50737). Stakeholders also
raised concerns that not considering
CAHs to be nonprovider sites would
hinder collaborative efforts between
hospitals and CAHs to recruit and retain
physicians in rural areas (78 FR 50737)
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and that some CAHs may be too small
to support residency training programs
or may not be in a financial position to
incur the costs associated with
residency training programs (78 FR
50738). In light of these concerns, we
have reexamined the statutory language
associated with this policy, issues raised
in prior rulemaking related to this
policy, and the intent of the changes
made by section 5504 of the Affordable
Care Act. As a result, we are proposing
to modify our policy, such that a
hospital could include residents
training in a CAH in its FTE count as
long as the nonprovider setting
requirements at 42 CFR 413.78(g) are
met. Below we discuss our proposal for
this policy change.
We adopted our current GME
payment policy regarding nonprovider
settings and CAHs in the FY 2014 IPPS/
LTCH PPS final rule (78 FR 50734
through 50739). Prior to this time, we
allowed a CAH the option to either
function as a nonhospital site or to incur
costs for training residents in an
approved program and be paid 101
percent of the reasonable costs for any
costs associated with training residents
in an approved program. In part, our
policy was driven by how we have
regarded nonhospital settings and the
unique nature of CAHs. Although we
generally had used the term
‘‘nonhospital’’ to describe the training
sites in which time spent by residents
training outside of the hospital setting
may be counted for both direct GME and
IME payment purposes, we
acknowledged in the FY 2014 IPPS/
LTCH PPS final rule that we sometimes
used the terms ‘‘nonhospital’’ and
‘‘nonprovider’’ interchangeably (78 FR
50735). We considered that a CAH is a
unique facility that, by definition, is not
always a hospital and noted that,
because a CAH is generally not
considered a ‘‘hospital’’ under section
1861(e) of the Act, a CAH could be
treated as a nonhospital site for GME
purposes (78 FR 50735).
Section 5504(a) of the Affordable Care
Act amended sections
1886(d)(5)(B)(iv)(II) and 1886(h)(4)(E) of
the Act, on a prospective basis, to
further address the setting in which
time spent by residents training outside
of the hospital setting may be counted
for both direct GME and IME payment
purposes. In particular, the statute was
amended to reference a ‘‘nonprovider.’’
As a result of this legislative change and
because a CAH is defined as a ‘‘provider
of services’’ under section 1861(u) of the
Act, we finalized our current policy,
effective for portions of cost reporting
periods occurring on or after October 1,
2013.
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19447
Section 5504 of the Affordable Care
Act made several changes to the
requirements a hospital must meet in
order to include residents training in a
nonprovider setting in its FTE count. As
we noted in prior rulemaking, these
changes include the requirement that a
hospital need only incur residents’
salaries and fringe benefits in order to
count the residents as opposed to
incurring ‘‘all or substantially all’’ of the
costs of the training at the nonprovider
site and the ability for more than one
hospital to count FTE residents training
at a single nonprovider site (75 FR
72136 through 72139). We believe these
changes were intended to promote the
training of residents at sites outside of
the IPPS hospital setting, many of which
provide access to care for patients in
rural and underserved areas.
Furthermore, we reassessed and agree
with prior comments we have received
stating that the intent of section 5504
was to reduce the administrative burden
associated with counting residency
training time in settings engaged in
patient care outside of the IPPS hospital
setting (78 FR 50736). Therefore, we
believe that, to the extent possible, in
accordance with current statutory
language, it is important to support
residency training in rural and
underserved areas, including residency
training at CAHs.
While a CAH is considered a
‘‘provider of services’’ under section
1861(u) of the Act, we acknowledge that
the term ‘‘nonprovider’’ is not explicitly
defined in the statute. Furthermore,
section 1861(e) of the Act, which states
in part that the term ‘‘hospital’’ does not
include, unless the context otherwise
requires, a critical access hospital (as
defined in section 1861(mm)(1) of the
Act), underscores the sometimes
ambiguous status of CAHs. We believe
that the lack of both an explicit statutory
definition of ‘‘nonprovider’’ and a
definitive determination as to whether a
CAH is considered a hospital along with
the fact that a CAH is a facility primarily
engaged in patient care (we refer readers
to section 1886(h)(5)(K) of the Act
which states that the term ‘‘nonprovider
setting that is primarily engaged in
furnishing patient care’’ means a
nonprovider setting in which the
primary activity is the care and
treatment of patients, as defined by the
Secretary), provides flexibility within
the current statutory language to
consider a CAH as a ‘‘nonprovider’’
setting for direct GME and IME payment
purposes.
Therefore, in order to support the
training of residents in rural and
underserved areas, we are proposing
that, effective with portions of cost
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reporting periods beginning October 1,
2019, a hospital may include FTE
residents training at a CAH in its FTE
count as long as it meets the
nonprovider setting requirements
currently included at 42 CFR
412.105(f)(1)(ii)(E) and 413.78(g). We are
not proposing to change our policy with
respect to CAHs incurring the costs of
training residents. That is, a CAH may
continue to incur the costs of training
residents in an approved residency
training program(s) and receive payment
based on 101 percent of the reasonable
costs for these training costs. If this
proposal is finalized, CMS will work
closely with HRSA and the Federal
Office of Rural Health Policy to
communicate the increased regulatory
flexibility to CAHs as well as existing
residency programs and the options it
affords for increasing rural residency
training. We are seeking public
comments on this proposed policy
change.
3. Notice of Closure of Teaching
Hospital and Opportunity To Apply for
Available Slots
a. Background
Section 5506 of the Affordable Care
Act (Pub. L. 111–148), as amended by
the Health Care and Education
Reconciliation Act of 2010 (Pub. L. 111–
152) (collectively, the ‘‘Affordable Care
Act’’), authorizes the Secretary to
redistribute residency slots after a
hospital that trained residents in an
approved medical residency program
closes. Specifically, section 5506 of the
Affordable Care Act amended the Act by
adding subsection (vi) to section
1886(h)(4)(H) of the Act and modifying
language at section 1886(d)(5)(B)(v) of
the Act, to instruct the Secretary to
establish a process to increase the FTE
resident caps for other hospitals based
upon the FTE resident caps in teaching
hospitals that closed ‘‘on or after a date
that is 2 years before the date of
enactment’’ (that is, March 23, 2008). In
the CY 2011 Outpatient Prospective
Payment System (OPPS) final rule with
comment period (75 FR 72212), we
established regulations at 42 CFR
413.79(o) and an application process for
qualifying hospitals to apply to CMS to
receive direct GME and IME FTE
resident cap slots from the hospital that
closed. We made certain modifications
to those regulations in the FY 2013
IPPS/LTCH PPS final rule (77 FR
53434), and we made changes to the
section 5506 application process in the
CCN
Provider name
City and state
360052 ............
Good Samaritan Hospital.
Dayton, OH ....
CBSA
code
19380
b. Notice of Closure of Good Samaritan
Hospital Located in Dayton, OH and the
Application Process—Round 14
CMS has learned of the closure of
Good Samaritan Hospital, located in
Dayton, OH (CCN 360052). Accordingly,
this notice serves to notify the public of
the closure of this teaching hospital and
initiate another round of the section
5506 application and selection process.
This round will be the 14th round
(‘‘Round 14’’) of the application and
selection process. The table below
contains the identifying information and
IME and direct GME FTE resident caps
for the closed teaching hospital, which
is part of the Round 14 application
process under section 5506 of the
Affordable Care Act.
IME FTE resident cap
(including +/¥MMA sec.
422 1)
Terminating
date
July 23, 2018
FY 2015 IPPS/LTCH PPS final rule (79
FR 50122 through 50134). The
procedures we established apply both to
teaching hospitals that closed on or after
March 23, 2008, and on or before
August 3, 2010, and to teaching
hospitals that close after August 3, 2010.
55.60 + 7.00 sec. 422 increase = 62.60.2
Direct GME FTE resident cap
(including +/¥MMA sec.
422
1)
58.89 + 3.14 sec. 422 increase = 62.03.3
1 Section
422 of the MMA, Public Law 108–173, redistributed unused IME and direct GME residency slots effective July 1, 2005.
Samaritan Hospital’s 1996 IME FTE resident cap is 55.60. Under section 422 of the MMA, the hospital received an increase of 7.00 to
its IME FTE resident cap: 55.60 + 7.00 = 62.60.
3 Good Samaritan Hospital’s 1996 direct GME FTE resident cap is 58.89. Under section 422 of the MMA, the hospital received an increase of
3.14 to its direct GME FTE resident cap: 58.89 + 3.14 = 62.03.
2 Good
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c. Application Process for Available
Resident Slots
The application period for hospitals
to apply for slots under section 5506 of
the Affordable Care Act is 90 days
following notice to the public of a
hospital closure (77 FR 53436).
Therefore, hospitals that wish to apply
for and receive slots from the FTE
resident caps of closed Good Samaritan
Hospital, located in Dayton, OH, must
submit applications (Section 5506
Application Form posted on Direct
Graduate Medical Education (DGME)
website as noted at the end of this
section) directly to the CMS Central
Office no later than July 22, 2019. The
mailing address for the CMS Central
Office is included on the application
form. Applications must be received by
the CMS Central Office by the July 22,
2019 deadline date. It is not sufficient
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for applications to be postmarked by
this date.
After an applying hospital sends a
hard copy of a section 5506 slot
application to the CMS Central Office
mailing address, the hospital is
encouraged to notify the CMS Central
Office of the mailed application by
sending an email to:
ACA5506application@cms.hhs.gov. In
the email, the hospital should state: ‘‘On
behalf of [insert hospital name and
Medicare CCN#], I, [insert your name],
am sending this email to notify CMS
that I have mailed to CMS a hard copy
of a section 5506 application under
Round 14 due to the closure of Good
Samaritan Hospital. If you have any
questions, please contact me at [insert
phone number] or [insert your email
address].’’ An applying hospital should
not attach an electronic copy of the
application to the email. The email will
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only serve to notify the CMS Central
Office to expect a hard copy application
that is being mailed to the CMS Central
Office.
We have not established a deadline by
when CMS will issue the final
determinations to hospitals that receive
slots under section 5506 of the
Affordable Care Act. However, we
review all applications received by the
deadline and notify applicants of our
determinations as soon as possible.
We refer readers to the CMS Direct
Graduate Medical Education (DGME)
website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
DGME.html to download a copy of the
section 5506 application form (Section
5506 Application Form) that hospitals
must use to apply for slots under section
5506 of the Affordable Care Act.
Hospitals should also access this same
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website for a list of additional section
5506 guidelines for the policy and
procedures for applying for slots, and
the redistribution of the slots under
sections 1886(h)(4)(H)(vi) and
1886(d)(5)(B)(v) of the Act.
K. Rural Community Hospital
Demonstration Program
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1. Introduction
The Rural Community Hospital
Demonstration was originally
authorized for a 5-year period by section
410A of the Medicare Prescription Drug,
Improvement, and Modernization Act of
2003 (MMA) (Pub. L. 108–173), and
extended for another 5-year period by
sections 3123 and 10313 of the
Affordable Care Act (Pub. L. 111–148).
Subsequently, section 15003 of the 21st
Century Cures Act (Pub. L. 114–255),
enacted December 13, 2016, amended
section 410A of Public Law 108–173 to
require a 10-year extension period (in
place of the 5-year extension required
by the Affordable Care Act, as further
discussed below). Section 15003 also
required that, no later than 120 days
after enactment of Public Law 114–255,
the Secretary had to issue a solicitation
for applications to select additional
hospitals to participate in the
demonstration program for the second 5
years of the 10-year extension period, so
long as the maximum number of 30
hospitals stipulated by Public Law 114–
148 was not exceeded. In this proposed
rule, we are providing a description of
the provisions of section 15003 of
Public Law 114–255, our final policies
for implementation, and the finalized
budget neutrality methodology for the
extension period authorized by section
15003 of Public Law 114–255. We are
including a discussion of the budget
neutrality methodology used in
previous final rules for periods prior to
the extension period, as well as for this
upcoming fiscal year. In addition, we
will provide an update on the
reconciliation of actual and estimated
costs of the demonstration for FYs 2014
and 2015.
2. Background
Section 410A(a) of Public Law 108–
173 required the Secretary to establish
a demonstration program to test the
feasibility and advisability of
establishing rural community hospitals
to furnish covered inpatient hospital
services to Medicare beneficiaries. The
demonstration pays rural community
hospitals under a reasonable cost-based
methodology for Medicare payment
purposes for covered inpatient hospital
services furnished to Medicare
beneficiaries. A rural community
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hospital, as defined in section
410A(f)(1), is a hospital that—
• Is located in a rural area (as defined
in section 1886(d)(2)(D) of the Act) or is
treated as being located in a rural area
under section 1886(d)(8)(E) of the Act;
• Has fewer than 51 beds (excluding
beds in a distinct part psychiatric or
rehabilitation unit) as reported in its
most recent cost report;
• Provides 24-hour emergency care
services; and
• Is not designated or eligible for
designation as a CAH under section
1820 of the Act.
Section 410A of Public Law 108–173
required a 5-year period of performance.
Subsequently, sections 3123 and 10313
of Public Law 111–148 required the
Secretary to conduct the demonstration
program for an additional 5-year period,
to begin on the date immediately
following the last day of the initial 5year period. Public Law 111–148
required the Secretary to provide for the
continued participation of rural
community hospitals in the
demonstration program during the 5year extension period, in the case of a
rural community hospital participating
in the demonstration program as of the
last day of the initial 5-year period,
unless the hospital made an election to
discontinue participation. In addition,
Public Law 111–148 limited the number
of hospitals participating to no more
than 30. We refer readers to previous
final rules for a summary of the
selection and participation of these
hospitals. Starting from December 2014
and extending through December 2016,
the 21 hospitals that were still
participating in the demonstration
ended their scheduled periods of
performance on a rolling basis,
respectively, according to the end dates
of the hospitals’ cost report periods.
3. Provisions of the 21st Century Cures
Act (Pub. L. 114–255) and Finalized
Policies for Implementation
a. Statutory Provisions
As stated earlier, section 15003 of
Public Law 114–255 further amended
section 410A of Public Law 108–173 to
require the Secretary to conduct the
Rural Community Hospital
Demonstration for a 10-year extension
period (in place of the 5-year extension
period required by Pub. L. 111–148),
beginning on the date immediately
following the last day of the initial 5year period under section 410A(a)(5) of
Public Law 108–173. Thus, the
Secretary is required to conduct the
demonstration for an additional 5-year
period. Specifically, section 15003 of
Public Law 114–255 amended section
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410A(g)(4) of Public Law 108–173 to
require that, for hospitals participating
in the demonstration as of the last day
of the initial 5-year period, the Secretary
shall provide for continued
participation of such rural community
hospitals in the demonstration during
the 10-year extension period, unless the
hospital makes an election, in such form
and manner as the Secretary may
specify, to discontinue participation.
Furthermore, section 15003 of Public
Law 114–255 added subsection (g)(5) to
section 410A of Public Law 108–173 to
require that, during the second 5 years
of the 10-year extension period, the
Secretary shall apply the provisions of
section 410A(g)(4) of Public Law 108–
173 to rural community hospitals that
are not described in subsection (g)(4)
but that were participating in the
demonstration as of December 30, 2014,
in a similar manner as such provisions
apply to hospitals described in
subsection (g)(4).
In addition, section 15003 of Public
Law 114–255 amended section 410A of
Public Law 108–173 to add paragraph
(g)(6)(A) which requires that the
Secretary issue a solicitation for
applications no later than 120 days after
enactment of paragraph (g)(6) to select
additional rural community hospitals
located in any State to participate in the
demonstration program for the second 5
years of the 10-year extension period,
without exceeding the maximum
number of hospitals (that is, 30)
permitted under section 410A(g)(3) of
Pub. L. 108–173 (as amended by Public
Law 111–148). Section 410A(g)(6)(B)
provides that, in determining which
hospitals submitting an application
pursuant to this solicitation are to be
selected for participation in the
demonstration, the Secretary must give
priority to rural community hospitals
located in one of the 20 States with the
lowest population densities, as
determined using the 2015 Statistical
Abstract of the United States. The
Secretary may also consider closures of
hospitals located in rural areas in the
State in which an applicant hospital is
located during the 5-year period
immediately preceding the date of
enactment of Public Law 114–255
(December 13, 2016), as well as the
population density of the State in which
the rural community hospital is located.
(b) Terms of Participation for the
Extension Period Authorized by Public
Law 114–255
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38280), we finalized our
policy with regard to the effective date
for the application of the reasonable
cost-based payment methodology under
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the demonstration for those previously
participating hospitals choosing to
participate in the second 5-year
extension period. According to our
finalized policy, each previously
participating hospital began the second
5 years of the 10-year extension period
and payment for services provided
under the cost-based payment
methodology under section 410A of
Public Law 108–173 (as amended by
section 15003 of Pub. L. 114–255) on the
date immediately after the period of
performance ended under the first 5year extension period.
Seventeen of the 21 hospitals that
completed their periods of participation
under the extension period authorized
by Public Law 111–148 elected to
continue in the second 5-year extension
period for the full second 5-year
extension period. (Of the four hospitals
that did not elect to continue
participating, three hospitals converted
to CAH status during the time period of
the second 5-year extension period.)
Therefore, the 5-year period of
performance for each of these hospitals
started on dates beginning May 1, 2015
and extending through January 1, 2017.
On November 20, 2017, we announced
that, as a result of the solicitation issued
earlier in the year responding to the
requirement in Public Law 114–255, 13
additional hospitals were selected to
participate in the demonstration in
addition to these 17 hospitals
continuing participation from the first 5year extension period. (Hereafter, these
two groups are referred to as ‘‘newly
participating’’ and ‘‘previously
participating’’ hospitals, respectively.)
In addition, we announced that each of
these newly participating hospitals
would begin its 5-year period of
participation effective with the start of
the first cost reporting period on or after
October 1, 2017. One of the hospitals
selected from the solicitation in 2017
withdrew from the demonstration
program, prior to beginning
participation in the demonstration on
July 1, 2018. Therefore, 29 hospitals
participated in the demonstration in
FYs 2018 and 2019, and are scheduled
to participate in FY 2020.
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4. Budget Neutrality
a. Statutory Budget Neutrality
Requirement
Section 410A(c)(2) of Public Law 108–
173 requires that, in conducting the
demonstration program under this
section, the Secretary shall ensure that
the aggregate payments made by the
Secretary do not exceed the amount
which the Secretary would have paid if
the demonstration program under this
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section was not implemented. This
requirement is commonly referred to as
‘‘budget neutrality.’’ Generally, when
we implement a demonstration program
on a budget neutral basis, the
demonstration program is budget
neutral on its own terms; in other
words, the aggregate payments to the
participating hospitals do not exceed
the amount that would be paid to those
same hospitals in the absence of the
demonstration program. Typically, this
form of budget neutrality is viable
when, by changing payments or aligning
incentives to improve overall efficiency,
or both, a demonstration program may
reduce the use of some services or
eliminate the need for others, resulting
in reduced expenditures for the
demonstration program’s participants.
These reduced expenditures offset
increased payments elsewhere under
the demonstration program, thus
ensuring that the demonstration
program as a whole is budget neutral or
yields savings. However, the small scale
of this demonstration program, in
conjunction with the payment
methodology, made it extremely
unlikely that this demonstration
program could be held to budget
neutrality under the methodology
normally used to calculate it—that is,
cost-based payments to participating
small rural hospitals were likely to
increase Medicare outlays without
producing any offsetting reduction in
Medicare expenditures elsewhere. In
addition, a rural community hospital’s
participation in this demonstration
program would be unlikely to yield
benefits to the participants if budget
neutrality were to be implemented by
reducing other payments for these same
hospitals. Therefore, in the 12 IPPS final
rules spanning the period from FY 2005
through FY 2016, we adjusted the
national inpatient PPS rates by an
amount sufficient to account for the
added costs of this demonstration
program, thus applying budget
neutrality across the payment system as
a whole rather than merely across the
participants in the demonstration
program. (A different methodology was
applied for FY 2017.) As we discussed
in the FYs 2005 through 2017 IPPS/
LTCH PPS final rules (69 FR 49183; 70
FR 47462; 71 FR 48100; 72 FR 47392;
73 FR 48670; 74 FR 43922, 75 FR 50343,
76 FR 51698, 77 FR 53449, 78 FR 50740,
77 FR 50145; 80 FR 49585; and 81 FR
57034, respectively), we believe that the
language of the statutory budget
neutrality requirements permits the
agency to implement the budget
neutrality provision in this manner.
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b. Methodology Used in Previous Final
Rules for Periods Prior to the Extension
Period Authorized by the 21st Century
Cures Act (Pub. L. 114–255)
We have generally incorporated two
components into the budget neutrality
offset amounts identified in the final
IPPS rules in previous years. First, we
have estimated the costs of the
demonstration for the upcoming fiscal
year, generally determined from
historical, ‘‘as submitted’’ cost reports
for the hospitals participating in that
year. Update factors representing
nationwide trends in cost and volume
increases have been incorporated into
these estimates, as specified in the
methodology described in the final rule
for each fiscal year. Second, as finalized
cost reports became available, we
determined the amount by which the
actual costs of the demonstration for an
earlier, given year, differed from the
estimated costs for the demonstration
set forth in the final IPPS rule for the
corresponding fiscal year, and
incorporated that amount into the
budget neutrality offset amount for the
upcoming fiscal year. If the actual costs
for the demonstration for the earlier
fiscal year exceeded the estimated costs
of the demonstration identified in the
final rule for that year, this difference
was added to the estimated costs of the
demonstration for the upcoming fiscal
year when determining the budget
neutrality adjustment for the upcoming
fiscal year. Conversely, if the estimated
costs of the demonstration set forth in
the final rule for a prior fiscal year
exceeded the actual costs of the
demonstration for that year, this
difference was subtracted from the
estimated cost of the demonstration for
the upcoming fiscal year when
determining the budget neutrality
adjustment for the upcoming fiscal year.
(We note that we have calculated this
difference for FYs 2005 through 2013
between the actual costs of the
demonstration as determined from
finalized cost reports once available,
and estimated costs of the
demonstration as identified in the
applicable IPPS final rules for these
years.)
c. Budget Neutrality Methodology for
the Extension Period Authorized by the
21st Century Cures Act (Pub. L. 114–
255)
(1) General Approach
We finalized our budget neutrality
methodology for periods of participation
under the second 5 years of the 10-year
extension period in the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38285
through 38287). Similar to previous
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years, we stated in this rule, as well as
in the FY 2019 IPPS/LTCH PPS
proposed and final rules (83 FR 20444
and 41503, respectively) that we would
incorporate an estimate of the costs of
the demonstration, generally
determined from historical, ‘‘as
submitted’’ cost reports for the
participating hospitals and appropriate
update factors, into a budget neutrality
offset amount to be applied to the
national IPPS rates for the upcoming
fiscal year. In addition, we stated that
we would continue to apply our general
policy from previous years of including,
as a second component to the budget
neutrality offset amount, the amount by
which the actual costs of the
demonstration for an earlier, given year
(as determined from finalized cost
reports when available) differed from
the estimated costs for the
demonstration set forth in the final IPPS
rule for the corresponding fiscal year.
In the FY 2018 IPPS/LTCH PPS final
rule and FY 2019 IPPS/LTCH PPS
proposed and final rules, we described
several distinct components to the
budget neutrality offset amount for the
specific fiscal years of the extension
period authorized by Public Law 114–
255.
• We will include a component to our
overall methodology similar to previous
years, according to which an estimate of
the costs of the demonstration for both
previously and newly participating
hospitals for the upcoming fiscal year is
incorporated into a budget neutrality
offset amount to be applied to the
national IPPS rates for the upcoming
fiscal year. In the FY 2019 IPPS final
rule (83 FR 41506), we included such an
estimate of the costs of the
demonstration for each of FYs 2018 and
2019 into the budget neutrality offset
amount for FY 2019. In this proposed
rule, we are including an estimate of the
costs of the demonstration for FY 2020.
• Similar to previous years, we will
continue to implement the policy of
determining the difference between the
actual costs of the demonstration as
determined from finalized cost reports
for a given fiscal year and the estimated
costs indicated in the corresponding
year’s final rule, and including that
difference as a positive or negative
adjustment in the upcoming year’s final
rule. (For each previously participating
hospital that has decided to participate
in the second 5 years of the 10-year
extension period, the cost-based
payment methodology under the
demonstration began on the date
immediately following the end date of
its period of performance for the first 5year extension period. In addition, for
previously participating hospitals that
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converted to CAH status during the time
period of the second 5-year extension
period, the demonstration payment
methodology was applied to the date
following the end date of its period of
performance for the first extension
period to the date of conversion).
Therefore, for cost reporting periods
starting in FYs 2015, 2016, and 2017, we
will use available finalized cost reports
that detail the actual costs of the
demonstration for each of these fiscal
years and incorporate these amounts
into the budget neutrality calculation.
In this proposed rule, we are
identifying the amount of the difference
between actual and estimated costs
based on finalized cost reports for FY
2014; and, in addition, we are proposing
that if finalized cost reports are
available we will include the amount for
FY 2015 in the budget neutrality offset
adjustment to be applied to the national
IPPS rates for FY 2020. In future IPPS
rules, we will continue this
reconciliation, calculating the difference
between actual and estimated costs for
the remaining years of the first
extension period and, as described
above, the additional years of the
demonstration under the second
extension period, applying this
difference to the budget neutrality offset
adjustments identified in future years’
final rules.
(2) Methodology for Estimating
Demonstration Costs for FY 2020
We are using a methodology similar to
previous years, according to which an
estimate of the costs of the
demonstration for the upcoming fiscal
year is incorporated into a budget
neutrality offset amount to be applied to
the national IPPS rates for the upcoming
fiscal year, that is, FY 2020. The
methodology for calculating the amount
for FY 2020 will proceed according to
the following steps:
Step 1: For each of the 29
participating hospitals, we will identify
the reasonable cost amount calculated
under the reasonable cost-based
methodology for covered inpatient
hospital services, including swing beds,
as indicated on the ‘‘as submitted’’ cost
report for the most recent cost reporting
period available. (For each of these
hospitals, these ‘‘as submitted’’ cost
reports are those with cost report period
end dates in CY 2017. We note that, for
3 of these hospitals, the 5-year
participation authorized by Pub. L. 114–
255 will end prior to the end of FY
2020. Therefore, consistent with
previous practice, we will prorate the
cost amounts for these hospitals by the
fraction of total months in the
demonstration period of participation
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19451
that fall within FY 2020 out of the total
of 12 months in the fiscal year. For
example, for a hospital whose period of
performance ends June 30, 2020, this
prorating factor is .75. We will sum
these hospital-specific amounts to arrive
at a total general amount representing
the costs for covered inpatient hospital
services, including swing beds, across
the 29 participating hospitals.
Then, we will multiply this amount
by the FYs 2018, 2019 and 2020 IPPS
market basket percentage increases,
which are formulated by the CMS Office
of the Actuary. The result for each
participating hospital will be the general
estimated reasonable cost amount for
covered inpatient hospital services for
FY 2020.
Consistent with our methods in
previous years for formulating this
estimate, we will apply the IPPS market
basket percentage increases for FYs
2018 through 2020 to the applicable
estimated reasonable cost amounts
(described above) in order to model the
estimated FY 2020 reasonable cost
amount under the demonstration. We
believe that the IPPS market basket
percentage increases appropriately
indicate the trend of increase in
inpatient hospital operating costs under
the reasonable cost methodology for the
years involved.
Step 2: For each of the participating
hospitals, we identify the estimated
amount that would otherwise be paid in
FY 2020 under applicable Medicare
payment methodologies for covered
inpatient hospital services, including
swing beds (as indicated on the same set
of ‘‘as submitted’’ cost reports as in Step
1), if the demonstration were not
implemented. (Also, similar to step 1,
we are prorating the amounts for
hospitals whose period of participation
ends during FY 2020 by the fraction of
total months in the demonstration
period of participation for the hospital
that falls within FY 2020 out of the total
of 12 months in the fiscal year). We will
sum these hospital-specific amounts,
and, in turn, multiply this sum by the
FYs 2018, 2019 and 2020 IPPS
applicable percentage increases. This
methodology differs from Step 1, in
which we apply the market basket
percentage increases to the hospitals’
applicable estimated reasonable cost
amount for covered inpatient hospital
services. We believe that the IPPS
applicable percentage increases are
appropriate factors to update the
estimated amounts that generally would
otherwise be paid without the
demonstration. This is because IPPS
payments constitute the majority of
payments that would otherwise be made
without the demonstration and the
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applicable percentage increase is the
factor used under the IPPS to update the
inpatient hospital payment rates.
Step 3: We will subtract the amount
derived in Step 2 from the amount
derived in Step 1. According to our
methodology, the resulting amount
indicates the total difference for the 29
hospitals (for covered inpatient hospital
services, including swing beds), which
will be the general estimated amount of
the costs of the demonstration for FY
2020.
For this proposed rule, the resulting
amount is $61,970,567, which we are
proposing to include in the budget
neutrality offset adjustment for FY 2020.
This estimated amount is based on the
specific assumptions regarding the data
sources used, that is, recently available
‘‘as submitted’’ cost reports and
historical update factors for cost and
payment. If updated data become
available prior to the FY 2020 IPPS/
LTCH PPS final rule, we will use them
as appropriate to estimate the costs for
the demonstration program for FY 2020
in accordance with our methodology for
determining the budget neutrality
estimate. Therefore, the estimated
budget neutrality offset amount may
change in the final rule, depending on
the availability of updated data.
(3) Reconciling Actual and Estimated
Costs of the Demonstration for Previous
Years (2014 and 2015)
As described earlier, we have
calculated the difference for FYs 2005
through 2013 between the actual costs
of the demonstration, as determined
from finalized cost reports once
available, and estimated costs of the
demonstration as identified in the
applicable IPPS final rules for these
years. In this proposed rule, we are
identifying the difference between the
total cost of the demonstration as
indicated on finalized FY 2014 cost
reports and the estimates for the costs of
the demonstration for that year’s final
rule, and we are proposing to adjust the
current year’s budget neutrality amount
by the amount identified. If any
information relevant to the
determination of these amounts (for
example, a cost report reopening) would
necessitate a revision of these amounts,
we will make the appropriate change
and include the determination in the FY
2020 IPPS/LTCH PPS final rule.
Furthermore, if the needed costs reports
are available in time for the FY 2020
IPPS/LTCH PPS final rule, we also will
identify the difference between the total
cost of the demonstration based on
finalized FY 2015 cost reports and the
estimates for the costs of the
demonstration for that year, and
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incorporate that amount into the budget
neutrality offset amount for FY 2020.
Currently, finalized cost reports are
available for the 22 hospitals that
completed a cost reporting period
beginning in FY 2014 according to the
demonstration’s reasonable cost-based
payment methodology. The actual costs
of the demonstration for FY 2014 (that
is, the amount from finalized cost
reports for the 22 hospitals that were
paid under the demonstration
reasonable cost-based payment
methodology for cost reporting periods
with start dates during FY 2014), fell
short of the estimated amount that was
finalized in the FY 2014 IPPS/LTCH
final rule for FY 2014 by $14,932,060.
We note that the amounts identified
for the actual cost of the demonstration,
determined from finalized cost reports,
is less than the amount that was
identified in the final rule for the
respective year. Therefore, in keeping
with previous policy finalized in
situations when the costs of the
demonstration fell short of the amount
estimated in the corresponding year’s
final rule, we will be including this
component as a negative adjustment to
the budget neutrality offset amount for
the current fiscal year.
(4) Total Proposed Budget Neutrality
Offset Amount for FY 2020
Therefore, for this FY 2020 IPPS/
LTCH PPS proposed rule, we are
proposing to incorporate the following
components into the calculation of the
total budget neutrality offset for FY
2020:
• The amount determined under
section IV.K.4.c.(2) of the preamble of
this proposed rule, representing the
difference applicable to FY 2020
between the sum of the estimated
reasonable cost amounts that would be
paid under the demonstration to the 29
participating hospitals for covered
inpatient hospital services and the sum
of the estimated amounts that would
generally be paid if the demonstration
had not been implemented. This
estimated amount is $61,970,567.
• The amount determined under
section IV.K.4.c.(3) of the preamble of
this proposed rule according to which
the actual costs of the demonstration for
FY 2014 for the 22 hospitals that
completed a cost reporting period
beginning in FY 2014 differ from the
estimated amount that was incorporated
into the budget neutrality offset amount
for FY 2014 in the FY 2014 IPPS/LTCH
PPS final rule. Analysis of this set of
cost reports shows that the actual costs
of the demonstration fell short of the
estimated amount finalized in the FY
2014 IPPS/LTCH PPS final rule by
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$14,932,060. In keeping with previously
finalized policy, we are proposing to
apply this difference, according to
which the actual costs of the
demonstration for FY 2014 fell short of
the estimated amount determined in the
final rule for that fiscal year by reducing
the budget neutrality offset amount for
FY 2020 by this amount.
Therefore, for FY 2020, the proposed
total budget neutrality offset amount
that we will be applying is the estimated
amount for FY 2020 (that is,
$61,970,567) minus the amount by
which the actual costs of the
demonstration fell short of the estimated
amount for FY 2014 (that is,
$14,932,060). This total is $47,038,507.
If updated data become available prior
to the FY 2020 IPPS/LTCH PPS final
rule, we would use them to the extent
appropriate to determine the budget
neutrality offset amount for FY 2020.
Therefore, the amount of the budget
neutrality offset amount may change in
the FY 2020 IPPS/LTCH PPS final rule.
Furthermore, if the needed costs reports
are available in time for the FY 2020
IPPS/LTCH PPS final rule, we also will
identify the difference between the total
cost of the demonstration based on
finalized FY 2015 cost reports and the
estimates for the costs of the
demonstration for that year, and
incorporate that amount into the final
budget neutrality offset amount for FY
2020.
V. Proposed Changes to the IPPS for
Capital-Related Costs
A. Overview
Section 1886(g) of the Act requires the
Secretary to pay for the capital-related
costs of inpatient acute hospital services
in accordance with a prospective
payment system established by the
Secretary. Under the statute, the
Secretary has broad authority in
establishing and implementing the IPPS
for acute care hospital inpatient capitalrelated costs. We initially implemented
the IPPS for capital-related costs in the
FY 1992 IPPS final rule (56 FR 43358).
In that final rule, we established a 10year transition period to change the
payment methodology for Medicare
hospital inpatient capital-related costs
from a reasonable cost-based payment
methodology to a prospective payment
methodology (based fully on the Federal
rate).
FY 2001 was the last year of the 10year transition period that was
established to phase in the IPPS for
hospital inpatient capital-related costs.
For cost reporting periods beginning in
FY 2002, capital IPPS payments are
based solely on the Federal rate for
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almost all acute care hospitals (other
than hospitals receiving certain
exception payments and certain new
hospitals). (We refer readers to the FY
2002 IPPS final rule (66 FR 39910
through 39914) for additional
information on the methodology used to
determine capital IPPS payments to
hospitals both during and after the
transition period.)
The basic methodology for
determining capital prospective
payments using the Federal rate is set
forth in the regulations at 42 CFR
412.312. For the purpose of calculating
capital payments for each discharge, the
standard Federal rate is adjusted as
follows:
(Standard Federal Rate) × (DRG
Weight) × (Geographic Adjustment
Factor (GAF)) × (COLA for hospitals
located in Alaska and Hawaii) × (1 +
Capital DSH Adjustment Factor +
Capital IME Adjustment Factor, if
applicable).
In addition, under § 412.312(c),
hospitals also may receive outlier
payments under the capital IPPS for
extraordinarily high-cost cases that
qualify under the thresholds established
for each fiscal year.
B. Additional Provisions
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1. Exception Payments
The regulations at 42 CFR 412.348
provide for certain exception payments
under the capital IPPS. The regular
exception payments provided under
§§ 412.348(b) through (e) were available
only during the 10-year transition
period. For a certain period after the
transition period, eligible hospitals may
have received additional payments
under the special exceptions provisions
at § 412.348(g). However, FY 2012 was
the final year hospitals could receive
special exceptions payments. For
additional details regarding these
exceptions policies, we refer readers to
the FY 2012 IPPS/LTCH PPS final rule
(76 FR 51725).
Under § 412.348(f), a hospital may
request an additional payment if the
hospital incurs unanticipated capital
expenditures in excess of $5 million due
to extraordinary circumstances beyond
the hospital’s control. Additional
information on the exception payment
for extraordinary circumstances in
§ 412.348(f) can be found in the FY 2005
IPPS final rule (69 FR 49185 and 49186).
2. New Hospitals
Under the capital IPPS, the
regulations at 42 CFR 412.300(b) define
a new hospital as a hospital that has
operated (under previous or current
ownership) for less than 2 years and
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lists examples of hospitals that are not
considered new hospitals. In accordance
with § 412.304(c)(2), under the capital
IPPS, a new hospital is paid 85 percent
of its allowable Medicare inpatient
hospital capital-related costs through its
first 2 years of operation, unless the new
hospital elects to receive full
prospective payment based on 100
percent of the Federal rate. We refer
readers to the FY 2012 IPPS/LTCH PPS
final rule (76 FR 51725) for additional
information on payments to new
hospitals under the capital IPPS.
3. Payments for Hospitals Located in
Puerto Rico
In the FY 2017 IPPS/LTCH PPS final
rule (81 FR 57061), we revised the
regulations at 42 CFR 412.374 relating to
the calculation of capital IPPS payments
to hospitals located in Puerto Rico
beginning in FY 2017 to parallel the
change in the statutory calculation of
operating IPPS payments to hospitals
located in Puerto Rico, for discharges
occurring on or after January 1, 2016,
made by section 601 of the Consolidated
Appropriations Act, 2016 (Pub. L. 114–
113). Section 601 of Public Law 114–
113 increased the applicable Federal
percentage of the operating IPPS
payment for hospitals located in Puerto
Rico from 75 percent to 100 percent and
decreased the applicable Puerto Rico
percentage of the operating IPPS
payments for hospitals located in Puerto
Rico from 25 percent to zero percent,
applicable to discharges occurring on or
after January 1, 2016. As such, under
revised § 412.374, for discharges
occurring on or after October 1, 2016,
capital IPPS payments to hospitals
located in Puerto Rico are based on 100
percent of the capital Federal rate.
C. Proposed Annual Update for FY 2020
The proposed annual update to the
national capital Federal rate, as
provided for in 42 CFR 412.308(c), for
FY 2020 is discussed in section III. of
the Addendum to this FY 2020 IPPS/
LTCH PPS proposed rule.
In section II.D. of the preamble of this
FY 2020 IPPS/LTCH PPS proposed rule,
we present a discussion of the MS–DRG
documentation and coding adjustment,
including previously finalized policies
and historical adjustments, as well as
the adjustment to the standardized
amount under section 1886(d) of the Act
that we are proposing for FY 2020, in
accordance with the amendments made
to section 7(b)(1)(B) of Public Law 110–
90 by section 414 of the MACRA.
Because these provisions require us to
make an adjustment only to the
operating IPPS standardized amount, we
are not proposing to make a similar
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adjustment to the national capital
Federal rate (or to the hospital-specific
rates).
VI. Proposed Changes for Hospitals
Excluded From the IPPS
A. Proposed Rate-of-Increase in
Payments to Excluded Hospitals for FY
2020
Certain hospitals excluded from a
prospective payment system, including
children’s hospitals, 11 cancer
hospitals, and hospitals located outside
the 50 States, the District of Columbia,
and Puerto Rico (that is, hospitals
located in the U.S. Virgin Islands,
Guam, the Northern Mariana Islands,
and American Samoa) receive payment
for inpatient hospital services they
furnish on the basis of reasonable costs,
subject to a rate-of-increase ceiling. A
per discharge limit (the target amount,
as defined in § 413.40(a) of the
regulations) is set for each hospital
based on the hospital’s own cost
experience in its base year, and updated
annually by a rate-of-increase
percentage. For each cost reporting
period, the updated target amount is
multiplied by total Medicare discharges
during that period and applied as an
aggregate upper limit (the ceiling as
defined in § 413.40(a)) of Medicare
reimbursement for total inpatient
operating costs for a hospital’s cost
reporting period. In accordance with
§ 403.752(a) of the regulations, religious
nonmedical health care institutions
(RNHCIs) also are subject to the rate-ofincrease limits established under
§ 413.40 of the regulations discussed
previously. Furthermore, in accordance
with § 412.526(c)(3) of the regulations,
extended neoplastic disease care
hospitals also are subject to the rate-ofincrease limits established under
§ 413.40 of the regulations discussed
previously.
As explained in the FY 2006 IPPS
final rule (70 FR 47396 through 47398),
beginning with FY 2006, we have used
the percentage increase in the IPPS
operating market basket to update the
target amounts for children’s hospitals,
cancer hospitals, and RNHCIs.
Consistent with the regulations at
§§ 412.23(g), 413.40(a)(2)(ii)(A), and
413.40(c)(3)(viii), we also have used the
percentage increase in the IPPS
operating market basket to update target
amounts for short-term acute care
hospitals located in the U.S. Virgin
Islands, Guam, the Northern Mariana
Islands, and American Samoa. In the
FYs 2014 and 2015 IPPS/LTCH PPS
final rules (78 FR 50747 through 50748
and 79 FR 50156 through 50157,
respectively), we adopted a policy of
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using the percentage increase in the FY
2010-based IPPS operating market
basket to update the target amounts for
FY 2014 and subsequent fiscal years for
children’s hospitals, cancer hospitals,
RNHCIs, and short-term acute care
hospitals located in the U.S. Virgin
Islands, Guam, the Northern Mariana
Islands, and American Samoa. However,
in the FY 2018 IPPS/LTCH PPS final
rule, we rebased and revised the IPPS
operating basket to a 2014 base year,
effective for FY 2018 and subsequent
years (82 FR 38158 through 38175), and
finalized the use of the percentage
increase in the 2014-based IPPS
operating market basket to update the
target amounts for children’s hospitals,
the 11 cancer hospitals, RNHCIs, and
short-term acute care hospitals located
in the U.S. Virgin Islands, Guam, the
Northern Mariana Islands, and
American Samoa for FY 2018 and
subsequent years. Accordingly, for FY
2020, the rate-of-increase percentage to
be applied to the target amount for these
hospitals would be the FY 2020
percentage increase in the 2014-based
IPPS operating market basket.
For this FY 2020 IPPS/LTCH PPS
proposed rule, based on IGI’s 2018
fourth quarter forecast, we estimated
that the 2014-based IPPS operating
market basket update for FY 2020 would
be 3.2 percent (that is, the estimate of
the market basket rate-of-increase).
Based on this estimate, the FY 2020
rate-of-increase percentage that would
be applied to the FY 2019 target
amounts in order to calculate the FY
2020 target amounts for children’s
hospitals, cancer hospitals, RNCHIs, and
short-term acute care hospitals located
in the U.S. Virgin Islands, Guam, the
Northern Mariana Islands, and
American Samoa would be 3.2 percent,
in accordance with the applicable
regulations at 42 CFR 413.40. However,
we are proposing that if more recent
data become available for the final rule,
we would use them to calculate the final
IPPS operating market basket update for
FY 2020.
In addition, payment for inpatient
operating costs for hospitals classified
under section 1886(d)(1)(B)(vi) of the
Act (which we refer to as ‘‘extended
neoplastic disease care hospitals’’) for
cost reporting periods beginning on or
after January 1, 2015, is to be made as
described in 42 CFR 412.526(c)(3), and
payment for capital costs for these
hospitals is to be made as described in
42 CFR 412.526(c)(4). (For additional
information on these payment
regulations, we refer readers to the FY
2018 IPPS/LTCH PPS final rule (82 FR
38321 through 38322).) Section
412.526(c)(3) provides that the
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hospital’s Medicare allowable net
inpatient operating costs for that period
are paid on a reasonable cost basis,
subject to that hospital’s ceiling, as
determined under § 412.526(c)(1), for
that period. Under section 412.526(c)(1),
for each cost reporting period, the
ceiling was determined by multiplying
the updated target amount, as defined in
§ 412.526(c)(2), for that period by the
number of Medicare discharges paid
during that period. Section
412.526(c)(2)(i) describes the method for
determining the target amount for cost
reporting periods beginning during FY
2015. Section 412.526(c)(2)(ii) specifies
that, for cost reporting periods
beginning during fiscal years after FY
2015, the target amount will equal the
hospital’s target amount for the previous
cost reporting period updated by the
applicable annual rate-of-increase
percentage specified in § 413.40(c)(3) for
the subject cost reporting period (79 FR
50197).
For FY 2020, in accordance with
§ 412.22(i) and § 412.526(c)(2)(ii) of the
regulations, for cost reporting periods
beginning during FY 2020, the proposed
update to the target amount for longterm care neoplastic disease hospitals
(that is, hospitals described under
§ 412.22(i)) is the applicable annual
rate-of-increase percentage specified in
§ 413.40(c)(3) for FY 2020, which would
be equal to the percentage increase in
the hospital market basket index, which
is estimated to be the percentage
increase in the 2014-based IPPS
operating market basket (that is, the
estimate of the market basket rate-ofincrease). Accordingly, the proposed
update to an extended neoplastic
disease care hospital’s target amount for
FY 2020 is 3.2 percent, which is based
on IGI’s 2018 fourth quarter forecast.
Furthermore, we are proposing that if
more recent data become available for
the final rule, we would use that
updated data to calculate the IPPS
operating market basket update for FY
2020.
B. Request for Public Comments on
Methodologies and Requirements for
TEFRA Adjustments to the Rate-ofIncrease Ceiling
1. General Background
Section 1886(b) of the Act, as
amended by the Tax Equity and Fiscal
Responsibility Act (TEFRA) of 1982,
establishes a ceiling on the allowable
rate of increase in hospital inpatient
operating costs per discharge applicable
to cost reporting periods beginning on
or after October 1, 1982. However,
effective with cost reporting periods
beginning on or after October 1, 1983,
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most hospitals are paid under the
prospective payment system (PPS) as
described in section 1886(d) of the Act,
42 CFR part 412, and Chapter 28 of the
Provider Reimbursement Manual (PRM)
(CMS Pub. 15–1). Currently, hospitals
that are paid under TEFRA include
cancer hospitals (11 qualified by statute
under section 1886(d)(1)(B)(v) of the
Act), children’s hospitals, and hospitals
outside the 50 States, the District of
Columbia, and Puerto Rico (that is,
short-term acute care hospitals located
in the U.S. Virgin Islands, Guam,
American Samoa, and the Northern
Mariana Islands). Under certain
circumstances, CMS may provide for an
adjustment to the rate-of-increase
ceiling or may assign a new base period.
Medicare payment for inpatient
hospital services under the TEFRA
system is made on a reasonable cost
basis, as noted above, subject to a limit
or ceiling. The ceiling is determined
from a hospital’s target amount per
discharge updated from its base year.
Specifically, a hospital’s TEFRA target
amount per discharge is determined
from its total Medicare inpatient
operating costs per Medicare discharge
in its base year. This target amount per
discharge is updated each year for
inflation based on the IPPS operating
market basket increase. Multiplying the
TEFRA target amount per discharge by
the Medicare discharges in a particular
cost reporting period produces the
maximum amount (the ceiling)
Medicare will pay the hospital for
inpatient hospital services. In other
words, under the TEFRA system,
Medicare payment is the lesser of the
reasonable costs incurred or the ceiling
amount. If a hospital’s inpatient
operating costs exceed the ceiling in a
cost reporting period, section
1886(b)(4)(A)(i) of the Act and
implementing regulations at § 413.40
allow hospitals paid under the TEFRA
system to request adjustments to
increase their Medicare payment limits
(that is, their ceiling) or to request a new
base year (a permanent revised TEFRA
target amount per discharge for
determining the ceiling) to account for
certain factors such as a significant
change in services or patient
population.
2. TEFRA Adjustment Requests
Under the regulations at 42 CFR
413.40(g), if a hospital’s inpatient
operating costs exceed the ceiling in a
cost reporting period, hospitals may
request an increase to their Medicare
payment limits (that is, their ceiling) to
account for cost distortions between the
base year and current year. Section
3004.1 of the PRM states that distortions
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in inpatient operating costs resulting in
noncomparability of the cost reporting
periods are generally the result of
extraordinary circumstances, an
increase in the average length of stay of
Medicare patients, or changes in the
volume or intensity of direct patient
care services. Section 3004 of the PRM
provides extensive examples of
noncomparability of cost reporting
periods due to direct patient care
changes with calculations for increases
of average length of stay, changes in the
intensity of care, as well as for
additions/deletions of services. These
examples were developed many years
ago to assist providers in filing an
adjustment request and to provide
guidance to MACs when reviewing and
evaluating a provider’s adjustment
request. The examples emphasize that
the methodologies used to determine
the amount of the adjustment are based
on comparisons between the base year
costs and current year costs. To receive
an adjustment to its ceiling, the provider
must demonstrate that the increased
Medicare costs are reasonable, related to
direct patient care services, attributable
to the circumstances specified,
separately identified by the hospital,
verified by the contractor, and tie to
costs quantified in its cost report. In
some cases, an adjustment may be
adopted permanently and reflected in
the hospital’s ceiling in subsequent cost
reporting periods.
The delivery of direct patient care
services, as well as the cost report form
and instructions, have evolved since the
guidance and examples currently in
section 3004 of the PRM (Pub. 15–1)
were originally developed. In this
proposed rule, we are soliciting public
comments, suggestions, and
recommendations regarding the
methodologies and examples provided
in section 3004 of the PRM to determine
an appropriate adjustment amount,
considering the current environment
facing providers paid by Medicare
under the TEFRA system.
As noted above, under 42 CFR
413.40(i), hospitals can request a
permanent change to their ceiling by
requesting a new base year for
determining their target amount per
discharge. In accordance with 42 CFR
413.40(i)(1)(i)(B), this process is meant
to account for substantial and
permanent changes in furnishing patient
care services since the base period, and,
as such, the requirements are stringent.
Historically, CMS has rarely authorized
assignment of a new base year period
because the adjustment mechanism
discussed above is meant to address
most situations where there is distortion
in costs between the base year and the
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current period and providers seldom
meet the criteria for a new base period.
We are requesting public comments,
suggestions, and recommendations on
the possible criteria and circumstances
needed to warrant a new base period,
and, importantly, the documentation
that would be required to qualify,
particularly relative to and
differentiating it from an adjustment.
As stated earlier, we are inviting
comments, suggestions, and
recommendations for regulatory and
other policy changes to the TEFRA
adjustment process. We also are
interested in feedback on whether or not
there should be standardization in the
supporting documentation (such as
electronic workbooks) as part of TEFRA
adjustment requests and, if so, we invite
commenters to provide specific
examples.
C. Critical Access Hospitals (CAHs)
1. Background
Section 1820 of the Act provides for
the establishment of Medicare Rural
Hospital Flexibility Programs
(MRHFPs), under which individual
States may designate certain facilities as
critical access hospitals (CAHs).
Facilities that are so designated and
meet the CAH conditions of
participation under 42 CFR part 485,
subpart F, will be certified as CAHs by
CMS. Regulations governing payments
to CAHs for services to Medicare
beneficiaries are located in 42 CFR part
413.
2. Proposed Change Related to CAH
Payment for Ambulance Services
a. Background
Section 1834(l) of the Act sets forth
the payment rules for ambulance
services. Generally, payment to
ambulance providers and suppliers for
ambulance services are made under the
Ambulance Fee Schedule. Section 205
of BIPA (Pub. L. 106–554) amended
section 1834(l) of the Act by adding a
paragraph (8), which, effective for
services furnished on or after December
21, 2000, provided that the Secretary
would pay the reasonable costs incurred
in furnishing ambulance services if such
services are furnished by a CAH (as
defined in section 1861(mm)(1) of the
Act), or by an entity that is owned and
operated by a CAH, but only if the CAH
or entity is the only provider or supplier
of ambulance services that is located
within a 35-mile drive of the CAH.
Regulations implementing section
1834(l)(8) of the Act are set forth at 42
CFR 413.70(b)(5). For purposes of this
discussion, the term ‘‘provider’’ of
ambulance services means all Medicare-
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participating providers that submit
claims under Medicare for ambulance
services (for example, hospitals, CAHs,
skilled nursing facilities (SNFs), and
home health agencies (HHAs)), and the
term ‘‘supplier’’ of ambulance services
means an entity that provides
ambulance services and that is
independent of any Medicareparticipating or non-Medicareparticipating provider. The terms
‘‘supplier’’ and ‘‘provider of services’’
are defined in sections 1861(d) and (u)
of the Act, respectively, and the term
‘‘provider or supplier of ambulance
services’’ appears in section 1834(l)(8)
of the Act.
Section 3128(a) of the Affordable Care
Act (Pub. L. 111–148) amended section
1834(l)(8) of the Act by specifying that
payment for the reasonable costs
incurred by a CAH or by an entity that
is owned and operated by a CAH in
furnishing ambulance services would be
at ‘‘101 percent’’ of the reasonable costs
incurred in furnishing such services. As
such, section 3128(a) of the Affordable
Care Act increased payment for
ambulance services furnished by CAHs
or entities owned and operated by CAHs
to 101 percent of the reasonable costs,
subject to the requirements outlined in
section 1834(l)(8) of the Act, effective
for cost reporting periods beginning on
or after January 1, 2004. We amended
§ 413.70(b)(5)(i) in the FY 2011 IPPS/
LTCH PPS final rule (75 FR 50361) to
conform to the statute, as amended.
More recently, in the FY 2012 IPPS/
LTCH PPS final rule (76 FR 51729), to
ensure consistency between the
regulations and statute, we revised
§ 413.70(b)(5)(i) by adding a new
paragraph (C) to state that, effective for
cost reporting periods beginning on or
after October 1, 2011, payment for
ambulance services furnished by a CAH
or by a CAH-owned and operated entity
is 101 percent of the reasonable costs of
the CAH or the entity in furnishing
those services, but only if the CAH or
the entity is the only provider or
supplier of ambulance services located
within a 35-mile drive of the CAH. If
there is no provider or supplier of
ambulance services located within a 35mile drive of the CAH and there is an
entity that is owned and operated by a
CAH that is more than a 35-mile drive
from the CAH, payment for ambulance
services furnished by that entity is 101
percent of the reasonable costs of the
entity in furnishing those services, but
only if the entity is the closest provider
or supplier of ambulance services to the
CAH. Therefore, a CAH is paid 101
percent of the reasonable costs for its
ambulance services only if there is no
other provider or supplier of ambulance
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services within a 35-mile drive of the
CAH. If there is another provider or
supplier of ambulance services located
within a 35-mile drive of the CAH, the
CAH is paid for its ambulance services
using the Ambulance Fee Schedule.
b. Proposed Change
As indicated above and in accordance
with statutory language at section
1834(l)(8) of the Act, § 413.70(b)(5)(i)(C)
currently states in relevant part that
payment for ambulance services
furnished by a CAH or an entity that is
owned and operated by a CAH is 101
percent of the reasonable costs of the
CAH or the entity in furnishing those
services, but only if the CAH or the
entity is the only provider or supplier of
ambulance services located within a 35mile drive of the CAH. It has been
brought to our attention that there may
be instances where a provider or
supplier of ambulance services that is
not owned or operated by the CAH is
located within a 35-mile drive of the
CAH, but that provider or supplier of
ambulance services is not legally
authorized to furnish ambulance
services to transport individuals either
to or from the CAH. For example,
consider the scenario where an
ambulance supplier is located within a
35-mile drive of a CAH, but in a
different State, and the ambulance
supplier is not legally authorized (for
example, the supplier of ambulance
services does not have the appropriate
State licensure) to furnish ambulance
services in the State in which the CAH
is located. Under this scenario,
§ 413.70(b)(5)(i)(C) requires that the
CAH be paid for its ambulance services
using the Ambulance Fee Schedule,
even though the out-of-state ambulance
supplier cannot actually furnish
ambulance services to transport
individuals either to or from the CAH.
We believe this outcome is not
consistent with the intent of the
Medicare Rural Hospital Flexibility
Program, which is to provide access to
care to individuals living in remote and
rural areas. A CAH may provide crucial
health care services to individuals living
in a remote and rural area; however, if
transport services to that CAH are
limited due to lack of ambulance
services, health care services available
to individuals living in the CAH’s
service area may also be limited. A lack
of ambulance services within the CAH’s
service area could limit access to care
for individuals living in these remote
and rural areas, particularly in
emergency situations and when
individuals have no other mode of
transportation due to hazardous
traveling conditions. In general,
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payment for ambulance services based
on 101 percent of the reasonable costs
is higher than payment made under the
Ambulance Fee Schedule. This higher
payment is intended to provide CAHs
with sufficient payment to sustain their
own ambulance services when no other
ambulance services are available in their
service area. If a CAH does not receive
reasonable cost-based payments for its
ambulance services because there is
another provider or supplier of
ambulance services within a 35-mile
drive of the CAH, even if that provider
or supplier is not legally authorized to
transport individuals either to or from
the CAH, the CAH may be unable to
support the costs of providing
ambulance services in its service area.
Therefore, we are proposing to
address this ‘‘gap’’ in the current
regulation at § 413.70(b)(5)(i)(C) by
revising our interpretation of the
requirement in section 1834(l)(8)(B) of
the Act that the CAH or the entity
owned and operated by the CAH be the
only provider or supplier of ambulance
services that is located within a 35-mile
drive of such a CAH, to exclude
consideration of ambulance providers or
suppliers that are not legally authorized
to furnish ambulance services to
transport individuals either to or from
the CAH. Specifically, we would
interpret section 1834(l)(8)(B) of the Act
to mean that the CAH or the CAHowned and operated entity must be the
only provider or supplier of ambulance
services within a 35-mile drive of the
CAH that is legally authorized to furnish
ambulance services to individuals
transported to or from the CAH. We
believe this is a reasonable reading of
the statutory language because it retains
the requirement that the CAH or the
CAH-owned and operated entity be the
only provider or supplier of ambulance
services within a 35-mile drive of the
CAH that is available to transport
individuals either to or from the CAH.
We are proposing to revise
§ 413.70(b)(5)(i) of the regulations to
reflect this revised interpretation by
adding a new paragraph (D) to state that,
effective for cost reporting periods
beginning on or after October 1, 2019,
payment for ambulance services
furnished by a CAH or by an entity that
is owned and operated by a CAH is 101
percent of the reasonable costs of the
CAH or the entity in furnishing those
services, but only if the CAH or the
entity is the only provider or supplier of
ambulance services located within a 35mile drive of the CAH, excluding
ambulance providers or suppliers that
are not legally authorized to furnish
ambulance services to transport
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individuals either to or from the CAH.
Consistent with the existing policy
under § 413.70(b)(5)(i)(C), if there is no
provider or supplier of ambulance
services located within a 35-mile drive
of the CAH and there is an entity that
is owned and operated by a CAH that
is more than a 35-mile drive from the
CAH, payment for ambulance services
furnished by that entity is 101 percent
of the reasonable costs of the entity in
furnishing those services, but only if the
entity is the closest provider or supplier
of ambulance services to the CAH. We
also are proposing a conforming change
to § 413.70(b)(5)(i)(C) to make that
existing provision effective only through
September 30, 2019.
As stated earlier in this discussion, if
a CAH does not receive reasonable costbased payments for its ambulance
services, which in general provide
higher payment compared to the
Ambulance Fee Schedule, the CAH may
be unable to support the costs of
providing ambulance services in its
service area. As such, we believe that
our proposed change to allow for
payment based on 101 percent of the
reasonable costs of the CAH or the CAHowned and operated entity in furnishing
ambulance services, in a situation where
there is another provider or supplier of
ambulance services located within a 35mile drive of the CAH that is not legally
authorized to transport individuals
either to or from the CAH, would
improve access to care in remote and
rural areas, particularly in situations
where an individual is experiencing an
emergency and can only receive the
necessary services through ambulance
transport to or from the CAH or in
situations where no other mode of
transportation is advisable.
Furthermore, we believe our proposal is
consistent with the original purpose of
section 1834(l)(8) of the Act, which was
to help ensure that areas served by
CAHs would have adequate access to
ambulance services.
3. Frontier Community Health
Integration Project (FCHIP)
Demonstration
As discussed in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41516
through 41517), section 123 of the
Medicare Improvements for Patients and
Providers Act of 2008 (Pub. L. 110–275),
as amended by section 3126 of the
Affordable Care Act, authorizes a
demonstration project to allow eligible
entities to develop and test new models
for the delivery of health care services
in eligible counties in order to improve
access to and better integrate the
delivery of acute care, extended care
and other health care services to
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Medicare beneficiaries. The
demonstration is titled ‘‘Demonstration
Project on Community Health
Integration Models in Certain Rural
Counties,’’ and is commonly known as
the Frontier Community Health
Integration Project (FCHIP)
demonstration.
The authorizing statute states the
eligibility criteria for entities to be able
to participate in the demonstration. An
eligible entity, as defined in section
123(d)(1)(B) of Public Law 110–275, as
amended, is an MRHFP grantee under
section 1820(g) of the Act (that is, a
CAH); and is located in a State in which
at least 65 percent of the counties in the
State are counties that have 6 or less
residents per square mile.
The authorizing statute stipulates
several other requirements for the
demonstration. Section 123(d)(2)(B) of
Public Law 110–275, as amended, limits
participation in the demonstration to
eligible entities in not more than 4
States. Section 123(f)(1) of Public Law
110–275 requires the demonstration
project to be conducted for a 3-year
period. In addition, section 123(g)(1)(B)
of Public Law 110–275 requires that the
demonstration be budget neutral.
Specifically, this provision states that,
in conducting the demonstration
project, the Secretary shall ensure that
the aggregate payments made by the
Secretary do not exceed the amount
which the Secretary estimates would
have been paid if the demonstration
project under the section were not
implemented. Furthermore, section
123(i) of Public Law 110–275 states that
the Secretary may waive such
requirements of titles XVIII and XIX of
the Act as may be necessary and
appropriate for the purpose of carrying
out the demonstration project, thus
allowing the waiver of Medicare
payment rules encompassed in the
demonstration.
In January 2014, CMS released a
request for applications (RFA) for the
FCHIP demonstration. Using 2013 data
from the U.S. Census Bureau, CMS
identified Alaska, Montana, Nevada,
North Dakota, and Wyoming as meeting
the statutory eligibility requirement for
participation in the demonstration. The
RFA solicited CAHs in these five States
to participate in the demonstration,
stating that participation would be
limited to CAHs in four of the States. To
apply, CAHs were required to meet the
eligibility requirements in the
authorizing legislation, and, in addition,
to describe a proposal to enhance
health-related services that would
complement those currently provided
by the CAH and better serve the
community’s needs. In addition, in the
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RFA, CMS interpreted the eligible entity
definition in the statute as meaning a
CAH that receives funding through the
MHRFP. The RFA identified four
interventions, under which specific
waivers of Medicare payment rules
would allow for enhanced payment for
telehealth, skilled nursing facility/
nursing facility beds, ambulance
services, and home health services,
respectively. These waivers were
formulated with the goal of increasing
access to care with no net increase in
costs.
Ten CAHs were selected for
participation in the demonstration,
which started on August 1, 2016. These
CAHs are located in Montana, Nevada,
and North Dakota, and they are
participating in three of the four
interventions identified in the FY 2017
IPPS/LTCH PPS final rule (81 FR 57064
through 57065), the FY 2018 IPPS/LTCH
PPS final rule (82 FR 38294 through
38296), and the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41516 through
41517). Eight CAHs are participating in
the telehealth intervention, three CAHs
are participating in the skilled nursing
facility/nursing facility bed
intervention, and two CAHs are
participating in the ambulance services
intervention. Each CAH is allowed to
participate in more than one of the
interventions. None of the selected
CAHs are participants in the home
health intervention, which was the
fourth intervention included in the
RFA.
In the FY 2017 IPPS/LTCH PPS final
rule (81 FR 57064 through 57065), the
FY 2018 IPPS/LTCH PPS final rule (82
FR 38294 through 38296), and the FY
2019 IPPS/LTCH PPS final rule (83 FR
41516 through 41517), we finalized a
policy to address the budget neutrality
requirement for the demonstration. As
explained in the FY 2019 IPPS/LTCH
PPS final rule, we based our selection of
CAHs for participation with the goal of
maintaining the budget neutrality of the
demonstration on its own terms (that is,
the demonstration will produce savings
from reduced transfers and admissions
to other health care providers, thus
offsetting any increase in payments
resulting from the demonstration).
However, because of the small size of
this demonstration and uncertainty
associated with projected Medicare
utilization and costs, we adopted a
contingency plan to ensure that the
budget neutrality requirement in section
123 of Public Law 110–275 is met. If
analysis of claims data for Medicare
beneficiaries receiving services at each
of the participating CAHs, as well as
from other data sources, including cost
reports for these CAHs, shows that
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increases in Medicare payments under
the demonstration during the 3-year
period are not sufficiently offset by
reductions elsewhere, we will recoup
the additional expenditures attributable
to the demonstration through a
reduction in payments to all CAHs
nationwide. Because of the small scale
of the demonstration, we indicated that
we did not believe it would be feasible
to implement budget neutrality by
reducing payments to only the
participating CAHs. Therefore, in the
event that this demonstration is found
to result in aggregate payments in excess
of the amount that would have been
paid if this demonstration were not
implemented, we will comply with the
budget neutrality requirement by
reducing payments to all CAHs, not just
those participating in the
demonstration. We stated that we
believe it is appropriate to make any
payment reductions across all CAHs
because the FCHIP demonstration is
specifically designed to test innovations
that affect delivery of services by the
CAH provider category. We explained
our belief that the language of the
statutory budget neutrality requirement
at section 123(g)(1)(B) of Public Law
110–275 permits the agency to
implement the budget neutrality
provision in this manner. The statutory
language merely refers to ensuring that
aggregate payments made by the
Secretary do not exceed the amount
which the Secretary estimates would
have been paid if the demonstration
project was not implemented, and does
not identify the range across which
aggregate payments must be held equal.
Based on actuarial analysis using cost
report settlements for FYs 2013 and
2014, the demonstration is projected to
satisfy the budget neutrality
requirement and likely yield a total net
savings. As we estimated for the FY
2019 IPPS/LTCH PPS final rule, for this
FY 2020 IPPS/LTCH PPS proposed rule,
we estimate that the total impact of the
payment recoupment will be no greater
than 0.03 percent of CAHs’ total
Medicare payments within one fiscal
year (that is, Medicare Part A and Part
B). The final budget neutrality estimates
for the FCHIP demonstration will be
based on the demonstration period,
which is August 1, 2016 through July
31, 2019.
The demonstration is projected to
impact payments to participating CAHs
under both Medicare Part A and Part B.
As stated in the FY 2019 IPPS/LTCH
PPS final rule, in the event the
demonstration is found not to have been
budget neutral, any excess costs will be
recouped over a period of 3 cost
reporting years, beginning in CY 2020.
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The 3-year period for recoupment will
allow for a reasonable timeframe for the
payment reduction and to minimize any
impact on CAHs’ operations. Based on
the currently available data and because
any reduction to CAH payments in
order to recoup excess costs under the
demonstration will not begin until CY
2020, this policy will likely have no
impact for any national payment system
for FY 2020.
VII. Proposed Changes to the LongTerm Care Hospital Prospective
Payment System (LTCH PPS) for FY
2020
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A. Background of the LTCH PPS
1. Legislative and Regulatory Authority
Section 123 of the Medicare,
Medicaid, and SCHIP (State Children’s
Health Insurance Program) Balanced
Budget Refinement Act of 1999 (BBRA)
(Pub. L. 106–113), as amended by
section 307(b) of the Medicare,
Medicaid, and SCHIP Benefits
Improvement and Protection Act of
2000 (BIPA) (Pub. L. 106–554), provides
for payment for both the operating and
capital-related costs of hospital
inpatient stays in long-term care
hospitals (LTCHs) under Medicare Part
A based on prospectively set rates. The
Medicare prospective payment system
(PPS) for LTCHs applies to hospitals
that are described in section
1886(d)(1)(B)(iv) of the Act, effective for
cost reporting periods beginning on or
after October 1, 2002.
Section 1886(d)(1)(B)(iv)(I) of the Act
originally defined an LTCH as a hospital
which has an average inpatient length of
stay (as determined by the Secretary) of
greater than 25 days. Section
1886(d)(1)(B)(iv)(II) of the Act
(‘‘subclause II’’ LTCHs) also provided an
alternative definition of LTCHs.
However, section 15008 of the 21st
Century Cures Act (Pub. L. 114–255)
amended section 1886 of the Act to
exclude former ‘‘subclause II’’ LTCHs
from being paid under the LTCH PPS
and created a new category of IPPSexcluded hospitals, which we refer to as
‘‘extended neoplastic disease care
hospitals’’), to be paid as hospitals that
were formally classified as ‘‘subclause
(II)’’ LTCHs (82 FR 38298).
Section 123 of the BBRA requires the
PPS for LTCHs to be a ‘‘per discharge’’
system with a diagnosis-related group
(DRG) based patient classification
system that reflects the differences in
patient resources and costs in LTCHs.
Section 307(b)(1) of the BIPA, among
other things, mandates that the
Secretary shall examine, and may
provide for, adjustments to payments
under the LTCH PPS, including
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adjustments to DRG weights, area wage
adjustments, geographic reclassification,
outliers, updates, and a disproportionate
share adjustment.
In the August 30, 2002 Federal
Register, we issued a final rule that
implemented the LTCH PPS authorized
under the BBRA and BIPA (67 FR
55954). For the initial implementation
of the LTCH PPS (FYs 2003 through FY
2007), the system used information from
LTCH patient records to classify
patients into distinct long-term care
diagnosis-related groups (LTC–DRGs)
based on clinical characteristics and
expected resource needs. Beginning in
FY 2008, we adopted the Medicare
severity long-term care diagnosis-related
groups (MS–LTC–DRGs) as the patient
classification system used under the
LTCH PPS. Payments are calculated for
each MS–LTC–DRG and provisions are
made for appropriate payment
adjustments. Payment rates under the
LTCH PPS are updated annually and
published in the Federal Register.
The LTCH PPS replaced the
reasonable cost-based payment system
under the Tax Equity and Fiscal
Responsibility Act of 1982 (TEFRA)
(Pub. L. 97–248) for payments for
inpatient services provided by an LTCH
with a cost reporting period beginning
on or after October 1, 2002. (The
regulations implementing the TEFRA
reasonable cost-based payment
provisions are located at 42 CFR part
413.) With the implementation of the
PPS for acute care hospitals authorized
by the Social Security Amendments of
1983 (Pub. L. 98–21), which added
section 1886(d) to the Act, certain
hospitals, including LTCHs, were
excluded from the PPS for acute care
hospitals and were paid their reasonable
costs for inpatient services subject to a
per discharge limitation or target
amount under the TEFRA system. For
each cost reporting period, a hospitalspecific ceiling on payments was
determined by multiplying the
hospital’s updated target amount by the
number of total current year Medicare
discharges. (Generally, in this section of
the preamble of this proposed rule,
when we refer to discharges, we
describe Medicare discharges.) The
August 30, 2002 final rule further
details the payment policy under the
TEFRA system (67 FR 55954).
In the August 30, 2002 final rule, we
provided for a 5-year transition period
from payments under the TEFRA system
to payments under the LTCH PPS.
During this 5-year transition period, an
LTCH’s total payment under the PPS
was based on an increasing percentage
of the Federal rate with a corresponding
decrease in the percentage of the LTCH
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PPS payment that is based on
reasonable cost concepts, unless an
LTCH made a one-time election to be
paid based on 100 percent of the Federal
rate. Beginning with LTCHs’ cost
reporting periods beginning on or after
October 1, 2006, total LTCH PPS
payments are based on 100 percent of
the Federal rate.
In addition, in the August 30, 2002
final rule, we presented an in-depth
discussion of the LTCH PPS, including
the patient classification system,
relative weights, payment rates,
additional payments, and the budget
neutrality requirements mandated by
section 123 of the BBRA. The same final
rule that established regulations for the
LTCH PPS under 42 CFR part 412,
subpart O, also contained LTCH
provisions related to covered inpatient
services, limitation on charges to
beneficiaries, medical review
requirements, furnishing of inpatient
hospital services directly or under
arrangement, and reporting and
recordkeeping requirements. We refer
readers to the August 30, 2002 final rule
for a comprehensive discussion of the
research and data that supported the
establishment of the LTCH PPS (67 FR
55954).
In the FY 2016 IPPS/LTCH PPS final
rule (80 FR 49601 through 49623), we
implemented the provisions of the
Pathway for Sustainable Growth Rate
(SGR) Reform Act of 2013 (Pub. L. 113–
67), which mandated the application of
the ‘‘site neutral’’ payment rate under
the LTCH PPS for discharges that do not
meet the statutory criteria for exclusion
beginning in FY 2016. For cost reporting
periods beginning on or after October 1,
2015, discharges that do not meet
certain statutory criteria for exclusion
are paid based on the site neutral
payment rate. Discharges that do meet
the statutory criteria continue to receive
payment based on the LTCH PPS
standard Federal payment rate. For
more information on the statutory
requirements of the Pathway for SGR
Reform Act of 2013, we refer readers to
the FY 2016 IPPS/LTCH PPS final rule
(80 FR 49601 through 49623) and the FY
2017 IPPS/LTCH PPS final rule (81 FR
57068 through 57075).
In the FY 2018 IPPS/LTCH PPS final
rule, we implemented several
provisions of the 21st Century Cures Act
(‘‘the Cures Act’’) (Pub. L. 114–255) that
affected the LTCH PPS. For more
information on these provisions, we
refer readers to 82 FR 38299.
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41529), we made
conforming changes to our regulations
to implement the provisions of section
51005 of the Bipartisan Budget Act of
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2018, Public Law 115–123, which
extends the transitional blended
payment rate for site neutral payment
rate cases for an additional 2 years. We
refer readers to section VII.C. of the
preamble of the FY 2019 IPPS/LTCH
PPS final rule for a discussion of our
final policy. In addition, in the FY 2019
IPPS/LTCH PPS final rule, we removed
the 25-percent threshold policy under
42 CFR 412.538.
In this FY 2020 IPPS/LTCH PPS
proposed rule, we are proposing
revisions to our regulations to
implement the provisions of the
Pathway for SGR Reform Act of 2013
(Pub. L. 113–67) that relate to the
payment adjustment for discharges from
LTCHs that do not maintain the
requisite discharge payment percentage
and the process by which such LTCHs
may have the payment adjustment
discontinued.
2. Criteria for Classification as an LTCH
a. Classification as an LTCH
Under the regulations at
§ 412.23(e)(1), to qualify to be paid
under the LTCH PPS, a hospital must
have a provider agreement with
Medicare. Furthermore, § 412.23(e)(2)(i),
which implements section
1886(d)(1)(B)(iv) of the Act, requires
that a hospital have an average Medicare
inpatient length of stay of greater than
25 days to be paid under the LTCH PPS.
In accordance with section 1206(a)(3) of
the Pathway for SGR Reform Act of 2013
(Pub. L. 113–67), as amended by section
15007 of Public Law 114–255, we
amended our regulations to specify that
Medicare Advantage plans’ and site
neutral payment rate discharges are
excluded from the calculation of the
average length of stay for all LTCHs, for
discharges occurring in cost reporting
period beginning on or after October 1,
2015.
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b. Hospitals Excluded From the LTCH
PPS
The following hospitals are paid
under special payment provisions, as
described in § 412.22(c) and, therefore,
are not subject to the LTCH PPS rules:
• Veterans Administration hospitals.
• Hospitals that are reimbursed under
State cost control systems approved
under 42 CFR part 403.
• Hospitals that are reimbursed in
accordance with demonstration projects
authorized under section 402(a) of the
Social Security Amendments of 1967
(Pub. L. 90–248) (42 U.S.C. 1395b–1),
section 222(a) of the Social Security
Amendments of 1972 (Pub. L. 92–603)
(42 U.S.C. 1395b–1 (note)) (Statewide
all-payer systems, subject to the rate-of-
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increase test at section 1814(b) of the
Act), or section 3201 of the Patient
Protection and Affordable Care Act
(Pub. L. 111–148 (42 U.S.C. 1315a).
• Nonparticipating hospitals
furnishing emergency services to
Medicare beneficiaries.
3. Limitation on Charges to Beneficiaries
In the August 30, 2002 final rule, we
presented an in-depth discussion of
beneficiary liability under the LTCH
PPS (67 FR 55974 through 55975). This
discussion was further clarified in the
RY 2005 LTCH PPS final rule (69 FR
25676). In keeping with those
discussions, if the Medicare payment to
the LTCH is the full LTC–DRG payment
amount, consistent with other
established hospital prospective
payment systems, § 412.507 currently
provides that an LTCH may not bill a
Medicare beneficiary for more than the
deductible and coinsurance amounts as
specified under §§ 409.82, 409.83, and
409.87, and for items and services
specified under § 489.30(a). However,
under the LTCH PPS, Medicare will
only pay for services furnished during
the days for which the beneficiary has
coverage until the short-stay outlier
(SSO) threshold is exceeded. If the
Medicare payment was for a SSO case
(in accordance with § 412.529), and that
payment was less than the full LTC–
DRG payment amount because the
beneficiary had insufficient coverage as
a result of the remaining Medicare days,
the LTCH also is currently permitted to
charge the beneficiary for services
delivered on those uncovered days (in
accordance with § 412.507). In the FY
2016 IPPS/LTCH PPS final rule (80 FR
49623), we amended our regulations to
expressly limit the charges that may be
imposed upon beneficiaries whose
LTCHs’ discharges are paid at the site
neutral payment rate under the LTCH
PPS. In the FY 2017 IPPS/LTCH PPS
final rule (81 FR 57102), we amended
the regulations under § 412.507 to
clarify our existing policy that blended
payments made to an LTCH during its
transitional period (that is, an LTCH’s
payment for discharges occurring in cost
reporting periods beginning in FY 2016
or FY 2017) are considered to be site
neutral payment rate payments.
B. Proposed Medicare Severity LongTerm Care Diagnosis-Related Group
(MS–LTC–DRG) Classifications and
Relative Weights for FY 2020
1. Background
Section 123 of the BBRA required that
the Secretary implement a PPS for
LTCHs to replace the cost-based
payment system under TEFRA. Section
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19459
307(b)(1) of the BIPA modified the
requirements of section 123 of the BBRA
by requiring that the Secretary examine
the feasibility and the impact of basing
payment under the LTCH PPS on the
use of existing (or refined) hospital
DRGs that have been modified to
account for different resource use of
LTCH patients.
When the LTCH PPS was
implemented for cost reporting periods
beginning on or after October 1, 2002,
we adopted the same DRG patient
classification system utilized at that
time under the IPPS. As a component of
the LTCH PPS, we refer to this patient
classification system as the ‘‘long-term
care diagnosis-related groups (LTC–
DRGs).’’ Although the patient
classification system used under both
the LTCH PPS and the IPPS are the
same, the relative weights are different.
The established relative weight
methodology and data used under the
LTCH PPS result in relative weights
under the LTCH PPS that reflect the
differences in patient resource use of
LTCH patients, consistent with section
123(a)(1) of the BBRA (Pub. L. 106–113).
As part of our efforts to better
recognize severity of illness among
patients, in the FY 2008 IPPS final rule
with comment period (72 FR 47130), the
MS–DRGs and the Medicare severity
long-term care diagnosis-related groups
(MS–LTC–DRGs) were adopted under
the IPPS and the LTCH PPS,
respectively, effective beginning
October 1, 2007 (FY 2008). For a full
description of the development,
implementation, and rationale for the
use of the MS–DRGs and MS–LTC–
DRGs, we refer readers to the FY 2008
IPPS final rule with comment period (72
FR 47141 through 47175 and 47277
through 47299). (We note that, in that
same final rule, we revised the
regulations at § 412.503 to specify that
for LTCH discharges occurring on or
after October 1, 2007, when applying
the provisions of 42 CFR part 412,
subpart O applicable to LTCHs for
policy descriptions and payment
calculations, all references to LTC–
DRGs would be considered a reference
to MS–LTC–DRGs. For the remainder of
this section, we present the discussion
in terms of the current MS–LTC–DRG
patient classification system unless
specifically referring to the previous
LTC–DRG patient classification system
that was in effect before October 1,
2007.)
The MS–DRGs adopted in FY 2008
represent an increase in the number of
DRGs by 207 (that is, from 538 to 745)
(72 FR 47171). The MS–DRG
classifications are updated annually.
There are currently 761 MS–DRG
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groupings. For FY 2020, there would be
761 MS–DRG groupings based on the
proposed changes, as discussed in
section II.F. of the preamble of this FY
2020 IPPS/LTCH PPS proposed rule.
Consistent with section 123 of the
BBRA, as amended by section 307(b)(1)
of the BIPA, and § 412.515 of the
regulations, we use information derived
from LTCH PPS patient records to
classify LTCH discharges into distinct
MS–LTC–DRGs based on clinical
characteristics and estimated resource
needs. We then assign an appropriate
weight to the MS–LTC–DRGs to account
for the difference in resource use by
patients exhibiting the case complexity
and multiple medical problems
characteristic of LTCHs.
In this section of the proposed rule,
we provide a general summary of our
existing methodology for determining
the proposed FY 2020 MS–LTC–DRG
relative weights under the LTCH PPS.
In this FY 2020 IPPS/LTCH PPS
proposed rule, in general, for FY 2020,
we are proposing to continue to use our
existing methodology to determine the
proposed MS–LTC–DRG relative
weights (as discussed in greater detail in
section VII.B.3. of the preamble of this
proposed rule). As we established when
we implemented the dual rate LTCH
PPS payment structure codified under
§ 412.522, which began in FY 2016, we
are proposing that the annual
recalibration of the MS–LTC–DRG
relative weights are determined: (1)
Using only data from available LTCH
PPS claims that would have qualified
for payment under the new LTCH PPS
standard Federal payment rate if that
rate had been in effect at the time of
discharge when claims data from time
periods before the dual rate LTCH PPS
payment structure applies are used to
calculate the relative weights; and (2)
using only data from available LTCH
PPS claims that qualify for payment
under the new LTCH PPS standard
Federal payment rate when claims data
from time periods after the dual rate
LTCH PPS payment structure applies
are used to calculate the relative weights
(80 FR 49624). That is, under our
current methodology, our MS–LTC–
DRG relative weight calculations do not
use data from cases paid at the site
neutral payment rate under
§ 412.522(c)(1) or data from cases that
would have been paid at the site neutral
payment rate if the dual rate LTCH PPS
payment structure had been in effect at
the time of that discharge. For the
remainder of this discussion, we use the
phrase ‘‘applicable LTCH cases’’ or
‘‘applicable LTCH data’’ when referring
to the resulting claims data set used to
calculate the relative weights (as
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described later in greater detail in
section VII.B.3.c. of the preamble of this
proposed rule). In addition, in this FY
2020 IPPS/LTCH PPS proposed rule, for
FY 2020, we are proposing to continue
to exclude the data from all-inclusive
rate providers and LTCHs paid in
accordance with demonstration projects,
as well as any Medicare Advantage
claims from the MS–LTC–DRG relative
weight calculations for the reasons
discussed in section VII.B.3.c. of the
preamble of this proposed rule.
Furthermore, for FY 2020, in using
data from applicable LTCH cases to
establish MS–LTC–DRG relative
weights, we are proposing to continue to
establish low-volume MS–LTC–DRGs
(that is, MS–LTC–DRGs with less than
25 cases) using our quintile
methodology in determining the MS–
LTC–DRG relative weights because
LTCHs do not typically treat the full
range of diagnoses as do acute care
hospitals. Therefore, for purposes of
determining the relative weights for the
large number of low-volume MS–LTC–
DRGs, we grouped all of the low-volume
MS–LTC–DRGs into five quintiles based
on average charges per discharge. Then,
under our existing methodology, we
account for adjustments made to LTCH
PPS standard Federal payments for
short-stay outlier (SSO) cases (that is,
cases where the covered length of stay
at the LTCH is less than or equal to fivesixths of the geometric average length of
stay for the MS–LTC–DRG), and we
make adjustments to account for
nonmonotonically increasing weights,
when necessary. The methodology is
premised on more severe cases under
the MS–LTC–DRG system requiring
greater expenditure of medical care
resources and higher average charges
such that, in the severity levels within
a base MS–LTC–DRG, the relative
weights should increase monotonically
with severity from the lowest to highest
severity level. (We discuss each of these
components of our MS–LTC–DRG
relative weight methodology in greater
detail in section VII.B.3.g. of the
preamble of this proposed rule.)
2. Patient Classifications Into MS–LTC–
DRGs
a. Background
The MS–DRGs (used under the IPPS)
and the MS–LTC–DRGs (used under the
LTCH PPS) are based on the CMS DRG
structure. As noted previously in this
section, we refer to the DRGs under the
LTCH PPS as MS–LTC–DRGs although
they are structurally identical to the
MS–DRGs used under the IPPS.
The MS–DRGs are organized into 25
major diagnostic categories (MDCs),
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most of which are based on a particular
organ system of the body; the remainder
involve multiple organ systems (such as
MDC 22, Burns). Within most MDCs,
cases are then divided into surgical
DRGs and medical DRGs. Surgical DRGs
are assigned based on a surgical
hierarchy that orders operating room
(O.R.) procedures or groups of O.R.
procedures by resource intensity. The
GROUPER software program does not
recognize all ICD–10–PCS procedure
codes as procedures affecting DRG
assignment. That is, procedures that are
not surgical (for example, EKGs), or
minor surgical procedures (for example,
a biopsy of skin and subcutaneous
tissue (procedure code 0JBH3ZX)) do
not affect the MS–LTC–DRG assignment
based on their presence on the claim.
Generally, under the LTCH PPS, a
Medicare payment is made at a
predetermined specific rate for each
discharge that varies based on the MS–
LTC–DRG to which a beneficiary’s
discharge is assigned. Cases are
classified into MS–LTC–DRGs for
payment based on the following six data
elements:
• Principal diagnosis;
• Additional or secondary diagnoses;
• Surgical procedures;
• Age;
• Sex; and
• Discharge status of the patient.
Currently, for claims submitted using
version ASC X12 5010 format, up to 25
diagnosis codes and 25 procedure codes
are considered for an MS–DRG
assignment. This includes one principal
diagnosis and up to 24 secondary
diagnoses for severity of illness
determinations. (For additional
information on the processing of up to
25 diagnosis codes and 25 procedure
codes on hospital inpatient claims, we
refer readers to section II.G.11.c. of the
preamble of the FY 2011 IPPS/LTCH
PPS final rule (75 FR 50127).)
Under the HIPAA transactions and
code sets regulations at 45 CFR parts
160 and 162, covered entities must
comply with the adopted transaction
standards and operating rules specified
in Subparts I through S of Part 162.
Among other requirements, on or after
January 1, 2012, covered entities were
required to use the ASC X12 Standards
for Electronic Data Interchange
Technical Report Type 3—Health Care
Claim: Institutional (837), May 2006,
ASC X12N/005010X223, and Type 1
Errata to Health Care Claim:
Institutional (837) ASC X12 Standards
for Electronic Data Interchange
Technical Report Type 3, October 2007,
ASC X12N/005010X233A1 for the
health care claims or equivalent
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encounter information transaction (45
CFR 162.1102(c)).
HIPAA requires covered entities to
use the applicable medical data code set
requirements when conducting HIPAA
transactions (45 CFR 162.1000).
Currently, upon the discharge of the
patient, the LTCH must assign
appropriate diagnosis and procedure
codes from the most current version of
the International Classification of
Diseases, 10th Revision, Clinical
Modification (ICD–10–CM) for diagnosis
coding and the International
Classification of Diseases, 10th
Revision, Procedure Coding System
(ICD–10–PCS) for inpatient hospital
procedure coding, both of which were
required to be implemented October 1,
2015 (45 CFR 162.1002(c)(2) and (3)).
For additional information on the
implementation of the ICD–10 coding
system, we refer readers to section
II.F.1. of the FY 2017 IPPS/LTCH PPS
final rule (81 FR 56787 through 56790)
and section II.F.1. of the preamble of
this final rule. Additional coding
instructions and examples are published
in the AHA’s Coding Clinic for ICD–10–
CM/PCS.
To create the MS–DRGs (and by
extension, the MS–LTC–DRGs), base
DRGs were subdivided according to the
presence of specific secondary
diagnoses designated as complications
or comorbidities (CCs) into one, two, or
three levels of severity, depending on
the impact of the CCs on resources used
for those cases. Specifically, there are
sets of MS–DRGs that are split into 2 or
3 subgroups based on the presence or
absence of a CC or a major complication
or comorbidity (MCC). We refer readers
to section II.D. of the FY 2008 IPPS final
rule with comment period for a detailed
discussion about the creation of MS–
DRGs based on severity of illness levels
(72 FR 47141 through 47175).
MACs enter the clinical and
demographic information submitted by
LTCHs into their claims processing
systems and subject this information to
a series of automated screening
processes called the Medicare Code
Editor (MCE). These screens are
designed to identify cases that require
further review before assignment into a
MS–LTC–DRG can be made. During this
process, certain cases are selected for
further explanation (74 FR 43949).
After screening through the MCE,
each claim is classified into the
appropriate MS–LTC–DRG by the
Medicare LTCH GROUPER software on
the basis of diagnosis and procedure
codes and other demographic
information (age, sex, and discharge
status). The GROUPER software used
under the LTCH PPS is the same
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GROUPER software program used under
the IPPS. Following the MS–LTC–DRG
assignment, the MAC determines the
prospective payment amount by using
the Medicare PRICER program, which
accounts for hospital-specific
adjustments. Under the LTCH PPS, we
provide an opportunity for LTCHs to
review the MS–LTC–DRG assignments
made by the MAC and to submit
additional information within a
specified timeframe as provided in
§ 412.513(c).
The GROUPER software is used both
to classify past cases to measure relative
hospital resource consumption to
establish the MS–LTC–DRG relative
weights and to classify current cases for
purposes of determining payment. The
records for all Medicare hospital
inpatient discharges are maintained in
the MedPAR file. The data in this file
are used to evaluate possible MS–DRG
and MS–LTC–DRG classification
changes and to recalibrate the MS–DRG
and MS–LTC–DRG relative weights
during our annual update under both
the IPPS (§ 412.60(e)) and the LTCH PPS
(§ 412.517), respectively.
b. Proposed Changes to the MS–LTC–
DRGs for FY 2020
As specified by our regulations at
§ 412.517(a), which require that the MS–
LTC–DRG classifications and relative
weights be updated annually, and
consistent with our historical practice of
using the same patient classification
system under the LTCH PPS as is used
under the IPPS, in this FY 2020 IPPS/
LTCH PPS proposed rule, we are
proposing to update the MS–LTC–DRG
classifications effective October 1, 2019,
through September 30, 2020 (FY 2020),
consistent with the proposed changes to
specific MS–DRG classifications
presented in section II.F. of the
preamble of this proposed rule.
Accordingly, the proposed MS–LTC–
DRGs for FY 2020 presented in this
proposed rule are the same as the
proposed MS–DRGs that are being used
under the IPPS for FY 2020. In addition,
because the MS–LTC–DRGs for FY 2020
are the same as the proposed MS–DRGs
for FY 2020, the other proposed changes
that affect MS–DRG (and by extension
MS–LTC–DRG) assignments under
proposed GROUPER Version 37 as
discussed in section II.F. of the
preamble of this proposed rule,
including the proposed changes to the
MCE software and the ICD–10–CM/PCS
coding system, also would be applicable
under the LTCH PPS for FY 2020.
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19461
3. Development of the Proposed FY
2020 MS–LTC–DRG Relative Weights
a. General Overview of the Development
of the MS–LTC–DRG Relative Weights
One of the primary goals for the
implementation of the LTCH PPS is to
pay each LTCH an appropriate amount
for the efficient delivery of medical care
to Medicare patients. The system must
be able to account adequately for each
LTCH’s case-mix in order to ensure both
fair distribution of Medicare payments
and access to adequate care for those
Medicare patients whose care is more
costly (67 FR 55984). To accomplish
these goals, we have annually adjusted
the LTCH PPS standard Federal
prospective payment rate by the
applicable relative weight in
determining payment to LTCHs for each
case. In order to make these annual
adjustments under the dual rate LTCH
PPS payment structure, beginning with
FY 2016, we recalibrate the MS–LTC–
DRG relative weighting factors annually
using data from applicable LTCH cases
(80 FR 49614 through 49617). Under
this policy, the resulting MS–LTC–DRG
relative weights would continue to be
used to adjust the LTCH PPS standard
Federal payment rate when calculating
the payment for LTCH PPS standard
Federal payment rate cases.
The established methodology to
develop the MS–LTC–DRG relative
weights is generally consistent with the
methodology established when the
LTCH PPS was implemented in the
August 30, 2002 LTCH PPS final rule
(67 FR 55989 through 55991). However,
there have been some modifications of
our historical procedures for assigning
relative weights in cases of zero volume
and/or nonmonotonicity resulting from
the adoption of the MS–LTC–DRGs,
along with the change made in
conjunction with the implementation of
the dual rate LTCH PPS payment
structure beginning in FY 2016 to use
LTCH claims data from only LTCH PPS
standard Federal payment rate cases (or
LTCH PPS cases that would have
qualified for payment under the LTCH
PPS standard Federal payment rate if
the dual rate LTCH PPS payment
structure had been in effect at the time
of the discharge). (For details on the
modifications to our historical
procedures for assigning relative
weights in cases of zero volume and/or
nonmonotonicity, we refer readers to
the FY 2008 IPPS final rule with
comment period (72 FR 47289 through
47295) and the FY 2009 IPPS final rule
(73 FR 48542 through 48550).) For
details on the change in our historical
methodology to use LTCH claims data
only from LTCH PPS standard Federal
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payment rate cases (or cases that would
have qualified for such payment had the
LTCH PPS dual payment rate structure
been in effect at the time) to determine
the MS–LTC–DRG relative weights, we
refer readers to the FY 2016 IPPS/LTCH
PPS final rule (80 FR 49614 through
49617). Under the LTCH PPS, relative
weights for each MS–LTC–DRG are a
primary element used to account for the
variations in cost per discharge and
resource utilization among the payment
groups (§ 412.515). To ensure that
Medicare patients classified to each
MS–LTC–DRG have access to an
appropriate level of services and to
encourage efficiency, we calculate a
relative weight for each MS–LTC–DRG
that represents the resources needed by
an average inpatient LTCH case in that
MS–LTC–DRG. For example, cases in an
MS–LTC–DRG with a relative weight of
2 would, on average, cost twice as much
to treat as cases in an MS–LTC–DRG
with a relative weight of 1.
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b. Development of the Proposed MS–
LTC–DRG Relative Weights for FY 2020
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41521 through 41529), we
presented our policies for the
development of the MS–LTC–DRG
relative weights for FY 2019.
In this FY 2020 IPPS/LTCH PPS
proposed rule, we are proposing to
continue to use our current
methodology to determine the proposed
MS–LTC–DRG relative weights for FY
2020, including the continued
application of established policies
related to: The hospital-specific relative
value methodology, the treatment of
severity levels in the proposed MS–
LTC–DRGs, proposed low-volume and
no-volume MS–LTC–DRGs, proposed
adjustments for nonmonotonicity, the
steps for calculating the proposed MS–
LTC–DRG relative weights with a
proposed budget neutrality factor, and
only using data from applicable LTCH
cases (which includes our policy of only
using cases that would meet the criteria
for exclusion from the site neutral
payment rate (or, for discharges
occurring prior to the implementation of
the dual rate LTCH PPS payment
structure, would have met the criteria
for exclusion had those criteria been in
effect at the time of the discharge)).
In this section, we present our
proposed application of our existing
methodology for determining the
proposed MS–LTC–DRG relative
weights for FY 2020, and we discuss the
effects of our proposals concerning the
data used to determine the proposed FY
2020 MS–LTC–DRG relative weights on
the various components of our existing
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methodology in the discussion that
follows.
As discussed in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41522), we
now generally provide the low-volume
quintiles and no-volume crosswalk data
previously published in Tables 13A and
13B for each annual proposed and final
rule as one of our supplemental IPPS/
LTCH PPS related data files that are
made available for public use via the
internet on the CMS website for the
respective rule and fiscal year (that is,
FY 2019 and subsequent fiscal years) at:
https://www.cms.hhs.gov/Medicare/
Medicare-Fee-for-Service-Payment/
AcuteInpatientPPS/ to
streamline the information made
available to the public that is used in
the annual development of IPPS Table
11 and to make it easier for the public
to navigate and find the relevant data
and information used for the
development of proposed and final
payment rates or factors for the
applicable payment year while
continuing to furnish the same
information the tables provided in
previous fiscal years. We refer readers to
the CMS website for the low-volume
quintiles and no-volume crosswalk data
previously furnished via Tables 13A
and 13B.
c. Data
For this FY 2020 IPPS/LTCH PPS
proposed rule, consistent with our
proposals regarding the calculation of
the proposed MS–LTC–DRG relative
weights for FY 2020, we obtained total
charges from FY 2018 Medicare LTCH
claims data from the December 2018
update of the FY 2018 MedPAR file,
which are the best available data at this
time, and we are proposing to use
Version 37 of the GROUPER to classify
LTCH cases. Consistent with our
historical practice, we are proposing
that if more recent data become
available, we would use those data and
the finalized Version 37 of the
GROUPER in establishing the FY 2020
MS–LTC–DRG relative weights in the
final rule. To calculate the proposed FY
2020 MS–LTC–DRG relative weights
under the dual rate LTCH PPS payment
structure, we are proposing to continue
to use applicable LTCH data, which
includes our policy of only using cases
that meet the criteria for exclusion from
the site neutral payment rate (or would
have met the criteria had they been in
effect at the time of the discharge) (80
FR 49624). Specifically, we began by
first evaluating the LTCH claims data in
the December 2018 update of the FY
2018 MedPAR file to determine which
LTCH cases would meet the criteria for
exclusion from the site neutral payment
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rate under § 412.522(b) had the dual rate
LTCH PPS payment structure applied to
those cases at the time of discharge. We
identified the FY 2018 LTCH cases that
were not assigned to MS–LTC–DRGs
876, 880, 881, 882, 883, 884, 885, 886,
887, 894, 895, 896, 897, 945 and 946,
which identify LTCH cases that do not
have a principal diagnosis relating to a
psychiatric diagnosis or to
rehabilitation; and that either—
• The admission to the LTCH was
‘‘immediately preceded’’ by discharge
from a subsection (d) hospital and the
immediately preceding stay in that
subsection (d) hospital included at least
3 days in an ICU, as we define under the
ICU criterion; or
• The admission to the LTCH was
‘‘immediately preceded’’ by discharge
from a subsection (d) hospital and the
claim for the LTCH discharge includes
the applicable procedure code that
indicates at least 96 hours of ventilator
services were provided during the LTCH
stay, as we define under the ventilator
criterion. Claims data from the FY 2017
MedPAR file that reported ICD–10–PCS
procedure code 5A1955Z were used to
identify cases involving at least 96
hours of ventilator services in
accordance with the ventilator criterion.
We note that, for purposes of developing
the proposed FY 2020 MS–LTC–DRG
relative weights using our current
methodology, we are not making any
proposals for exceptions regarding the
identification of cases that would have
been excluded from the site neutral
payment rate under the statutory
provisions that provided for temporary
exception from the site neutral payment
rate under the LTCH PPS for certain
severe wound care discharges from
certain LTCHs or for certain spinal cord
specialty hospitals provided by sections
15009 and 15010 of Public Law 114–
255, respectively, had our
implementation of that law and the dual
rate LTCH PPS payment structure been
in effect at the time of the discharge. At
this time, it is uncertain how many
LTCHs and how many cases in the
claims data we are using for this
proposed rule meet the criteria to be
excluded from the site neutral payment
rate under those exceptions (or would
have met the criteria for exclusion had
the dual rate LTCH PPS payment
structure been in effect at the time of the
discharge). Therefore, for the remainder
of this section, when we refer to LTCH
claims only from cases that meet the
criteria for exclusion from the site
neutral payment rate (or would have
met the criteria had the applicable
statutes been in effect at the time of the
discharge), such data do not include any
discharges that would have been paid
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based on the LTCH PPS standard
Federal payment rate under the
provisions of sections 15009 and 15010
of Public Law 114–255, had the
exception been in effect at the time of
the discharge.
Furthermore, consistent with our
historical methodology, we are
excluding any claims in the resulting
data set that were submitted by LTCHs
that were all-inclusive rate providers
and LTCHs that are paid in accordance
with demonstration projects authorized
under section 402(a) of Public Law 90–
248 or section 222(a) of Public Law 92–
603. In addition, consistent with our
historical practice and our policies, we
are excluding any Medicare Advantage
(Part C) claims in the resulting data.
Such claims were identified based on
the presence of a GHO Paid indicator
value of ‘‘1’’ in the MedPAR files. The
claims that remained after these three
trims (that is, the applicable LTCH data)
were then used to calculate the
proposed MS–LTC–DRG relative
weights for FY 2020.
In summary, in general, we identified
the claims data used in the development
of the proposed FY 2020 MS–LTC–DRG
relative weights in this proposed rule, as
we are proposing, by trimming claims
data that were paid the site neutral
payment rate (or would have been paid
the site neutral payment rate had the
dual payment rate structure been in
effect, except for discharges which
would have been excluded from the site
neutral payment under the temporary
exception for certain severe wound care
discharges from certain LTCHs and
under the temporary exception for
certain spinal cord specialty hospitals),
as well as the claims data of 8 allinclusive rate providers reported in the
December 2018 update of the FY 2018
MedPAR file and any Medicare
Advantage claims data. (We note that,
there were no data from any LTCHs that
are paid in accordance with a
demonstration project reported in the
December 2018 update of the FY 2018
MedPAR file. However, had there been
we would trim the claims data from
those LTCHs as well, in accordance
with our established policy.) We are
proposing to use the remaining data
(that is, the applicable LTCH data) to
calculate the proposed relative weights
for FY 2020.
d. Hospital-Specific Relative Value
(HSRV) Methodology
By nature, LTCHs often specialize in
certain areas, such as ventilatordependent patients. Some case types
(MS–LTC–DRGs) may be treated, to a
large extent, in hospitals that have, from
a perspective of charges, relatively high
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(or low) charges. This nonrandom
distribution of cases with relatively high
(or low) charges in specific MS–LTC–
DRGs has the potential to
inappropriately distort the measure of
average charges. To account for the fact
that cases may not be randomly
distributed across LTCHs, consistent
with the methodology we have used
since the implementation of the LTCH
PPS, in this FY 2020 IPPS/LTCH PPS
proposed rule, we are proposing to
continue to use a hospital-specific
relative value (HSRV) methodology to
calculate the proposed MS–LTC–DRG
relative weights for FY 2020. We believe
that this method removes this hospitalspecific source of bias in measuring
LTCH average charges (67 FR 55985).
Specifically, under this methodology,
we are proposing to reduce the impact
of the variation in charges across
providers on any particular MS–LTC–
DRG relative weight by converting each
LTCH’s charge for an applicable LTCH
case to a relative value based on that
LTCH’s average charge for such cases.
Under the HSRV methodology, we
standardize charges for each LTCH by
converting its charges for each
applicable LTCH case to hospitalspecific relative charge values and then
adjusting those values for the LTCH’s
case-mix. The adjustment for case-mix
is needed to rescale the hospital-specific
relative charge values (which, by
definition, average 1.0 for each LTCH).
The average relative weight for an LTCH
is its case-mix; therefore, it is reasonable
to scale each LTCH’s average relative
charge value by its case-mix. In this
way, each LTCH’s relative charge value
is adjusted by its case-mix to an average
that reflects the complexity of the
applicable LTCH cases it treats relative
to the complexity of the applicable
LTCH cases treated by all other LTCHs
(the average LTCH PPS case-mix of all
applicable LTCH cases across all
LTCHs).
In accordance with our established
methodology, for FY 2020, we are
proposing to continue to standardize
charges for each applicable LTCH case
by first dividing the adjusted charge for
the case (adjusted for SSOs under
§ 412.529 as described in section
VII.B.3.g. (Step 3) of the preamble of this
proposed rule) by the average adjusted
charge for all applicable LTCH cases at
the LTCH in which the case was treated.
SSO cases are cases with a length of stay
that is less than or equal to five-sixths
the average length of stay of the MS–
LTC–DRG (§ 412.529 and § 412.503).
The average adjusted charge reflects the
average intensity of the health care
services delivered by a particular LTCH
and the average cost level of that LTCH.
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The resulting ratio is multiplied by that
LTCH’s case-mix index to determine the
standardized charge for the case.
Multiplying the resulting ratio by the
LTCH’s case-mix index accounts for the
fact that the same relative charges are
given greater weight at an LTCH with
higher average costs than they would at
an LTCH with low average costs, which
is needed to adjust each LTCH’s relative
charge value to reflect its case-mix
relative to the average case-mix for all
LTCHs. By standardizing charges in this
manner, we count charges for a
Medicare patient at an LTCH with high
average charges as less resource
intensive than they would be at an
LTCH with low average charges. For
example, a $10,000 charge for a case at
an LTCH with an average adjusted
charge of $17,500 reflects a higher level
of relative resource use than a $10,000
charge for a case at an LTCH with the
same case-mix, but an average adjusted
charge of $35,000. We believe that the
adjusted charge of an individual case
more accurately reflects actual resource
use for an individual LTCH because the
variation in charges due to systematic
differences in the markup of charges
among LTCHs is taken into account.
e. Treatment of Severity Levels in
Developing the Proposed MS–LTC–DRG
Relative Weights
For purposes of determining the MS–
LTC–DRG relative weights, under our
historical methodology, there are three
different categories of MS–DRGs based
on volume of cases within specific MS–
LTC–DRGs: (1) MS–LTC–DRGs with at
least 25 applicable LTCH cases in the
data used to calculate the relative
weight, which are each assigned a
unique relative weight; (2) low-volume
MS–LTC–DRGs (that is, MS–LTC–DRGs
that contain between 1 and 24
applicable LTCH cases that are grouped
into quintiles (as described later in this
section of the proposed rule) and
assigned the relative weight of the
quintile); and (3) no-volume MS–LTC–
DRGs that are cross-walked to other
MS–LTC–DRGs based on the clinical
similarities and assigned the relative
weight of the cross-walked MS–LTC–
DRG (as described in greater detail
below). For FY 2020, we are proposing
to continue to use applicable LTCH
cases to establish the same volumebased categories to calculate the
proposed FY 2020 MS–LTC–DRG
relative weights.
In determining the proposed FY 2020
MS–LTC–DRG relative weights, when
necessary, as is our longstanding
practice, we are proposing to make
adjustments to account for
nonmonotonicity, as discussed in
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greater detail later in Step 6 of section
VII.B.3.g. of the preamble of this
proposed rule. We refer readers to the
discussion in the FY 2010 IPPS/RY 2010
LTCH PPS final rule for our rationale for
including an adjustment for
nonmonotonicity (74 FR 43953 through
43954).
f. Proposed Low-Volume MS–LTC–
DRGs
In order to account for proposed MS–
LTC–DRGs with low-volume (that is,
with fewer than 25 applicable LTCH
cases), consistent with our existing
methodology, we are proposing to
continue to employ the quintile
methodology for proposed low-volume
MS–LTC–DRGs, such that we group the
proposed ‘‘low-volume MS–LTC–DRGs’’
(that is, proposed MS–LTC–DRGs that
contain between 1 and 24 applicable
LTCH cases into one of five categories
(quintiles) based on average charges (67
FR 55984 through 55995; 72 FR 47283
through 47288; and 81 FR 25148).) In
cases where the initial assignment of a
low-volume proposed MS–LTC–DRG to
a quintile results in nonmonotonicity
within a base-DRG, we are proposing to
make adjustments to the resulting lowvolume proposed MS–LTC–DRGs to
preserve monotonicity, as discussed in
detail in section VII.B.3.g. (Step 6) of the
preamble of this proposed rule.
In this proposed rule, based on the
best available data (that is, the
December 2018 update of the FY 2018
MedPAR files), we identified 259
proposed MS–LTC–DRGs that contained
between 1 and 24 applicable LTCH
cases. This list of proposed MS–LTC–
DRGs was then divided into 1 of the 5
low-volume quintiles, each containing
at least proposed 51 MS–LTC–DRGs
(259/5 = 51 with a remainder of 4). We
assigned the proposed low-volume MS–
LTC–DRGs to specific proposed lowvolume quintiles by sorting the
proposed low-volume MS–LTC–DRGs
in ascending order by average charge in
accordance with our established
methodology. Based on the data
available for this proposed rule, the
number of proposed MS–LTC–DRGs
with less than 25 applicable LTCH cases
was not evenly divisible by 5 and,
therefore, we are proposing to employ
our historical methodology for
determining which of the proposed lowvolume quintiles would contain the
additional proposed low-volume MS–
LTC–DRG. Specifically for this
proposed rule, after organizing the
proposed MS–LTC–DRGs by ascending
order by average charge, we assigned the
first 52 (1st through 52nd) of proposed
low-volume MS–LTC–DRGs (with the
lowest average charge) into Quintile 1.
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Because the average charge of the 52nd
proposed low-volume MS–LTC–DRG in
the sorted list was closer to the average
charge of the 51st proposed low-volume
MS–LTC–DRG (assigned to Quintile 1)
than to the average charge of the 53rd
proposed low-volume MS–LTC–DRG
(assigned to Quintile 2), we assigned it
to Quintile 1 (such that Quintile 1
contains 52 proposed low-volume MS–
LTC–DRGs before any adjustments for
nonmonotonicity, as discussed below).
The 51 proposed MS–LTC–DRGs with
the highest average charge were
assigned into Quintile 5. This resulted
in 4 of the 5 proposed low-volume
quintiles containing 52 proposed MS–
LTC–DRGs (Quintiles 1 through 4) and
1 proposed low-volume quintile
containing 51 proposed MS–LTC–DRGs
(Quintile 5). As discussed earlier, for
this proposed rule, we are providing the
list of the composition of the proposed
low-volume quintiles for proposed lowvolume MS–LTC–DRGs for FY 2020 in
a supplemental data file for public use
posted via the internet on the CMS
website for this proposed rule at: https://
www.cms.hhs.gov/Medicare/MedicareFee-for-Service-Payment/Acute
InpatientPPS/ in order to
streamline the information made
available to the public that is used in
the annual development of Table 11.
In order to determine the proposed FY
2020 relative weights for the proposed
low-volume MS–LTC–DRGs, consistent
with our historical practice, we are
proposing to use the five low-volume
quintiles described previously. We
determined a proposed relative weight
and (geometric) average length of stay
for each of the five proposed lowvolume quintiles using the methodology
described in section VII.B.3.g. of the
preamble of this proposed rule. We are
proposing to assign the same proposed
relative weight and average length of
stay to each of the proposed low-volume
MS–LTC–DRGs that make up an
individual low-volume quintile. We
note that, as this system is dynamic, it
is possible that the number and specific
type of MS–LTC–DRGs with a lowvolume of applicable LTCH cases will
vary in the future. Furthermore, we note
that we continue to monitor the volume
(that is, the number of applicable LTCH
cases) in the low-volume quintiles to
ensure that our quintile assignments
used in determining the MS–LTC–DRG
relative weights result in appropriate
payment for LTCH cases grouped to
proposed low-volume MS–LTC–DRGs
and do not result in an unintended
financial incentive for LTCHs to
inappropriately admit these types of
cases.
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g. Steps for Determining the Proposed
FY 2020 MS–LTC–DRG Relative
Weights
In this proposed rule, we are
proposing to continue to use our current
methodology to determine the proposed
FY 2020 MS–LTC–DRG relative weights.
In summary, to determine the
proposed FY 2020 MS–LTC–DRG
relative weights, we are proposing to
group applicable LTCH cases to the
appropriate proposed MS–LTC–DRG,
while taking into account the proposed
low-volume quintiles (as described
above) and cross-walked proposed novolume MS–LTC–DRGs (as described
later in this section). After establishing
the appropriate proposed MS–LTC–DRG
(or proposed low-volume quintile), we
are proposing to calculate the proposed
FY 2020 relative weights by first
removing cases with a length of stay of
7 days or less and statistical outliers
(Steps 1 and 2 below). Next, we are
proposing to adjust the number of
applicable LTCH cases in each proposed
MS–LTC–DRG (or proposed low-volume
quintile) for the effect of SSO cases
(Step 3 below). After removing
applicable LTCH cases with a length of
stay of 7 days or less (Step 1 below) and
statistical outliers (Step 2 below), which
are the SSO-adjusted applicable LTCH
cases and corresponding charges (Step 3
below), we are proposing to we
calculate proposed ‘‘relative adjusted
weights’’ for each proposed MS–LTC–
DRG (or proposed low-volume quintile)
using the HSRV method.
Step 1—Remove cases with a length
of stay of 7 days or less.
The first step in our proposed
calculation of the proposed FY 2020
MS–LTC–DRG relative weights is to
remove cases with a length of stay of 7
days or less. The MS–LTC–DRG relative
weights reflect the average of resources
used on representative cases of a
specific type. Generally, cases with a
length of stay of 7 days or less do not
belong in an LTCH because these stays
do not fully receive or benefit from
treatment that is typical in an LTCH
stay, and full resources are often not
used in the earlier stages of admission
to an LTCH. If we were to include stays
of 7 days or less in the computation of
the FY 2020 MS–LTC–DRG relative
weights, the value of many relative
weights would decrease and, therefore,
payments would decrease to a level that
may no longer be appropriate. We do
not believe that it would be appropriate
to compromise the integrity of the
payment determination for those LTCH
cases that actually benefit from and
receive a full course of treatment at an
LTCH by including data from these very
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short stays. Therefore, consistent with
our existing relative weight
methodology, in determining the
proposed FY 2020 MS–LTC–DRG
relative weights, we are proposing to
remove LTCH cases with a length of stay
of 7 days or less from applicable LTCH
cases. (For additional information on
what is removed in this step of the
relative weight methodology, we refer
readers to 67 FR 55989 and 74 FR
43959.)
Step 2—Remove statistical outliers.
The next step in our proposed
calculation of the proposed FY 2020
MS–LTC–DRG relative weights is to
remove statistical outlier cases from the
LTCH cases with a length of stay of at
least 8 days. Consistent with our
existing relative weight methodology,
we are proposing to continue to define
statistical outliers as cases that are
outside of 3.0 standard deviations from
the mean of the log distribution of both
charges per case and the charges per day
for each MS–LTC–DRG. These statistical
outliers are removed prior to calculating
the proposed relative weights because
we believe that they may represent
aberrations in the data that distort the
measure of average resource use.
Including those LTCH cases in the
calculation of the proposed relative
weights could result in an inaccurate
relative weight that does not truly
reflect relative resource use among those
MS–LTC–DRGs. (For additional
information on what is removed in this
step of the proposed relative weight
methodology, we refer readers to 67 FR
55989 and 74 FR 43959.) After removing
cases with a length of stay of 7 days or
less and statistical outliers, we were left
with applicable LTCH cases that have a
length of stay greater than or equal to 8
days. In this proposed rule, we refer to
these cases as ‘‘trimmed applicable
LTCH cases.’’
Step 3—Adjust charges for the effects
of SSOs.
As the next step in the proposed
calculation of the proposed FY 2020
MS–LTC–DRG relative weights,
consistent with our historical approach,
we are proposing to adjust each LTCH’s
charges per discharge for those
remaining cases (that is, trimmed
applicable LTCH cases) for the effects of
SSOs (as defined in § 412.529(a) in
conjunction with § 412.503).
Specifically, we are proposing to make
this adjustment by counting an SSO
case as a fraction of a discharge based
on the ratio of the length of stay of the
case to the average length of stay for the
MS–LTC–DRG for non-SSO cases. This
has the effect of proportionately
reducing the impact of the lower
charges for the SSO cases in calculating
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the average charge for the MS–LTC–
DRG. This process produces the same
result as if the actual charges per
discharge of an SSO case were adjusted
to what they would have been had the
patient’s length of stay been equal to the
average length of stay of the MS–LTC–
DRG.
Counting SSO cases as full LTCH
cases with no adjustment in
determining the proposed FY 2020 MS–
LTC–DRG relative weights would lower
the proposed FY 2020 MS–LTC–DRG
relative weight for affected MS–LTC–
DRGs because the relatively lower
charges of the SSO cases would bring
down the average charge for all cases
within a MS–LTC–DRG. This would
result in an ‘‘underpayment’’ for nonSSO cases and an ‘‘overpayment’’ for
SSO cases. Therefore, we are proposing
to continue to adjust for SSO cases
under § 412.529 in this manner because
it would result in more appropriate
payments for all LTCH PPS standard
Federal payment rate cases. (For
additional information on this step of
the relative weight methodology, we
refer readers to 67 FR 55989 and 74 FR
43959.)
Step 4—Calculate the proposed FY
2020 MS–LTC–DRG relative weights on
an iterative basis.
Consistent with our historical relative
weight methodology, we are proposing
to calculate the proposed FY 2020 MS–
LTC–DRG relative weights using the
HSRV methodology, which is an
iterative process. First, for each SSOadjusted trimmed applicable LTCH case,
we calculated a hospital-specific
relative charge value by dividing the
charge per discharge after adjusting for
SSOs of the LTCH case (from Step 3) by
the average charge per SSO-adjusted
discharge for the LTCH in which the
case occurred. The resulting ratio is
then multiplied by the LTCH’s case-mix
index to produce an adjusted hospitalspecific relative charge value for the
case. We used an initial case-mix index
value of 1.0 for each LTCH.
For each proposed MS–LTC–DRG, we
calculated the proposed FY 2020
relative weight by dividing the SSOadjusted average of the hospital-specific
relative charge values for applicable
LTCH cases for the proposed MS–LTC–
DRG (that is, the sum of the hospitalspecific relative charge value from
above divided by the sum of equivalent
cases from Step 3 for each proposed
MS–LTC–DRG) by the overall SSOadjusted average hospital-specific
relative charge value across all
applicable LTCH cases for all LTCHs
(that is, the sum of the hospital-specific
relative charge value from above
divided by the sum of equivalent
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applicable LTCH cases from Step 3 for
each proposed MS–LTC–DRG). Using
these recalculated MS–LTC–DRG
relative weights, each LTCH’s average
relative weight for all of its SSOadjusted trimmed applicable LTCH
cases (that is, its case-mix) was
calculated by dividing the sum of all the
LTCH’s MS–LTC–DRG relative weights
by its total number of SSO-adjusted
trimmed applicable LTCH cases. The
LTCHs’ hospital-specific relative charge
values (from previous) are then
multiplied by the hospital-specific casemix indexes. The hospital-specific casemix adjusted relative charge values are
then used to calculate a new set of
proposed MS–LTC–DRG relative
weights across all LTCHs. This iterative
process continued until there was
convergence between the relative
weights produced at adjacent steps, for
example, when the maximum difference
was less than 0.0001.
Step 5—Determine a proposed FY
2020 relative weight for MS–LTC–DRGs
with no applicable LTCH cases.
Using the trimmed applicable LTCH
cases, consistent with our historical
methodology, we identified the
proposed MS–LTC–DRGs for which
there were no claims in the December
2018 update of the FY 2018 MedPAR
file and, therefore, for which no charge
data was available for these proposed
MS–LTC–DRGs. Because patients with a
number of the diagnoses under these
proposed MS–LTC–DRGs may be
treated at LTCHs, consistent with our
historical methodology, we generally
assign a proposed relative weight to
each of the proposed no-volume MS–
LTC–DRGs based on clinical similarity
and relative costliness (with the
exception of ‘‘transplant’’ proposed MS–
LTC–DRGs, ‘‘error’’ proposed MS–LTC–
DRGs, and proposed MS–LTC–DRGs
that indicate a principal diagnosis
related to a psychiatric diagnosis or
rehabilitation (referred to as the
‘‘psychiatric or rehabilitation’’ MS–
LTC–DRGs), as discussed later in this
section of this proposed rule). (For
additional information on this step of
the relative weight methodology, we
refer readers to 67 FR 55991 and 74 FR
43959 through 43960.)
We are proposing to cross-walk each
no-volume proposed MS–LTC–DRG to
another proposed MS–LTC–DRG for
which we calculated a proposed relative
weight (determined in accordance with
the methodology described above).
Then, the ‘‘no-volume’’ proposed MS–
LTC–DRG was assigned the same
proposed relative weight (and average
length of stay) of the proposed MS–
LTC–DRG to which it was cross-walked
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(as described in greater detail in this
section of this proposed rule).
Of the 761 proposed MS–LTC–DRGs
for FY 2020, we identified 320 MS–
LTC–DRGs for which there were no
trimmed applicable LTCH cases (the
number identified includes the 8
‘‘transplant’’ MS–LTC–DRGs, the 2
‘‘error’’ MS–LTC–DRGs, and the 15
‘‘psychiatric or rehabilitation’’ MS–
LTC–DRGs, which are discussed below).
We are proposing to assign proposed
relative weights to each of the 320 novolume proposed MS–LTC–DRGs that
contained trimmed applicable LTCH
cases based on clinical similarity and
relative costliness to 1 of the remaining
441 (761¥320 = 441) proposed MS–
LTC–DRGs for which we calculated
proposed relative weights based on the
trimmed applicable LTCH cases in the
FY 2018 MedPAR file data using the
steps described previously. (For the
remainder of this discussion, we refer to
the ‘‘cross-walked’’ proposed MS–LTC–
DRGs as the proposed MS–LTC–DRGs to
which we cross-walked 1 of the 320
‘‘no-volume’’ proposed MS–LTC–DRGs.)
Then, we are generally proposing to
assign the 320 no-volume proposed MS–
LTC–DRGs the proposed relative weight
of the cross-walked proposed MS–LTC–
DRG. (As explained below in Step 6,
when necessary, we made adjustments
to account for nonmonotonicity.)
We cross-walked the no-volume
proposed MS–LTC–DRG to a proposed
MS–LTC–DRG for which we calculated
proposed relative weights based on the
December 2018 update of the FY 2018
MedPAR file, and to which it is similar
clinically in intensity of use of resources
and relative costliness as determined by
criteria such as care provided during the
period of time surrounding surgery,
surgical approach (if applicable), length
of time of surgical procedure,
postoperative care, and length of stay.
(For more details on our process for
evaluating relative costliness, we refer
readers to the FY 2010 IPPS/RY 2010
LTCH PPS final rule (73 FR 48543).) We
believe in the rare event that there
would be a few LTCH cases grouped to
one of the no-volume proposed MS–
LTC–DRGs in FY 2020, the proposed
relative weights assigned based on the
cross-walked proposed MS–LTC–DRGs
would result in an appropriate LTCH
PPS payment because the crosswalks,
which are based on clinical similarity
and relative costliness, would be
expected to generally require equivalent
relative resource use.
We then assigned the proposed
relative weight of the cross-walked
proposed MS–LTC–DRG as the
proposed relative weight for the novolume proposed MS–LTC–DRG such
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that both of these proposed MS–LTC–
DRGs (that is, the no-volume proposed
MS–LTC–DRG and the cross-walked
proposed MS–LTC–DRG) have the same
proposed relative weight (and average
length of stay) for FY 2020. We note
that, if the cross-walked proposed MS–
LTC–DRG had 25 applicable LTCH
cases or more, its proposed relative
weight (calculated using the
methodology described in Steps 1
through 4 above) is assigned to the novolume proposed MS–LTC–DRG as
well. Similarly, if the proposed MS–
LTC–DRG to which the no-volume
proposed MS–LTC–DRG was crosswalked had 24 or less cases and,
therefore, was designated to 1 of the
proposed low-volume quintiles for
purposes of determining the proposed
relative weights, we assigned the
proposed relative weight of the
applicable proposed low-volume
quintile to the no-volume proposed MS–
LTC–DRG such that both of these
proposed MS–LTC–DRGs (that is, the
no-volume proposed MS–LTC–DRG and
the cross-walked proposed MS–LTC–
DRG) have the same proposed relative
weight for FY 2020. (As we noted
previously, in the infrequent case where
nonmonotonicity involving a no-volume
proposed MS–LTC–DRG resulted,
additional adjustments as described in
Step 6 are required in order to maintain
monotonically increasing proposed
relative weights.)
As discussed earlier, for this proposed
rule, we are providing the list of the novolume proposed MS–LTC–DRGs and
the proposed MS–LTC–DRGs to which
each was cross-walked (that is, the
cross-walked proposed MS–LTC–DRGs)
for FY 2020 in a supplemental data file
for public use posted via the internet on
the CMS website for this proposed rule
at: https://www.cms.hhs.gov/Medicare/
Medicare-Fee-for-Service-Payment/
AcuteInpatientPPS/ in order
to streamline the information made
available to the public that is used in
the annual development of Table 11.
To illustrate this methodology for
determining the proposed relative
weights for the proposed FY 2020 MS–
LTC–DRGs with no applicable LTCH
cases, we are providing the following
example, which refers to the no-volume
proposed MS–LTC–DRGs crosswalk
information for FY 2020 (which, as
previously stated, we are providing in a
supplemental data file posted via the
internet on the CMS website for this
proposed rule).
Example: There were no trimmed
applicable LTCH cases in the FY 2018
MedPAR file that we are using for this
proposed rule for proposed MS–LTC–
DRG 061 (Acute Ischemic Stroke with
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Use of Thrombolytic Agent with MCC).
We determined that proposed MS–LTC–
DRG 070 (Nonspecific Cerebrovascular
Disorders with MCC) is similar
clinically and based on resource use to
proposed MS–LTC–DRG 061. Therefore,
we assigned the same proposed relative
weight (and average length of stay) of
proposed MS–LTC–DRG 70 of 0.8909
for FY 2020 to proposed MS–LTC–DRG
061 (we refer readers to Table 11, which
is listed in section VI. of the Addendum
to this proposed rule and is available via
the internet on the CMS website).
Again, we note that, as this system is
dynamic, it is entirely possible that the
number of proposed MS–LTC–DRGs
with no volume will vary in the future.
Consistent with our historical practice,
we are proposing to use the most recent
available claims data to identify the
trimmed applicable LTCH cases from
which we determine the relative
weights in the final rule.
For FY 2020, consistent with our
historical relative weight methodology,
we are proposing to establish a
proposed relative weight of 0.0000 for
the following transplant proposed MS–
LTC–DRGs: Heart Transplant or Implant
of Heart Assist System with MCC (MS–
LTC–DRG 001); Heart Transplant or
Implant of Heart Assist System without
MCC (MS–LTC–DRG 002); Liver
Transplant with MCC or Intestinal
Transplant (MS–LTC–DRG 005); Liver
Transplant without MCC (MS–LTC–
DRG 006); Lung Transplant (MS–LTC–
DRG 007); Simultaneous Pancreas/
Kidney Transplant (MS–LTC–DRG 008);
Pancreas Transplant (MS–LTC–DRG
010); and Kidney Transplant (MS–LTC–
DRG 652). This is because Medicare
only covers these procedures if they are
performed at a hospital that has been
certified for the specific procedures by
Medicare and presently no LTCH has
been so certified. At the present time,
we include these eight proposed
transplant MS–LTC–DRGs in the
GROUPER program for administrative
purposes only. Because we use the same
GROUPER program for LTCHs as is used
under the IPPS, removing these MS–
LTC–DRGs would be administratively
burdensome. (For additional
information regarding our treatment of
transplant MS–LTC–DRGs, we refer
readers to the RY 2010 LTCH PPS final
rule (74 FR 43964).) In addition,
consistent with our historical policy, we
are proposing to establish a relative
weight of 0.0000 for the 2 ‘‘error’’ MS–
LTC–DRGs (that is, MS–LTC–DRG 998
(Principal Diagnosis Invalid as
Discharge Diagnosis) and MS–LTC–DRG
999 (Ungroupable)) because applicable
LTCH cases grouped to these MS–LTC–
DRGs cannot be properly assigned to an
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MS–LTC–DRG according to the
grouping logic.
Section 51005 of the Bipartisan
Budget Act of 2018 (Pub. L. 115–123)
extended the transitional blended
payment rate for site neutral payment
rate cases for an additional 2 years (that
is, discharges occurring in cost reporting
periods beginning in FYs 2018 and 2019
continued to be paid under the blended
payment rate). Therefore, in the FY 2019
IPPS/LTCH PPS final rule (83 FR
41529), consistent with our practice in
FYs 2016 through 2018, we established
a relative weight for FY 2019 equal to
the respective FY 2015 relative weight
of the MS–LTC–DRGs for the following
‘‘psychiatric or rehabilitation’’ MS–
LTC–DRGs: MS–LTC–DRG 876 (O.R.
Procedure with Principal Diagnoses of
Mental Illness); MS–LTC–DRG 880
(Acute Adjustment Reaction &
Psychosocial Dysfunction); MS–LTC–
DRG 881 (Depressive Neuroses); MS–
LTC–DRG 882 (Neuroses Except
Depressive); MS–LTC–DRG 883
(Disorders of Personality & Impulse
Control); MS–LTC–DRG 884 (Organic
Disturbances & Mental Retardation);
MS–LTC–DRG 885 (Psychoses); MS–
LTC–DRG 886 (Behavioral &
Developmental Disorders); MS–LTC–
DRG 887 (Other Mental Disorder
Diagnoses); MS–LTC–DRG 894
(Alcohol/Drug Abuse or Dependence,
Left Ama); MS–LTC–DRG 895 (Alcohol/
Drug Abuse or Dependence, with
Rehabilitation Therapy); MS–LTC–DRG
896 (Alcohol/Drug Abuse or
Dependence, without Rehabilitation
Therapy with MCC); MS–LTC–DRG 897
(Alcohol/Drug Abuse or Dependence,
without Rehabilitation Therapy without
MCC); MS–LTC–DRG 945
(Rehabilitation with CC/MCC); and MS–
LTC–DRG 946 (Rehabilitation without
CC/MCC). As we discussed when we
implemented the dual rate LTCH PPS
payment structure, LTCH discharges
that are grouped to these 15 ‘‘psychiatric
and rehabilitation’’ MS–LTC–DRGs do
not meet the criteria for exclusion from
the site neutral payment rate. As such,
under the criterion for a principal
diagnosis relating to a psychiatric
diagnosis or to rehabilitation, there are
no applicable LTCH cases to use in
calculating a relative weight for the
‘‘psychiatric and rehabilitation’’ MS–
LTC–DRGs. In other words, any LTCH
PPS discharges grouped to any of the 15
‘‘psychiatric and rehabilitation’’ MS–
LTC–DRGs would always be paid at the
site neutral payment rate, and, therefore,
those MS–LTC–DRGs would never
include any LTCH cases that meet the
criteria for exclusion from the site
neutral payment rate. However, section
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1886(m)(6)(B) of the Act establishes a
transitional payment method for cases
that would be paid at the site neutral
payment rate for LTCH discharges
occurring in cost reporting periods
beginning during FY 2016 or FY 2017,
which was extended to include FYs
2018 and 2019 under Public Law 115–
123. (We refer readers to section VII.C.
of the preamble of the FY 2019 IPPS/
LTCH PPS final rule for a detailed
discussion of the extension of the
transitional blended payment method
provisions under Public Law 115–123
and our policies for FY 2019). Under the
transitional blended payment method
for site neutral payment rate cases, for
LTCH discharges occurring in cost
reporting periods beginning on or after
October 1, 2018, and on or before
September 30, 2019, site neutral
payment rate cases are paid a blended
payment rate, calculated as 50 percent
of the applicable site neutral payment
rate amount for the discharge and 50
percent of the applicable LTCH PPS
standard Federal payment rate. Because
this transitional blended payment
method for site neutral payment rate
cases is applicable for LTCH discharges
occurring in cost reporting periods
beginning on or after October 1, 2018,
and on or before September 30, 2019,
some LTCHs’ site neutral payment rate
cases that are discharged during FY
2020 will be paid a blended payment
rate.
Because the LTCH PPS standard
Federal payment rate is based on the
relative weight of the MS–LTC–DRG, in
order to determine the transitional
blended payment for site neutral
payment rate cases grouped to one of
the ‘‘psychiatric or rehabilitation’’ MS–
LTC–DRGs in FY 2020, consistent with
past practice, we are proposing to assign
a relative weight to these MS–LTC–
DRGs for FY 2020 that is the same as the
FY 2019 relative weight (which is also
the same as the FYs 2016 through 2019
relative weight). We believed that using
the respective FY 2015 relative weight
for each of the ‘‘psychiatric or
rehabilitation’’ MS–LTC–DRGs results
in appropriate payments for LTCH cases
that are paid at the site neutral payment
rate under the transition policy
provided by the statute because there
are no clinically similar MS–LTC–DRGs
for which we were able to determine
relative weights based on applicable
LTCH cases in the December 2018
update of the FY 2018 MedPAR file data
using the steps described above.
Furthermore, we believed that it would
be administratively burdensome and
introduce unnecessary complexity to
the MS–LTC–DRG relative weight
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calculation to use the LTCH discharges
in the MedPAR file data to calculate a
relative weight for those 15 ‘‘psychiatric
and rehabilitation’’ MS–LTC–DRGs to
be used for the sole purposes of
determining half of the transitional
blended payment for site neutral
payment rate cases during the transition
period (80 FR 49631 through 49632) or
payment for discharges from spinal cord
specialty hospitals under
§ 412.522(b)(4).
In summary, for FY 2020, we are
proposing to establish a relative weight
(and average length of stay thresholds)
equal to the respective FY 2015 relative
weight of the MS–LTC–DRGs for the 15
‘‘psychiatric or rehabilitation’’ MS–
LTC–DRGs listed previously (that is,
MS–LTC–DRGs 876, 880, 881, 882, 883,
884, 885, 886, 887, 894, 895, 896, 897,
945, and 946). Table 11, which is listed
in section VI. of the Addendum to this
proposed rule and is available via the
internet on the CMS website, reflects
this policy.
Step 6—Adjust the proposed FY
20120MS–LTC–DRG relative weights to
account for nonmonotonically
increasing relative weights.
The MS–DRGs contain base DRGs that
have been subdivided into one, two, or
three severity of illness levels. Where
there are three severity levels, the most
severe level has at least one secondary
diagnosis code that is referred to as an
MCC (that is, major complication or
comorbidity). The next lower severity
level contains cases with at least one
secondary diagnosis code that is a CC
(that is, complication or comorbidity).
Those cases without an MCC or a CC are
referred to as ‘‘without CC/MCC.’’ When
data do not support the creation of three
severity levels, the base MS–DRG is
subdivided into either two levels or the
base MS–DRG is not subdivided. The
two-level subdivisions may consist of
the MS–DRG with CC/MCC and the
MS–DRG without CC/MCC.
Alternatively, the other type of twolevel subdivision may consist of the
MS–DRG with MCC and the MS–DRG
without MCC.
In those base MS–LTC–DRGs that are
split into either two or three severity
levels, cases classified into the ‘‘without
CC/MCC’’ MS–LTC–DRG are expected
to have a lower resource use (and lower
costs) than the ‘‘with CC/MCC’’ MS–
LTC–DRG (in the case of a two-level
split) or both the ‘‘with CC’’ and the
‘‘with MCC’’ MS–LTC–DRGs (in the
case of a three-level split). That is,
theoretically, cases that are more severe
typically require greater expenditure of
medical care resources and would result
in higher average charges. Therefore, in
the three severity levels, relative
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weights should increase by severity,
from lowest to highest. If the relative
weights decrease as severity increases
(that is, if within a base MS–LTC–DRG,
an MS–LTC–DRG with CC has a higher
relative weight than one with MCC, or
the MS–LTC–DRG ‘‘without CC/MCC’’
has a higher relative weight than either
of the others), they are nonmonotonic.
We continue to believe that utilizing
nonmonotonic relative weights to adjust
Medicare payments would result in
inappropriate payments because the
payment for the cases in the higher
severity level in a base MS–LTC–DRG
(which are generally expected to have
higher resource use and costs) would be
lower than the payment for cases in a
lower severity level within the same
base MS–LTC–DRG (which are generally
expected to have lower resource use and
costs). Therefore, in determining the
proposed FY 2020 MS–LTC–DRG
relative weights, consistent with our
historical methodology, we are
proposing to continue to combine MS–
LTC–DRG severity levels within a base
MS–LTC–DRG for the purpose of
computing a relative weight when
necessary to ensure that monotonicity is
maintained. For a comprehensive
description of our existing methodology
to adjust for nonmonotonicity, we refer
readers to the FY 2010 IPPS/RY 2010
LTCH PPS final rule (74 FR 43964
through 43966). Any adjustments for
nonmonotonicity that were made in
determining the proposed FY 2020 MS–
LTC–DRG relative weights in this
proposed rule by applying this
methodology are denoted in Table 11,
which is listed in section VI. of the
Addendum to this proposed rule and is
available via the internet on the CMS
website.
Step 7— Calculate the proposed FY
2020 MS–LTC–DRG reclassification and
recalibration budget neutrality factor.
In accordance with the regulations at
§ 412.517(b) (in conjunction with
§ 412.503), the annual update to the
MS–LTC–DRG classifications and
relative weights is done in a budget
neutral manner such that estimated
aggregate LTCH PPS payments would be
unaffected, that is, would be neither
greater than nor less than the estimated
aggregate LTCH PPS payments that
would have been made without the MS–
LTC–DRG classification and relative
weight changes. (For a detailed
discussion on the establishment of the
budget neutrality requirement for the
annual update of the MS–LTC–DRG
classifications and relative weights, we
refer readers to the RY 2008 LTCH PPS
final rule (72 FR 26881 and 26882).)
The MS–LTC–DRG classifications and
relative weights are updated annually
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based on the most recent available
LTCH claims data to reflect changes in
relative LTCH resource use (§ 412.517(a)
in conjunction with § 412.503). To
achieve the budget neutrality
requirement at § 412.517(b), under our
established methodology, for each
annual update, the MS–LTC–DRG
relative weights are uniformly adjusted
to ensure that estimated aggregate
payments under the LTCH PPS would
not be affected (that is, decreased or
increased). Consistent with that
provision, we are proposing to update
the MS–LTC–DRG classifications and
relative weights for FY 2020 based on
the most recent available LTCH data for
applicable LTCH cases, and continue to
apply a budget neutrality adjustment in
determining the proposed FY 2020 MS–
LTC–DRG relative weights.
In this FY 2020 IPPS/LTCH PPS
proposed rule, to ensure budget
neutrality in the update to the MS–LTC–
DRG classifications and relative weights
under § 412.517(b), we are proposing to
continue to use our established two-step
budget neutrality methodology.
To calculate the proposed
normalization factor for FY 2020, we are
proposing to group applicable LTCH
cases using the proposed FY 2020
Version 37 GROUPER, and the
recalibrated proposed FY 2020 MS–
LTC–DRG relative weights to calculate
the average case-mix index (CMI); we
grouped the same applicable LTCH
cases using the FY 2019 GROUPER
Version 36 and MS–LTC–DRG relative
weights and calculated the average CMI;
and computed the ratio by dividing the
average CMI for FY 2019 by the average
CMI for proposed FY 2020. That ratio is
the proposed normalization factor.
Because the calculation of the proposed
normalization factor involves the
proposed relative weights for the
proposed MS–LTC–DRGs that contained
applicable LTCH cases to calculate the
average CMIs, any low-volume proposed
MS–LTC–DRGs are included in the
calculation (and the proposed MS–LTC–
DRGs with no applicable LTCH cases
are not included in the calculation).
To calculate the proposed budget
neutrality adjustment factor, we
simulated estimated total FY 2020
LTCH PPS standard Federal payment
rate payments for applicable LTCH
cases using the proposed FY 2020
normalized relative weights and
proposed GROUPER Version 37;
simulated estimated total FY 2020
LTCH PPS standard Federal payment
rate payments for applicable LTCH
cases using the FY 2019 MS–LTC–DRG
relative weights and the FY 2019
GROUPER Version 36; and calculated
the ratio of these estimated total
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payments by dividing the simulated
estimated total LTCH PPS standard
Federal payment rate payments using
the FY 2019 MS–LTC–DRG relative
weights and the GROUPER Version 36
by the simulated estimated total LTCH
PPS standard Federal payment rate
payments using the proposed FY 2020
MS–LTC–DRG relative weights and the
proposed GROUPER Version 37. The
resulting ratio is the proposed budget
neutrality adjustment factor. The
calculation of the proposed budget
neutrality factor involves the proposed
relative weights for the LTCH cases used
in the payment simulation, which
includes any cases grouped to lowvolume proposed MS–LTC–DRGs or to
proposed MS–LTC–DRGs with no
applicable LTCH cases, and generally
does not include payments for cases
grouped to a proposed MS–LTC–DRG
with no applicable LTCH cases.
(Occasionally, a few LTCH cases (that is,
those with a covered length of stay of 7
days or less), which are removed from
the proposed relative weight calculation
in step (2) that are grouped to a
proposed MS–LTC–DRG with no
applicable LTCH cases are included in
the payment simulations used to
calculate the proposed budget neutrality
factor. However, the number and
payment amount of such cases have a
negligible impact on the proposed
budget neutrality factor calculation).
In this proposed rule, to ensure
budget neutrality in the update to the
MS–LTC–DRG classifications and
relative weights under § 412.517(b), we
are proposing to continue to use our
established two-step budget neutrality
methodology. Therefore, in this
proposed rule, in the first step of our
proposed MS–LTC–DRG budget
neutrality methodology, for FY 2020, we
are proposing to calculate and apply a
proposed normalization factor to the
recalibrated proposed relative weights
(the result of Steps 1 through 6
discussed previously) to ensure that
estimated payments are not affected by
changes in the composition of case
types or the proposed changes to the
classification system. That is, the
proposed normalization adjustment is
intended to ensure that the recalibration
of the proposed MS–LTC–DRG relative
weights (that is, the process itself)
neither increases nor decreases the
average case-mix index.
To calculate the proposed
normalization factor for FY 2020 (the
first step of our proposed budget
neutrality methodology), we used the
following three steps: (1.a.) Used the
most recent available applicable LTCH
cases from the most recent available
data (that is, LTCH discharges from the
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FY 2018 MedPAR file) and grouped
them using the proposed FY 2020
GROUPER (that is, proposed Version 37
for FY 2020) and the recalibrated
proposed FY 2020 MS–LTC–DRG
relative weights (determined in Steps 1
through 6 above) to calculate the
average case-mix index; (1.b.) grouped
the same applicable LTCH cases (as are
used in Step 1.a.) using the FY 2019
GROUPER (Version 36) and FY 2019
MS–LTC–DRG relative weights and
calculated the average case-mix index;
and (1.c.) computed the ratio of these
average case-mix indexes by dividing
the average CMI for FY 2020
(determined in Step 1.a.) by the average
case-mix index for FY 2019 (determined
in Step 1.b.). As a result, in determining
the proposed MS–LTC–DRG relative
weights for FY 2020, each recalibrated
proposed MS–LTC–DRG relative weight
is multiplied by the proposed
normalization factor of 1.271
(determined in Step 1.c.) in the first step
of the proposed budget neutrality
methodology, which produced
‘‘normalized relative weights.’’
In the second step of our proposed
MS–LTC–DRG budget neutrality
methodology, we calculated a second
proposed budget neutrality factor
consisting of the ratio of estimated
aggregate FY 2020 LTCH PPS standard
Federal payment rate payments for
applicable LTCH cases (the sum of all
calculations under Step 1.a. mentioned
previously) after reclassification and
recalibration to estimated aggregate
payments for FY 2020 LTCH PPS
standard Federal payment rate
payments for applicable LTCH cases
before reclassification and recalibration
(that is, the sum of all calculations
under Step 1.b. mentioned previously).
That is, for this proposed rule, for FY
2020, under the second step of the
proposed budget neutrality
methodology, we are proposing to
determine the proposed budget
neutrality adjustment factor using the
following three steps: (2.a.) Simulated
estimated total FY 2020 LTCH PPS
standard Federal payment rate
payments for applicable LTCH cases
using the proposed normalized relative
weights for FY 2020 and proposed
GROUPER Version 37 (as described
above); (2.b.) simulated estimated total
FY 2020 LTCH PPS standard Federal
payment rate payments for applicable
LTCH cases using the FY 2019
GROUPER (Version 36) and the FY 2019
MS–LTC–DRG relative weights in Table
11 of the FY 2019 IPPS/LTCH PPS final
rule available on the internet, as
described in section VI. of the
Addendum of that final rule; and (2.c.)
calculated the ratio of these estimated
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total payments by dividing the value
determined in Step 2.b. by the value
determined in Step 2.a. In determining
the proposed FY 2020 MS–LTC–DRG
relative weights, each normalized
proposed relative weight is then
multiplied by a budget neutrality factor
of 0.9971599 (the value determined in
Step 2.c.) in the second step of the
proposed budget neutrality
methodology to achieve the budget
neutrality requirement at § 412.517(b).
Accordingly, in determining the
proposed FY 2020 MS–LTC–DRG
relative weights in this proposed rule,
consistent with our existing
methodology, we are proposing to apply
a normalization factor of 1.271 and a
budget neutrality factor of 0.9971599.
Table 11, which is listed in section VI.
of the Addendum to this proposed rule
and is available via the internet on the
CMS website, lists the proposed MS–
LTC–DRGs and their respective
proposed relative weights, geometric
mean length of stay, and five-sixths of
the geometric mean length of stay (used
to identify SSO cases under
§ 412.529(a)) for FY 2020.
C. Proposed Payment Adjustment for
LTCH Discharges That Do Not Meet the
Applicable Discharge Payment
Percentage
Section 1886(m)(6)(C) of the Act, as
added by section 1206 of the Pathway
for SGR Reform Act of 2013 (Pub. L.
113–67), imposes several requirements
related to an LTCH’s discharge payment
percentage. As defined by section
1886(m)(6)(C)(iv) of the Act, the term
‘‘LTCH discharge payment percentage’’
is a ratio, expressed as a percentage, of
Medicare fee-for-service (FFS)
discharges not paid the site neutral
payment rate to total number of
Medicare FFS discharges occurring
during the cost reporting period. In
other words, an LTCH’s discharge
payment percentage is the ratio of an
LTCH’s Medicare discharges that meet
the criteria for exclusion from the site
neutral payment rate (as described
under § 412.522(a)), that is, discharges
paid the LTCH PPS standard Federal
payment rate, to an LTCH’s total
number of Medicare FFS discharges
paid under the LTCH PPS during the
cost reporting period. Section
1886(m)(6)(C)(ii)(I) of the Act, requires
that, for cost reporting periods
beginning on or after October 1, 2019,
any LTCH with a discharge payment
percentage for the cost reporting period
that is not at least 50 percent be
informed of such a fact; and section
1886(m)(6)(C)(ii)(II) of the Act requires
that all of the LTCH’s discharges in each
successive cost reporting period be paid
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the payment amount that would apply
under subsection (d) for the discharge if
the hospital were a subsection (d)
hospital, subject to the LTCH’s
compliance with the process for
reinstatement provided for by section
1886(m)(6)(C)(iii) of the Act.
Section 1886(m)(6)(C)(i) of the Act
requires that we provide notice to each
LTCH of the LTCH’s discharge payment
percentage for LTCH cost reporting
periods beginning during or after FY
2016. We implemented this requirement
in the FY 2016 IPPS/LTCH PPS final
rule (80 FR 49613), and we have
established subregulatory policies and
timeframes by which we calculate and
inform LTCHs of their discharge
payment percentage. We note that,
because the discharge payment
percentage for a cost reporting period
cannot be calculated until after the cost
reporting period has ended, in order to
ensure claims for the entire period are
reflected, an LTCH is typically informed
of the results of the calculation of the
discharge payment percentage between
5 and 6 months after the end of the cost
reporting period.
To implement the provisions of
section 1886(m)(6)(C)(ii)(I) of the Act, as
established by the amendments made by
Public Law 113–67, we are proposing to
continue to use our existing policy to
calculate the discharge payment
percentage and to inform LTCHs when
their discharge payment percentage for
the cost reporting period is not at least
50 percent. To implement the
provisions of section
1886(m)(6)(C)(ii)(II) of the Act, as
established by the amendments made by
Public Law 113–67, we are proposing to
establish the policy that an LTCH would
become subject to a payment adjustment
for all of its cost reporting periods
beginning on or after October 1, 2019,
and is notified that its calculated
discharge payment percentage did not
equal at least 50 percent. For example,
if an LTCH has a calendar year cost
reporting period, its first cost reporting
period beginning on or after October 1,
2019 would be its January 1, 2020
through December 31, 2020 cost
reporting period (that is, its FY 2020
cost reporting period). Because a cost
reporting period must have ended and
claims from the reporting period must
be processed prior to the calculation of
the discharge payment percentage, a
hospital’s discharge payment percentage
for its FY 2020 cost reporting period
cannot be calculated for approximately
6 months; that is, not completed until
sometime during its FY 2021 cost
reporting period. If the discharge
payment percentage for its FY 2020 cost
reporting period is not at least 50
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percent (when calculated during its FY
2021 cost reporting period), under our
proposal, the LTCH would become
subject to a payment adjustment,
applied to all discharges, for its FY 2022
cost reporting period (the first cost
reporting period after its discharge
payment percentage for a cost reporting
period had been calculated to not have
been at least 50 percent). We are
proposing to codify the proposed
implementation of these regulations
establishing the policy to adjust
payment to an LTCH for all discharges
when the LTCH does not meet the
discharge payment percentage after it is
notified for cost reporting periods
beginning on or after October 1, 2019,
under proposed new § 412.522(d)(3).
As noted above, section
1886(m)(6)(C)(iii) of the Act, as
established by the amendments made by
Public Law 113–67, provides for the
establishment of a reinstatement process
whereby an LTCH can have the payment
adjustment discontinued. To implement
and maintain a reinstatement process as
required by the statute, we are
proposing to discontinue the payment
adjustment for an LTCH’s discharges as
a result of its discharge payment
percentage not equaling at least 50
percent beginning with the discharges
occurring in the cost reporting period
after the LTCH’s discharge payment
percentage is calculated to be at least 50
percent. For example, the LTCH with a
calendar year cost reporting period that
did not have a discharge payment
percentage of at least 50 percent during
its FY 2020 cost reporting period would
be subject to the payment adjustment for
its FY 2022 cost reporting period, as
described above. However, if the
discharge payment percentage for its FY
2021 cost reporting period equaled at
least 50 percent, the calculation (and
notification thereof) of such percentage
would be made during FY 2022, and the
payment adjustment would be
discontinued beginning with discharges
occurring at the start of its FY 2023 cost
reporting period. We note that this
proposed policy is based on cost
reporting periods, is cyclical in nature,
and, as such, an LTCH that has been
reinstated would be subject to the
payment adjustment again (in a future
cost reporting period) if its discharge
payment percentage is again calculated
not to meet the required threshold. We
are proposing to codify the proposed
policy reinstatement process for LTCHs
under the discharge payment percentage
requirements in proposed new
§ 412.522(d)(5).
While we believe the proposed policy
reinstatement process would satisfy the
statutory requirement without further
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modification, because there could be
unusual circumstances that result in a
discharge payment percentage for a cost
reporting period that may not be fully
reflective of an LTCH’s typical mix of
site neutral and LTCH PPS standard
Federal payment rate discharges (for
example, patients require a shorter
period of ventilation than was expected
on admission), we also are proposing a
special probationary reinstatement
process, which is consistent with public
comments we received during the FY
2016 rulemaking when the dual-rate
payment system was implemented.
While the public comments from the FY
2016 rulemaking cycle did not request
that the special reinstatement process be
probationary, we are concerned that,
while there are unusual circumstances
that may result in the discharge
payment percentage for a cost reporting
period not being fully reflective of an
LTCH’s typical mix of site neutral and
LTCH PPS standard Federal payment
rate discharges, if the special
reinstatement process were not
probationary, hospitals may be able to
manipulate discharges or delay billing
in such a way as to artificially inflate
their discharge payment percentage for
purposes of qualifying for the special
reinstatement process. To alleviate these
concerns, we are proposing that the
special reinstatement process be
probationary. Under this proposed
special probationary reinstatement
process, a probationary-cure period
would allow an LTCH the opportunity
to have the payment adjustment delayed
during the applicable cost reporting
period if, for the period of at least 5
consecutive months of the 6-month
period immediately preceding the
beginning of the cost reporting period
during which the adjustment would
apply (we note this time period is
consistent with our current policy for
the average length-of-stay
determination), the discharge payment
percentage is calculated to be at least 50
percent. Under such circumstances, the
LTCH would not ultimately be subject
to the payment adjustment for the cost
reporting period during which the
adjustment would apply—provided that
the discharge payment percentage for
that cost reporting period is at least 50
percent. If the discharge payment
percentage for that cost reporting period
is not at least 50 percent, the adjustment
will be applied to the cost reporting
period at settlement. For example, an
LTCH with a calendar year cost
reporting period that does not have a
discharge payment percentage of at least
50 percent during its FY 2020 cost
reporting period would be informed of
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this during its FY 2021 cost reporting
period. The payment adjustment would
then apply during its FY 2022 cost
reporting period. However, if in the 6month period immediately preceding
the cost reporting period for which the
payment adjustment would apply (July
1, 2021 through December 31, 2021), the
LTCH achieved at least 5 consecutive
months with a discharge payment
percentage that is calculated to be at
least 50 percent, application of the
payment adjustment would be delayed
during the FY 2022 cost reporting
period (that is, the payment adjustment
would not be applied to any discharges
that occur during the FY 2022 cost
reporting period). However, if the
discharge payment percentage that is
ultimately calculated for that LTCH’s FY
2022 cost reporting period (the period
for which the payment adjustment
would have applied if the LTCH had not
met the requirements during the
probationary-cure period) is not at least
50 percent, the payment adjustment
delay would be lifted, and the penalty
would be applied to payments made for
all of the discharges that occurred
during the FY 2022 cost reporting
period at settlement.
We are proposing to codify the policy
for a special probationary reinstatement
process under proposed new
§ 412.522(d)(6). We note that we expect
to issue subregulatory guidance to
describe the specific procedures for
implementing this proposed
probationary-cure period, if the policy is
finalized. However, we are inviting
public comments on suggestions
regarding the specific process to be
used, including whether the process
should mirror the existing process used
by LTCHs for the greater than 25-day
average length-of-stay requirements.
Section 1886(m)(6)(C)(ii) of the Act
specifies that, subject to the process for
reinstatement, when the requisite
discharge patient percentage threshold
is not met, all of the LTCH’s discharges
in each successive cost reporting period
will be paid the payment amount that
would apply under subsection (d) for
the discharge if the hospital were a
subsection (d) hospital. We note that
‘‘subsection (d)’’ as it is referred to
under section 1886(d) of the Act refers
to IPPS hospitals. For purposes of
implementing the payment adjustment
provisions of section 1886(m)(6)(C)(ii) of
the Act, as established by the
amendments of Public Law 113–67, we
are proposing to establish the policy at
proposed new § 412.522(d)(4) that, for
cost reporting periods beginning on or
after October 1, 2019, under this
payment adjustment, the LTCH would
receive payment for all discharges in the
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cost reporting periods beginning after
the LTCH is informed that its calculated
discharge payment percent is not at
least 50 percent at the amount
comparable to the IPPS amount
determined under §§ 412.529(d)(4)(i)(A)
and (ii), with an additional payment for
high-cost outlier cases that would be
based on the IPPS fixed-loss amount in
effect at the time of the LTCH discharge.
We note that the amount comparable to
the IPPS amount determined under
§§ 412.529(d)(4)(i)(A) and (ii) is the
basis of the IPPS comparable per diem
amount (for which the per diem is
calculated in accordance with the
provisions of §§ 412.529(d)(4)(i)(B) and
(C)) that are also used to calculate
payments under the SSO policy at
§ 412.529(c)(4) and site neutral payment
rate payments at § 412.522(c).
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D. Proposed Changes to the LTCH PPS
Payment Rates and Other Proposed
Changes to the LTCH PPS for FY 2020
1. Overview of Development of the
LTCH PPS Standard Federal Payment
Rates
The basic methodology for
determining LTCH PPS standard
Federal payment rates is currently set
forth at 42 CFR 412.515 through 412.533
and 412.535. In this section, we discuss
the factors that we are proposing to use
to update the LTCH PPS standard
Federal payment rate for FY 2020, that
is, effective for LTCH discharges
occurring on or after October 1, 2019
through September 30, 2020. Under the
dual rate LTCH PPS payment structure
required by statute, beginning with
discharges in cost reporting periods
beginning in FY 2016, only LTCH
discharges that meet the criteria for
exclusion from the site neutral payment
rate are paid based on the LTCH PPS
standard Federal payment rate specified
at § 412.523. (For additional details on
our finalized policies related to the dual
rate LTCH PPS payment structure
required by statute, we refer readers to
the FY 2016 IPPS/LTCH PPS final rule
(80 FR 49601 through 49623).)
Prior to the implementation of the
dual payment rate system in FY 2016,
all LTCH discharges were paid similarly
to those now exempt from the site
neutral payment rate. That legacy
payment rate was called the standard
Federal rate. For details on the
development of the initial standard
Federal rate for FY 2003, we refer
readers to the August 30, 2002 LTCH
PPS final rule (67 FR 56027 through
56037). For subsequent updates to the
standard Federal rate (FYs 2003 through
2015)/LTCH PPS standard Federal
payment rate (FY 2016 through present)
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as implemented under § 412.523(c)(3),
we refer readers to the following final
rules: RY 2004 LTCH PPS final rule (68
FR 34134 through 34140); RY 2005
LTCH PPS final rule (69 FR 25682
through 25684); RY 2006 LTCH PPS
final rule (70 FR 24179 through 24180);
RY 2007 LTCH PPS final rule (71 FR
27819 through 27827); RY 2008 LTCH
PPS final rule (72 FR 26870 through
27029); RY 2009 LTCH PPS final rule
(73 FR 26800 through 26804); FY 2010
IPPS/RY 2010 LTCH PPS final rule (74
FR 44021 through 44030); FY 2011
IPPS/LTCH PPS final rule (75 FR 50443
through 50444); FY 2012 IPPS/LTCH
PPS final rule (76 FR 51769 through
51773); FY 2013 IPPS/LTCH PPS final
rule (77 FR 53479 through 53481); FY
2014 IPPS/LTCH PPS final rule (78 FR
50760 through 50765); FY 2015 IPPS/
LTCH PPS final rule (79 FR 50176
through 50180); FY 2016 IPPS/LTCH
PPS final rule (80 FR 49634 through
49637); FY 2017 IPPS/LTCH PPS final
rule (81 FR 57296 through 57310); the
FY 2018 IPPS/LTCH PPS final rule (82
FR 58536 through 58547); and the FY
2019 IPPS/LTCH PPS final rule (83 FR
41530 through 41537).
In this FY 2020 IPPS/LTCH PPS
proposed rule, we present our proposals
related to the annual update to the
LTCH PPS standard Federal payment
rate for FY 2020.
The proposed update to the LTCH
PPS standard Federal payment rate for
FY 2020 is presented in section V.A. of
the Addendum to this proposed rule.
The components of the proposed annual
update to the LTCH PPS standard
Federal payment rate for FY 2020 are
discussed below, including the statutory
reduction to the annual update for
LTCHs that fail to submit quality
reporting data for FY 2020 as required
by the statute (as discussed in section
VII.D.2.c. of the preamble of this
proposed rule). We also are proposing to
make an adjustment to the LTCH PPS
standard Federal payment rate to
account for the estimated effect of the
changes to the area wage level for FY
2020 on estimated aggregate LTCH PPS
payments, in accordance with
§ 412.523(d)(4) (as discussed in section
V.B. of the Addendum to this proposed
rule).
In addition, as discussed in the FY
2019 IPPS/LTCH PPS final rule (83 FR
41532 through 41537), we eliminated
the 25-percent threshold policy in a
budget neutral manner. The budget
neutrality requirements are codified in
the regulations at § 412.523(d)(6). Under
these regulations, a temporary, one-time
factor is applied to the standard Federal
payment rate in FY 2019 and FY 2020,
and a permanent, one-time factor in FY
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19471
2021. These factors as established in the
FY 2019 IPPS/LTCH PPS final rule (83
FR 41536) are:
• For FY 2019, a temporary, one-time
factor of 0.990884;
• For FY 2020, a temporary, one-time
factor of 0.990741; and
• For FY 2021 and subsequent years,
a permanent, one-time factor of
0.991249.
Therefore, in determining the
proposed FY 2020 LTCH PPS standard
Federal payment rate, we are proposing
to:
(1) Remove the temporary, one-time
factor of 0.990884 for the estimated cost
of the elimination of the 25-percent
threshold policy in FY 2019 by applying
a factor of (1/0.990884); and
(2) Apply a temporary, one-time factor
of 0.990741 for the estimated cost of the
elimination of the 25-percent threshold
policy in FY 2020.
Equivalently, in determining the
proposed FY 2020 LTCH PPS standard
Federal payment rate, we are proposing
to apply a temporary, one-time factor of
0.999856 (1/0.990884 × 0.990741) to the
FY 2019 LTCH PPS standard Federal
payment rate. The proposed FY 2020
LTCH PPS standard Federal payment
rate shown in Table 1E in section VI. of
the Addendum to this proposed rule
reflects this adjustment.
2. Proposed FY 2020 LTCH PPS
Standard Federal Payment Rate Annual
Market Basket Update
a. Overview
Historically, the Medicare program
has used a market basket to account for
input price increases in the services
furnished by providers. The market
basket used for the LTCH PPS includes
both operating and capital related costs
of LTCHs because the LTCH PPS uses a
single payment rate for both operating
and capital-related costs. We adopted
the 2013-based LTCH market basket for
use under the LTCH PPS beginning in
FY 2017 (81 FR 57100 through 57102).
For additional details on the historical
development of the market basket used
under the LTCH PPS, we refer readers
to the FY 2013 IPPS/LTCH PPS final
rule (77 FR 53467 through 53476), and
for a complete discussion of the LTCH
market basket and a description of the
methodologies used to determine the
operating and capital-related portions of
the 2013-based LTCH market basket, we
refer readers to section VII.D. of the
preamble of the FY 2017 IPPS/LTCH
PPS proposed and final rules (81 FR
25153 through 25167 and 81 FR 57086
through 57099, respectively).
Section 3401(c) of the Affordable Care
Act provides for certain adjustments to
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any annual update to the LTCH PPS
standard Federal payment rate and
refers to the timeframes associated with
such adjustments as a ‘‘rate year.’’ We
note that, because the annual update to
the LTCH PPS policies, rates, and
factors now occurs on October 1, we
adopted the term ‘‘fiscal year’’ (FY)
rather than ‘‘rate year’’ (RY) under the
LTCH PPS beginning October 1, 2010, to
conform with the standard definition of
the Federal fiscal year (October 1
through September 30) used by other
PPSs, such as the IPPS (75 FR 50396
through 50397). Although the language
of sections 3004(a), 3401(c), 10319, and
1105(b) of the Affordable Care Act refers
to years 2010 and thereafter under the
LTCH PPS as ‘‘rate year,’’ consistent
with our change in the terminology used
under the LTCH PPS from ‘‘rate year’’ to
‘‘fiscal year,’’ for purposes of clarity,
when discussing the annual update for
the LTCH PPS standard Federal
payment rate, including the provisions
of the Affordable Care Act, we use
‘‘fiscal year’’ rather than ‘‘rate year’’ for
2011 and subsequent years.
b. Proposed Annual Update to the LTCH
PPS Standard Federal Payment Rate for
FY 2020
CMS has used an estimated market
basket increase to update the LTCH PPS.
As noted above, we adopted the 2013based LTCH market basket for use under
the LTCH PPS beginning in FY 2017.
The 2013-based LTCH market basket is
based solely on the Medicare cost report
data submitted by LTCHs and, therefore,
specifically reflects the cost structures
of only LTCHs. (For additional details
on the development of the 2013-based
LTCH market basket, we refer readers to
the FY 2017 IPPS/LTCH PPS final rule
(81 FR 57085 through 57099).) We
continue to believe that the 2013-based
LTCH market basket appropriately
reflects the cost structure of LTCHs for
the reasons discussed when we adopted
its use in the FY 2017 IPPS/LTCH PPS
final rule (81 FR 57100). Therefore, in
this proposed rule, we are proposing to
use the 2013-based LTCH market basket
to update the LTCH PPS standard
Federal payment rate for FY 2020.
Section 1886(m)(3)(A) of the Act
provides that, beginning in FY 2010,
any annual update to the LTCH PPS
standard Federal payment rate is
reduced by the adjustments specified in
clauses (i) and (ii) of subparagraph (A).
Clause (i) of section 1886(m)(3)(A) of the
Act provides for a reduction, for FY
2012 and each subsequent rate year, by
the productivity adjustment described
in section 1886(b)(3)(B)(xi)(II) of the Act
(that is, ‘‘the multifactor productivity
(MFP) adjustment’’). Clause (ii) of
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section 1886(m)(3)(A) of the Act
provided for a reduction, for each of FYs
2010 through 2019, by the ‘‘other
adjustment’’ described in section
1886(m)(4)(F) of the Act; therefore, it is
not applicable for FY 2020.
Section 1886(m)(3)(B) of the Act
provides that the application of
paragraph (3) of section 1886(m) of the
Act may result in the annual update
being less than zero for a rate year, and
may result in payment rates for a rate
year being less than such payment rates
for the preceding rate year.
c. Proposed Adjustment to the LTCH
PPS Standard Federal Payment Rate
Under the Long-Term Care Hospital
Quality Reporting Program (LTCH QRP)
In accordance with section 1886(m)(5)
of the Act, the Secretary established the
Long-Term Care Hospital Quality
Reporting Program (LTCH QRP). The
reduction in the annual update to the
LTCH PPS standard Federal payment
rate for failure to report quality data
under the LTCH QRP for FY 2014 and
subsequent fiscal years is codified under
42 CFR 412.523(c)(4). The LTCH QRP,
as required for FY 2014 and subsequent
fiscal years by section 1886(m)(5)(A)(i)
of the Act, applies a 2.0 percentage
point reduction to any update under
§ 412.523(c)(3) for an LTCH that does
not submit quality reporting data to the
Secretary in accordance with section
1886(m)(5)(C) of the Act with respect to
such a year (that is, in the form and
manner and at the time specified by the
Secretary under the LTCH QRP)
(§ 412.523(c)(4)(i)). Section
1886(m)(5)(A)(ii) of the Act provides
that the application of the 2.0
percentage points reduction may result
in an annual update that is less than 0.0
for a year, and may result in LTCH PPS
payment rates for a year being less than
such LTCH PPS payment rates for the
preceding year. Furthermore, section
1886(m)(5)(B) of the Act specifies that
the 2.0 percentage points reduction is
applied in a noncumulative manner,
such that any reduction made under
section 1886(m)(5)(A) of the Act shall
apply only with respect to the year
involved, and shall not be taken into
account in computing the LTCH PPS
payment amount for a subsequent year.
These requirements are codified in the
regulations at § 412.523(c)(4). (For
additional information on the history of
the LTCH QRP, including the statutory
authority and the selected measures, we
refer readers to section VIII.C. of the
preamble of this proposed rule.)
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d. Proposed Annual Market Basket
Update Under the LTCH PPS for FY
2020
Consistent with our historical practice
and our proposal, we estimate the
market basket increase and the MFP
adjustment based on IGI’s forecast using
the most recent available data. Based on
IGI’s fourth quarter 2018 forecast, the
FY 2020 full market basket estimate for
the LTCH PPS using the 2013-based
LTCH market basket is 3.2 percent. The
current estimate of the MFP adjustment
for FY 2020 based on IGI’s fourth
quarter 2018 forecast is 0.5 percent.
For FY 2020, section 1886(m)(3)(A)(i)
of the Act requires that any annual
update to the LTCH PPS standard
Federal payment rate be reduced by the
productivity adjustment (‘‘the MFP
adjustment’’) described in section
1886(b)(3)(B)(xi)(II) of the Act.
Consistent with the statute, we are
proposing to reduce the full estimated
FY 2020 market basket increase by the
proposed FY 2020 MFP adjustment. To
determine the proposed market basket
increase for LTCHs for FY 2020, as
reduced by the proposed MFP
adjustment, consistent with our
established methodology, we are
subtracting the proposed FY 2020 MFP
adjustment from the estimated FY 2020
market basket increase. (We note that
sections 1886(m)(3)(A)(ii) and
1886(m)(4)(F) of the Act required an
additional reduction each year only for
FYs 2010 through 2019.) (For additional
details on our established methodology
for adjusting the market basket increase
by the MFP adjustment, we refer readers
to the FY 2012 IPPS/LTCH PPS final
rule (76 FR 51771).)
For FY 2020, section 1886(m)(5) of the
Act requires that, for LTCHs that do not
submit quality reporting data as
required under the LTCH QRP, any
annual update to an LTCH PPS standard
Federal payment rate, after application
of the adjustments required by section
1886(m)(3) of the Act, shall be further
reduced by 2.0 percentage points.
Therefore, for LTCHs that fail to submit
quality reporting data under the LTCH
QRP, the proposed 3.2 percent update to
the LTCH PPS standard Federal
payment rate for FY 2020 will be
reduced by the proposed 0.5 percentage
point MFP adjustment as required under
section 1886(m)(3)(A)(i) of the Act and
the additional 2.0 percentage points
reduction required by section
1886(m)(5) of the Act.
In this FY 2020 IPPS/LTCH PPS
proposed rule, in accordance with the
statute, we are proposing to reduce the
proposed FY 2020 full market basket
estimate of 3.2 percent (based on IGI’s
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fourth quarter 2018 forecast of the 2013based LTCH market basket) by the
proposed FY 2020 MFP adjustment of
0.5 percentage point (based on IGI’s
fourth quarter 2018 forecast). Therefore,
under the authority of section 123 of the
BBRA as amended by section 307(b) of
the BIPA, we are proposing to establish
an annual market basket update to the
LTCH PPS standard Federal payment
rate for FY 2020 of 2.7 percent (that is,
the most recent estimate of the proposed
LTCH PPS market basket increase of 3.2
percent, less the proposed MFP
adjustment of 0.5 percentage point).
Accordingly, we are proposing to revise
§ 412.523(c)(3) by adding a new
paragraph (xvi), which would specify
that the LTCH PPS standard Federal
payment rate for FY 2020 is the LTCH
PPS standard Federal payment rate for
the previous LTCH PPS payment year
updated by 2.7 percent, and as further
adjusted, as appropriate, as described in
§ 412.523(d) (including the application
of the proposed adjustment factor for
the cost of the elimination of the 25percent threshold policy under
§ 412.523(d)(6) discussed above). For
LTCHs that fail to submit quality
reporting data under the LTCH QRP,
under proposed § 412.523(c)(3)(xvi) in
conjunction with § 412.523(c)(4), we are
proposing to further reduce the
proposed annual update to the LTCH
PPS standard Federal payment rate by
2.0 percentage points, in accordance
with section 1886(m)(5) of the Act.
Accordingly, we are proposing to
establish an annual update to the LTCH
PPS standard Federal payment rate of
0.7 percent (that is, 2.7 percent minus
2.0 percentage points) for FY 2020 for
LTCHs that fail to submit quality
reporting data as required under the
LTCH QRP. Consistent with our
historical practice, we are proposing to
use a more recent estimate of the market
basket and the MFP adjustment in the
final rule to establish an annual update
to the LTCH PPS standard Federal
payment rate for FY 2020 under
proposed § 412.523(c)(3)(xvi). (We note
that, consistent with historical practice,
we also are proposing to adjust the
proposed FY 2020 LTCH PPS standard
Federal payment rate by an area wage
level budget neutrality factor in
accordance with § 412.523(d)(4) (as
discussed in section V.B.5. of the
Addendum to this proposed rule).)
VIII. Quality Data Reporting
Requirements for Specific Providers
and Suppliers
In section VIII. of the preamble of this
proposed rule, we are proposing
changes to the following Medicare
quality reporting systems:
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• In section VIII.A., the Hospital IQR
Program;
• In section VIII.B., the PCHQR
Program; and
• In section VIII.C., the LTCH QRP.
In addition, in section VIII.D. of the
preamble of this proposed rule, we are
proposing changes to the Medicare and
Medicaid Promoting Interoperability
Programs (previously known as the
Medicare and Medicaid EHR Incentive
Programs) for eligible hospitals and
critical access hospitals (CAHs).
A. Hospital Inpatient Quality Reporting
(IQR) Program
1. Background
a. History of the Hospital IQR Program
The Hospital IQR Program strives to
put patients first by ensuring they are
empowered to make decisions about
their own healthcare along with their
clinicians using information from datadriven insights that are increasingly
aligned with meaningful quality
measures. We support technology that
reduces burden and allows clinicians to
focus on providing high quality health
care for their patients. We also support
innovative approaches to improve
quality, accessibility, and affordability
of care, while paying particular
attention to improving clinicians’ and
beneficiaries’ experiences when
interacting with CMS programs. In
combination with other efforts across
the Department of Health and Human
Services, we believe the Hospital IQR
Program incentivizes hospitals to
improve health care quality and value,
while giving patients the tools and
information needed to make the best
decisions for them.
We seek to promote higher quality
and more efficient health care for
Medicare beneficiaries. This effort is
supported by the adoption of widelyagreed upon quality and cost measures.
We have worked with relevant
stakeholders to define measures in
almost every care setting and currently
measure some aspect of care for almost
all Medicare beneficiaries. These
measures assess clinical processes,
patient safety and adverse events,
patient experiences with care, care
coordination, and clinical outcomes, as
well as cost of care. We have
implemented quality measure reporting
programs for multiple settings of care.
To measure the quality of hospital
inpatient services, we implemented the
Hospital IQR Program, previously
referred to as the Reporting Hospital
Quality Data for Annual Payment
Update (RHQDAPU) Program. We refer
readers to the FY 2010 IPPS/LTCH PPS
final rule (74 FR 43860 through 43861)
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and the FY 2011 IPPS/LTCH PPS final
rule (75 FR 50180 through 50181) for
detailed discussions of the history of the
Hospital IQR Program, including the
statutory history, and to the FY 2015
IPPS/LTCH PPS final rule (79 FR 50217
through 50249), the FY 2016 IPPS/LTCH
PPS final rule (80 FR 49660 through
49692), the FY 2017 IPPS/LTCH PPS
final rule (81 FR 57148 through 57150),
the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38326 through 38328 and 82 FR
38348), and the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41538 through
41609) for the measures we have
previously adopted for the Hospital IQR
Program measure set for the FY 2022
payment determination and subsequent
years.
b. Maintenance of Technical
Specifications for Quality Measures
We refer readers to the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41538) in
which we summarized how the Hospital
IQR Program maintains the technical
measure specifications for quality
measures and the subregulatory process
for incorporation of nonsubstantive
updates to the measure specifications to
ensure that measures remain up-to-date.
We are not proposing any changes to
these policies in this proposed rule.
c. Public Display of Quality Measures
We refer readers to the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41538
through 41539) in which we stated the
Hospital IQR Program’s policy for
public display of quality measures. We
are not proposing any changes to these
policies in this proposed rule.
2. Retention of Previously Adopted
Hospital IQR Program Measures for
Subsequent Payment Determinations
We refer readers to the FY 2013 IPPS/
LTCH PPS final rule (77 FR 53512
through 53513) for our finalized
measure retention policy. Pursuant to
this policy, when we adopt measures for
the Hospital IQR Program beginning
with a particular payment
determination, we automatically
readopt these measures for all
subsequent payment determinations
unless we propose to remove, suspend,
or replace the measures. We are not
proposing any changes to this policy in
this proposed rule.
3. Removal Factors for Hospital IQR
Program Measures
We refer readers to the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41540
through 41544) for a summary of the
Hospital IQR Program’s removal factors.
We are not proposing any changes to
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our policies regarding measure removal
in this proposed rule.
4. Considerations in Expanding and
Updating Quality Measures
We refer readers to the FY 2013 IPPS/
LTCH PPS final rule (77 FR 53510
through 53512) for a discussion of the
previous considerations we have used to
expand and update quality measures
under the Hospital IQR Program. We
also refer readers to the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41147
through 41148), in which we describe
the Meaningful Measures Initiative,409
our objectives under this new
framework for quality measurement,
and the quality topics that we have
identified as high impact measurement
areas that are relevant and meaningful
to both patients and providers.
Furthermore, in selecting measures for
the Hospital IQR Program, we are
mindful that measures adopted for the
Hospital VBP Program must first have
been adopted under the Hospital IQR
Program and publicly reported on the
Hospital Compare website for at least 1
year. We view the value-based
purchasing programs, including the
Hospital VBP Program, as the next step
in promoting higher quality care for
Medicare beneficiaries by transforming
Medicare from a passive payer of claims
into an active purchaser of quality
health care for its beneficiaries. We are
not proposing any changes to these
policies in this proposed rule.
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5. Proposed New Measures for the
Hospital IQR Program Measure Set
In this proposed rule, we are
proposing to: (1) Adopt two new quality
measures beginning with the FY 2023
payment determination; and (2) expand
the voluntary reporting status of the
Hybrid Hospital-Wide Readmission
Measure with Claims and Electronic
Health Record Data (Hybrid HWR
measure), and then require mandatory
reporting of this measure beginning
with the FY 2026 payment
determination, as discussed in detail
below.
a. Proposed Adoption of Two OpioidRelated eCQMs
In this proposed rule, we are
proposing to add the following two
opioid-related electronic clinical quality
measures (eCQMs) to the Hospital IQR
Program eCQM measure set, beginning
with the CY 2021 reporting period/FY
2023 payment determination: (1) Safe
Use of Opioids—Concurrent Prescribing
409 Meaningful Measures web page: https://
www.cms.gov/Medicare/Quality-Initiatives-PatientAssessment-Instruments/QualityInitiativesGenInfo/
MMF/General-info-Sub-Page.html.
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eCQM (NQF #3316e); and (2) Hospital
Harm—Opioid-Related Adverse Events
eCQM.
We believe these opioid-related
measures are valuable patient safety
measures and are responsive to
stakeholder feedback expressing support
for eCQMs that focus on higher priority
measurement areas and patient
outcomes. While both measures are
designed to reduce adverse events or
harms associated with opioid use, the
main focus of each measure’s intent is
different.
The Safe Use of Opioids—Concurrent
Prescribing eCQM focuses on
concurrent prescriptions of opioids and
benzodiazepines at discharge, an area of
high-risk prescribing. Implementation of
the measure has the potential to reduce
preventable mortality and costs of
adverse events associated with
prescription opioid use and could
contribute to efforts to combat the
current opioid epidemic, which is a
high-priority focus area for
measurement.
The Hospital Harm—Opioid-Related
Adverse Events eCQM is designed to
reduce adverse events associated with
the administration of opioids in the
hospital setting by assessing the
administration of naloxone as an
indicator of harm. Implementation of
the measure can lead to safer patient
care by incentivizing hospitals to track
and improve their monitoring of
patients who receive opioids during
hospitalization.
Adopting these two opioid-related
eCQMs would further diversify the
eCQM measure set by addressing two
additional Meaningful Measures quality
priorities that are not currently
addressed by the eCQM measure set:
‘‘Promoting Effective Prevention and
Treatment of Chronic Disease’’ and
‘‘Making Care Safer by Reducing Harm
Caused in the Delivery of Care’’ through
the Meaningful Measures Areas of
‘‘Prevention and Treatment of Opioid
and Substance Use Disorders’’ and
‘‘Preventable Healthcare Harm,’’
respectively.
Additional details on each of the
opioid-related eCQMs are presented
below. We also refer readers to two
related proposals in this proposed rule:
(1) Section VIII.A.10.d.(1) through (4) of
the preamble of this proposed rule for
a discussion of proposed reporting and
submission requirements for eCQMs
through the CY 2022 reporting period/
FY 2024 payment determination,
including our proposal to require
hospitals to report on the Safe Use of
Opioids—Concurrent Prescribing eCQM
as one of the four required eCQMs
effective beginning with the CY 2022
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reporting period/FY 2024 payment
determination; and (2) section
VIII.D.6.a. and b. of the preamble of this
proposed rule for similar proposals to
adopt these two opioid-related eCQMs
in the Medicare and Medicaid
Promoting Interoperability Programs
(previously known as the Medicare and
Medicaid EHR Incentive Programs).
(1) Safe Use of Opioids—Concurrent
Prescribing eCQM (NQF #3316e)
(a) Background
Fatalities from unintentional opioid
overdose have become an epidemic in
the last 20 years, representing a major
public health concern in the United
States.410 According to the Centers for
Disease Control and Prevention (CDC),
opioid overdose resulted in more than
42,000 deaths in 2016, and 40 percent
of those deaths involved prescription
opioids.411 In addition, a recent
retrospective study of claims data found
that concurrent benzodiazepine and
opioid use increased by 80 percent
between 2001 and 2013 in a large
sample of privately insured patients,
and significantly contributed to the
overall population risk of opioid
overdose in the United States.412
Concurrent prescriptions of opioids or
opioids and benzodiazepines place
patients at a greater risk of unintentional
overdose due to the increased risk of
respiratory depression.413 According to
the National Institute on Drug Abuse,
concurrent use of benzodiazepines with
opioids was present in more than 30
percent of fatal overdoses, but many
people continue to be prescribed both
drugs simultaneously.414 415 Rates of
fatal overdose are 10 times higher in
410 Rudd, R., Aleshire, N., Zibbell, J. & Gladden,
R.M. (2016). Increases in Drug and Opioid Overdose
Deaths—United States, 2000–2014. Morbidity and
Mortality Weekly Report, 64(50): 1378–82. Available
at: https://www.cdc.gov/mmwr/preview/mmwrhtml/
mm6450a3.htm.
411 Centers for Disease Control and Prevention.
Drug Overdose Epidemic: Behind the Numbers.
Available at: https://www.cdc.gov/drugoverdose/
data/.
412 Sun, E., Dixit, A., Humphreys, K., Darnall, B.,
Baker, L. & Mackey, S. (2017). Association Between
Concurrent Use of Prescription Opioids and
Benzodiazepines and Overdose: Retrospective
Analysis. BMJ, 356: j760.
413 Dowell, D., Haegerich, T. & Chou, R. (2016).
CDC Guideline for Prescribing Opioids for Chronic
Pain—United States, 2016. Morbidity and Mortality
Weekly Report: Recommendations and Reports, 65.
Available at: https://www.cdc.gov/media/dpk/2016/
dpk-opioid-prescription-guidelines.html.
414 National Institute on Drug Abuse.
Benzodiazepines and Opioids. Available at: https://
www.drugabuse.gov/drugs-abuse/opioids/
benzodiazepines-opioids.
415 Sun, E., Dixit, A., Humphreys, K., Darnall, B.,
Baker, L. & Mackey, S. (2017). Association Between
Concurrent Use of Prescription Opioids and
Benzodiazepines and Overdose: Retrospective
Analysis. BMJ, 356: j760.
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patients who are co-dispensed opioid
analgesics and benzodiazepines versus
opioids alone.416 Studies of multiple
claims and prescription databases show
that 5 to 15 percent of patients receive
concurrent opioid prescriptions, and 5
to 20 percent of patients receive
concurrent opioid and benzodiazepine
prescriptions across various settings.417
418 419 On average, the number of opioid
overdose deaths involving
benzodiazepines increased 14 percent
each year from 2006 to 2011, whereas
the number of opioid analgesic overdose
deaths not involving benzodiazepines
did not change significantly.420 One
study showed that reducing concurrent
use of opioids and benzodiazepines
could reduce the risk of opioid
overdose-related emergency department
(ED) and inpatient visits by 15 percent,
and could have prevented an estimated
2,630 deaths related to opioid painkiller
overdoses in 2015.421 In the FY 2018
IPPS/LTCH PPS rulemaking (82 FR
20059 through 20060; 82 FR 38377
through 38378), we sought public
comment on the potential future
adoption of this measure.
(b) Overview of Measure
We believe that a measure that
calculates the proportion of patients
who were concurrently prescribed two
or more opioids or opioids and
benzodiazepines has the potential to
reduce preventable mortality and the
costs of adverse events associated with
opioid use. Therefore, we are proposing
to adopt the Safe Use of Opioids—
Concurrent Prescribing eCQM (NQF
#3316e) beginning with the CY 2021
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416 Dasgupta,
N., Jonsson Funk, M.,
Proescholdbell, S., Hirsch, A., Ribisl, K.M. &
Marshall, S. (2015). Cohort Study of the Impact of
High-Dose Opioid Analgesics on Overdose
Mortality. Pain Medicine. Available at: https://
onlinelibrary.wiley.com/doi/10.1111/pme.12907/
abstract.
417 Liu, Y., Logan, J., Paulozzi, L., Zhang, K.,
Jones, C. (2013). Potential Misuse and Inappropriate
Prescription Practices Involving Opioid Analgesics.
American Journal of Managed Care, 19(8): 648–65.
418 Mack, K., Zhang, K., Paulozzi, L. & Jones, C.
(2015). Prescription Practices Involving Opioid
Analgesics Among Americans with Medicaid, 2010.
Journal of Health Care for the Poor and
Underserved, 26(1): 182–98.
419 Park, T., Saitz, R., Ganoczy, D., Ilgen, M.A. &
Bohnert, A.S.B. (2015). Benzodiazepine Prescribing
Patterns and Deaths from Drug Overdose Among
U.S. Veterans Receiving Opioid Analgesics: CaseCohort Study. BMJ, 350: h2698.
420 Jones, C.M. & McAninch, J.K. (2015).
Emergency Department Visits and Overdose Deaths
from Combined Use of Opioids and
Benzodiazepines. American Journal of Preventive
Medicine, 49(4): 493–501.
421 Sun, E., Dixit, A., Humphreys, K., Darnall, B.,
Baker, L. & Mackey, S. (2017). Association Between
Concurrent Use of Prescription Opioids and
Benzodiazepines and Overdose: Retrospective
Analysis. BMJ, 356: j760.
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reporting period/FY 2023 payment
determination. The Safe Use of
Opioids—Concurrent Prescribing eCQM
seeks to reduce preventable mortality
and the costs of adverse events
associated with opioid use by
encouraging providers to identify
patients who have concurrent
prescriptions for opioids or opioids and
benzodiazepines, and discouraging
providers from prescribing these drugs
concurrently whenever possible. The
goal of the measure is to provide a
patient-centric measure to help systems
identify and monitor patients at risk,
and ultimately to reduce the risk of
harm to patients across the continuum
of care. This measure also seeks to
combat the opioid crisis, which has
been declared a public health
emergency,422 and is recognized as a
priority focus area for measurement by
CMS and HHS. Specifically, by
collecting and reporting concurrent
prescribing rates with minimal lag time,
this measure advances one of the key
strategies prioritized by HHS in its fivepoint Opioid Strategy, which is to
improve our understanding of the crisis
through more timely, specific public
health data collection and reporting.423
In addition, under CMS’ Meaningful
Measures framework, the Safe Use of
Opioids—Concurrent Prescribing eCQM
addresses the quality priority of
‘‘Promoting Effective Prevention and
Treatment of Chronic Disease’’ through
the Meaningful Measures Area of
‘‘Prevention and Treatment of Opioid
and Substance Use Disorders.’’ 424
422 Office of the Assistant Secretary for
Preparedness and Response (ASPR). Public Health
Emergency Declarations. Available at: https://
www.phe.gov/emergency/news/healthactions/phe/
pages/default.aspx.
423 In April 2017, HHS identified the opioid crisis
as a top priority and prioritized five specific
strategies to combat the epidemic, including ‘‘Better
Data’’ on the epidemic to improve our
understanding of the crisis. HHS aims to strengthen
public health data collection and reporting to
improve the timeliness and specificity of data and
to inform a real-time public health response as the
epidemic evolves. In its Strategy to Combat Opioid
Abuse, Misuse, and Overdose, HHS sets forth a
number of activities that can be taken by the
Secretary and HHS agencies to advance its ‘‘Better
Data’’ strategy, including the collection of data on
opioid prescriptions, new drug patterns, and related
harms, with minimal lag time. More information on
HHS’ Opioid Strategy is available at: https://
www.hhs.gov/opioids/about-the-epidemic/hhsresponse/.
424 The Safe Use of Opioids—Concurrent
Prescribing measure also addresses the quality
priority of ‘‘Promoting Effective Communication
and Coordination of Care’’ through the Meaningful
Measure area of ‘‘Medication Management.’’ More
information on CMS’ Meaningful Measures
Initiative is available at: https://www.cms.gov/
Medicare/Quality-Initiatives-Patient-AssessmentInstruments/QualityInitiativesGenInfo/MMF/
General-info-Sub-Page.html.
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The measure’s concept is based on the
2016 CDC Guideline for Prescribing
Opioids for Chronic Pain, which
recommends that clinicians should
avoid prescribing opioids and
benzodiazepines concurrently whenever
possible.425 It is also in line with many
state-issued and professional society
guidelines on concurrent prescribing,
which recommend that providers
should avoid prescribing multiple
opioids and opioids and
benzodiazepines concurrently because it
puts patients at high risk for respiratory
depression, overdose, and death.426
In addition, stakeholders involved
during development, including the
project TEP and public commenters,
stated that the measure was useful not
only because it could promote
adherence to recommended clinical
guidelines, but also because capturing
data on hospital-level prescribing
practices could assist in identifying
strategies to address the issue of
concurrent prescriptions of opioids and
benzodiazepines. Stakeholders also
stated that the measure could reduce
opioid-related mortality resulting from
concurrent opioid prescriptions or
opioid-benzodiazepine prescriptions,
with minimal implementation costs.427
Measure testing demonstrated that
almost all of the data elements required
to calculate and report the measure are
collected as part of required clinical
workflow protocols in structured fields
within the EHR. The NQF Patient Safety
Standing Committee did not raise any
concerns on the feasibility of the
measure during endorsement review.
425 Dowell, D., Haegerich, T. & Chou, R. (2016).
CDC Guideline for Prescribing Opioids for Chronic
Pain—United States, 2016. Morbidity and Mortality
Weekly Report: Recommendations and Reports, 65.
Available at: https://www.cdc.gov/mmwr/volumes/
65/rr/rr6501e1.htm.
426 See, for example, American Academy of
Emergency Medicine, Emergency Department
Opioid Prescribing Guidelines for the Treatment of
Non-Cancer Related Pain (available at: https://
www.deepdyve.com/lp/elsevier/american-academyof-emergency-medicine-PlQtPNi8J4)
(recommending that clinicians should avoid
prescribing opioid analgesics to patients currently
taking sedative hypnotic medications or concurrent
opioid analgesics); Washington State Agency
Medical Directors’ Group, Interagency Guideline on
Prescribing Opioids for Pain (available at: https://
agencymeddirectors.wa.gov/Files/
2015AMDGOpioidGuideline.pdf) (recommending
that clinicians should avoid combining opioids
with benzodiazepines, sedative-hypnotics or
barbiturates when prescribing opioid for chronic
noncancer pain).
427 Gao, A., Bandyopadhyay, J., Barrett, K.,
Morales, N. & Tu, D. (2017). Beta Testing Report on
the Safe Use of Opioids—Concurrent Prescribing
Electronic Clinical Quality Measure. Hospital
Inpatient and Outpatient Process and Structural
Measure Development and Maintenance Project
(HHSM–500–2013–13011I, Task Order HHSM–500–
T0003).
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The Safe Use of Opioids—Concurrent
Prescribing measure (MUC16–167) was
included in the publicly available ‘‘List
of Measures Under Consideration for
December 1, 2016.’’ 428 The measure was
reviewed by the NQF MAP in December
2016 and January 2017, which
recommended that the measure be
refined and resubmitted prior to
rulemaking due to the importance of the
opioid epidemic.429 The MAP noted
that there are instances where
concurrent prescribing may be clinically
appropriate, and that the measure could
potentially cause unintentional
consequences associated with
withdrawal of medications. For more
information on the concerns and
considerations raised by the MAP
related to this measure, we refer readers
to the January 2017 NQF MAP
Coordinating Committee Meeting
Transcript.430 In response to the MAP’s
recommendation, and as suggested by
the project’s TEP and expert work
group, we explored single-condition
exclusions, specifically for patients with
sickle cell disease and those undergoing
substance use therapy, and found that
these instances comprised a very small
portion of eligible cases captured by the
numerator during testing.
After reviewing these testing results,
expert opinions from clinicians
recommended continuing to include
patients for whom concurrent
prescribing may be clinically necessary
because experts stated that these
populations are at highest risk of
adverse drug events due to concurrent
prescriptions and should continue to be
monitored by clinicians throughout the
continuum of care. In addition, there are
currently no guidelines supporting
exclusion of patients who may require
concurrent prescriptions from the
measure, other than cancer and
palliative care; a broader set of
evidence-based exclusions may increase
the face validity of the measure, but
there are currently no strong evidencebased indicators to support other
exclusions beyond what is currently
included in the measure that would
continue to maintain the strength of the
measure’s evidence base.
To strengthen the measure’s
feasibility and usability, the measure
428 List of Measures Under Consideration for
December 1, 2016. Available at: https://
www.qualityforum.org/ProjectMaterials.aspx?
projectID=75367.
429 2016–2017 Spreadsheet of Final
Recommendations to HHS and CMS. Available at:
https://www.qualityforum.org/
ProjectMaterials.aspx?projectID=75367.
430 Measure Applications Partnership, January
2017 NQF MAP Coordinating Committee Meeting
Transcript. Available at: https://www.quality
forum.org/ProjectMaterials.aspx?projectID=75367.
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was refined to address other feedback
from the MAP such as: (1) Including
only encounters for inpatient, ED, and
hospital observation stays (rather than
including encounters spanning
inpatient and hospital outpatient
settings); and (2) including only
medications prescribed at discharge
(rather than those spanning the duration
of the encounter). An update on the
measure was presented to the MAP on
November 8, 2018.431
The NQF Patient Safety Standing
Committee also recommended
endorsement of the proposed measure
in 2018, acknowledging that there is
strong evidence for an association
between increased use of multiple
opioids, or opioids and benzodiazepines
together, as well as increased risk of
unintentional and fatal overdoses.432
The committee agreed that this measure
will likely reduce concurrent
prescribing of opioid-opioid and opioidbenzodiazepine medications at
discharge in inpatient and ED
settings.433 This measure was endorsed
by the NQF in May 2018.434
Concurrent opioid or opioidbenzodiazepine prescription use
contributes significantly to the overall
population’s risk of opioid overdose.
Currently, however, no measure exists
to assess nationwide rates of the
concurrent prescribing of opioids and
benzodiazepines at the hospital-level.435
Adopting the Safe Use of Opioids—
Concurrent Prescribing eCQM would
thus enhance the information available
to providers in this area of high-risk
prescribing. In addition, we believe the
measure is a valuable patient safety
measure that has the potential to reduce
preventable mortality and other adverse
events associated with prescription
431 November 8, 2018 meeting agenda and
presentation slides available at: https://
www.qualityforum.org/ProjectMaterials.aspx
?projectID=75369.
432 National Quality Forum. (2018). Patient Safety
Fall 2017 Final Report. Available at: https://
www.qualityforum.org/Publications/2018/07/
Patient_Safety_Fall_2017_Final_Report.aspx.
433 Ibid.
434 Ibid.
435 The Veterans Health Administration (VHA), as
part of its Opioid Safety Initiative, implemented a
measure of concurrent opioid and benzodiazepine
prescribing that is similar to the Safe Use of
Opioids—Concurrent Prescribing measure. The
Opioid Safety Initiative was associated with a
decrease in patients receiving benzodiazepine
concurrently with an opioid—specifically, a recent
study showed a 20.67 percent decrease overall and
a 0.86 percent decrease in patients per month (781
patients per month)—among all adult VHA patients
who filled outpatient opioid prescriptions from
October 2012 to September 2014. See Lin, L.A.,
Bohnert, A.S., Kerns, R.D., Clay, M.A., Ganoczy, D.
& Ilgen, M.A. (2017). Impact of the Opioid Safety
Initiative on Opioid-Related Prescribing in
Veterans. Pain, 158(5): 833–39.
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opioid use, with minimal
implementation costs.
The measure is intended to facilitate
safer patient care not only by promoting
adherence to recommended clinical
guidelines on concurrent prescribing
practices, but also by incentivizing
hospitals to develop strategies to
identify and monitor patients on
concurrent opioids and opioidbenzodiazepine prescriptions who
might be at higher risk of adverse drug
events. For instance, the measure could
encourage hospital prescribers to use
data from prescription drug-monitoring
programs when assessing whether to
prescribe concurrent substances. The
measure could also encourage more
effective communication among
providers to coordinate care across
hospital and ambulatory care settings.
The measure could also help establish a
national benchmark of opioid
prescribing in hospital inpatient
settings.
(c) Data Sources
The proposed measure is an eCQM
that uses data collected through EHRs to
determine hospital performance.
Between July 2016 and July 2017, the
Safe Use of Opioids—Concurrent
Prescribing measure was tested at three
health systems (eight hospitals in total)
with two different EHR systems for
reliability, validity, and feasibility based
on the endorsement criteria outlined by
NQF.436 The testing showed that the
measure is feasible, valid, and reliable.
The measure is feasible as 96 percent of
the data elements required to calculate
the performance rate are: (1) Collected
during routine care; (2) extractable from
structured fields in the electronic health
systems of test sites; and (3) likely to be
accurate. The measure is valid as all
data elements needed to calculate the
measure had levels of agreement of 84
to 99 percent between electronically
extracted and manually abstracted data
elements. The measure also has a
reliability coefficient of 0.99 across the
three health systems’ sites with two
different EHR systems. This finding
indicates that differences in hospital
performance reflect true differences in
quality, rather than measurement error
or noise. For encounters where the
patient had at least one active opioid or
benzodiazepine prescription at
discharge, measure testing also showed
concurrent prescribing rates of 18.2
percent in the inpatient setting and 6.1
percent in ED settings. This aligned
436 National Quality Forum. What NQF
Endorsement Means. Available at: https://
www.qualityforum.org/Measuring_Performance/
ABCs/What_NQF_Endorsement_Means.aspx.
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with the rates found in the literature.
We note that NQF reviewed these data
as part of their measure endorsement
process and endorsed the measure in
2018.437
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(d) Measure Calculation
The Safe Use of Opioids—Concurrent
Prescribing eCQM is a process measure
that calculates the proportion of patients
age 18 years and older prescribed two or
more opioids or an opioid and
benzodiazepine concurrently at
discharge from a hospital-based
encounter (inpatient or emergency
department [ED], including observation
stays). An improvement in quality of
care is indicated by a decrease in the
measure score. We recognize that there
may be some clinically appropriate
situations for concurrent prescriptions
of two unique opioids or an opioid and
benzodiazepine. Thus, we do not expect
the measure rate to be zero; rather, the
goal of the measure is to help systems
identify and monitor patients at risk,
and ultimately, to reduce the risk of
harm to patients across the continuum
of care.
The measure’s cohort includes all
patients aged 18 years and older who
were prescribed a new or continued
opioid or a benzodiazepine at discharge
from a hospital-based encounter
(inpatient stay less than or equal to 120
days or ED encounters, including
observation stays) that ended during the
measurement period. To reduce hospital
burden, the definition of ‘‘hospitalbased encounter’’ is aligned with that of
other eCQMs in the Hospital IQR
Program.
Patients are included in the
numerator if their discharge
medications include two or more active
opioids or an active opioid and
benzodiazepine resulting in concurrent
therapy at discharge from the hospitalbased encounter.
Patients are included in the
denominator if they were discharged
from a hospital-based encounter during
the measurement period (which
includes inpatient stays less than or
equal to 120 days or ED visits, including
observation stays) and their medications
at discharge included a new or
continued Schedule II or III opioid, or
a new or continued Schedule IV
benzodiazepine prescription. Patients
are excluded from the denominator if
they have an active diagnosis of cancer
or order for palliative care (including
comfort measures, terminal care, dying
437 National Quality Forum. (2018). Patient
Safety, Fall 2017 Final Report. Available at: https://
www.qualityforum.org/Publications/2018/07/
Patient_Safety_Fall_2017_Final_Report.aspx.
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care, and hospice care) during the
encounter. These exclusions align with
the populations excluded from the 2016
CDC Guideline for Prescribing Opioids
for Chronic Pain.
We note risk adjustment is not
applicable to the Safe Use of Opioids—
Concurrent Prescribing eCQM because it
is a process measure. The measure
addresses any difference in risk levels
for patients via the current denominator
exclusions as supported by the available
evidence, that is, the measure excludes
patients with cancer or patients
receiving palliative care.
For more information about the Safe
Use of Opioids—Concurrent Prescribing
eCQM, we refer readers to the measure
specifications.438
We also refer readers to section
VIII.A.10.d.(1) through (4) of the
preamble of this proposed rule where
we discuss our proposed eCQM
reporting and submission requirements
through the CY 2022 reporting period/
FY 2024 payment determination,
including proposing that all
participating hospitals report the Safe
Use of Opioids—Concurrent Prescribing
eCQM (NQF #3316e) as one of the four
required eCQMs beginning with the CY
2022 reporting period/FY 2024 payment
determination. In addition, we refer
readers to section VIII.D.6.a. and b. of
the preamble of this proposed rule for
a similar proposal to adopt the Safe Use
of Opioids—Concurrent Prescribing
eCQM (NQF #3316e) for the Promoting
Interoperability Program beginning with
the reporting period in CY 2021.
(2) Hospital Harm—Opioid-Related
Adverse Events eCQM
(a) Background
Opioids are among the most
frequently implicated medications in
adverse drug events among hospitalized
patients. The most serious opioidrelated adverse events include those
with respiratory depression, which can
lead to brain damage and death. Opioidrelated adverse events have both
negative impact on patients and
financial implications. Patients who
experience adverse events due to opioid
administration have been noted to have
55 percent longer lengths of stay, 47
percent higher costs, 36 percent higher
risk of 30-day readmission, and 3.4
times higher payments than patients
without these adverse events.439 While
438 Ibid.
439 Kessler, E.R., Shah, M., Gruschkkus, S.K., et
al. (2013). Cost and quality implications of opioidbased postsurgical pain control using
administrative claims data from a large health
system: opioid-related adverse events and their
impact on clinical and economic outcomes.
Pharmacotherapy, 33(4): 383–91.
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19477
noting that data are limited, The Joint
Commission suggested that opioidinduced respiratory arrest may
contribute substantially to the 350,000
to 750,000 in-hospital cardiac arrests
annually.440
Most opioid-related adverse events
are preventable. Of the opioid-related
adverse drug events reported to The
Joint Commission’s Sentinel Event
database, 47 percent were due to a
wrong medication dose, 29 percent due
to improper monitoring, and 11 percent
due to other causes (for example,
medication interactions and/or drug
reactions).441 In addition, in a review of
cases from a malpractice claims
database in which there was opioidinduced respiratory depression among
post-operative surgical patients, 97
percent of these adverse events were
judged preventable with better
monitoring and response.442 While
hospital quality interventions such as
proper dosing, adequate monitoring,
and attention to potential drug
interactions that can lead to overdose
are key to prevention of opioid-related
adverse events, the use of these
practices can vary substantially across
hospitals.
Administration of opioids also varies
widely by hospital, ranging from 5
percent in the lowest-use hospital to 72
percent in the highest-use hospital.443
Notably, hospitals that use opioids most
frequently have increased adjusted risk
of severe opioid-related adverse
events.444 We have developed the
Hospital Harm—Opioid-Related
Adverse Events eCQM to assess the rates
of adverse events as well as the
variation in rates among hospitals. In
the FY 2019 IPPS/LTCH PPS
rulemaking (83 FR 20493 through
20494; 83 FR 41588 through 41592), we
solicited public comment on the
potential future adoption of this
measure.
(b) Overview of Measure
The Hospital Harm—Opioid-Related
Adverse Events eCQM is an outcome
measure focusing specifically on opioidrelated adverse events during an
440 Overdyk, F.J. (2009). Postoperative Respiratory
Depression and Opioids. Initiatives in Safe Patient
Care.
441 The Joint Commission. (2012.) Safe Use of
Opioids in Hospitals. The Joint Commission
Sentinel Event Alert, 49:1–5.
442 Lee, L.A., Caplan, R.A., Stephens, L.S., et al.
(2015). Postoperative opioid-induced respiratory
depression: a closed claims analysis.
Anesthesiology, 122(3): 659–65.
443 Herzig, S.J., Rothberg, M.B., Cheung, M., et al.
(2014). Opioid utilization and opioid-related
adverse events in nonsurgical patients in US
hospitals. Journal of Hospital Medicine, 9(2): 73–81.
444 Ibid.
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admission to an acute care hospital by
assessing the administration of
naloxone. Naloxone is a lifesaving
emergent therapy with clear and
unambiguous applications in the setting
of opioid overdose.445 446 447 448 Naloxone
administration has also been used in a
number of studies as an indicator of
opioid-related adverse events to indicate
a harm to a patient during inpatient
admission to a hospital.449 450 The intent
of this measure is for hospitals to track
and improve their monitoring and
response to patients administered
opioids during hospitalization, and to
avoid harm, such as respiratory
depression, which can lead to brain
damage and death. This measure
focuses specifically on in-hospital
opioid-related adverse events, rather
than opioid overdose events that
happen in the community and may
bring a patient into the emergency
department.
As we state below, this measure
would be added to the eCQM measure
set from which hospitals could choose
to report. For hospitals that select this
measure, the measure would provide
them with measurement of opioidrelated adverse event rates and
incentivize improved clinical workflows
and monitoring when administering
opioids.
The goal of this measure is to
incentivize hospitals to closely monitor
patients who receive opioids during
their hospitalization to prevent
respiratory depression. The measure
requires evidence of hospital opioid
administration prior to the naloxone
445 Surgeon General’s Advisory on Naloxone and
Opioid Overdose. Available at: https://
www.surgeongeneral.gov/priorities/opioidoverdose-prevention/naloxone-advisory.html.
446 Agency for Healthcare Research and Quality
(AHRQ). (2017). Management of Suspected Opioid
Overdose with Naloxone by Emergency Medical
Services Personnel. Comparative Effectiveness
Review No. 193. Available at: https://
effectivehealthcare.ahrq.gov/topics/emt-naloxon/
systematic-review.
447 Substance Abuse and Mental Health Services
Administration (SAMHSA). (2018). Opioid
Overdose Prevention Toolkit: Information for
Prescribers. Available at: https://store.samhsa.gov/
system/files/information-for-prescribers.pdf.
448 Harm Reduction Coalition. (2012). Guide To
Developing and Managing Overdose Prevention and
Take-Home Naloxone Projects. Available at: https://
harmreduction.org/issues/overdose-prevention/
tools-best-practices/manuals-best-practice/odmanual/.
449 Eckstrand, J.A., Habib, A.S., Williamson, A., et
al. (2009). Computerized surveillance of opioidrelated adverse drug events in perioperative care: A
cross-sectional study. Patient Safety Surgery, 3:18.
450 Nwulu, U., Nirantharakumar, K., Odesanya,
R., et al. (2013). Improvement in the detections of
adverse drug events by the use of electronic health
and prescription records: An evaluation of two
trigger tools. European Journal of Clinical
Pharmacology, 69(2): 255–59.
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administration during the first 24 hours
after hospital arrival to ensure that the
harm was hospital acquired and not due
to an overdose that happened outside of
the hospital. In addition, the aim of this
measure is not to identify preventability
of an individual harm instance or
whether each instance of harm was an
error, but rather to assess the overall rate
of harm within a hospital by
incorporating a definition of harm that
is likely to be reduced as a result of
hospital best practice.
The Hospital Harm—Opioid-Related
Adverse Events measure (MUC17–210)
was included in the publicly available
‘‘List of Measures Under Consideration
for December 1, 2017.’’ 451 The measure
was reviewed by the NQF MAP Hospital
Workgroup in December 2017, and
received the recommendation to refine
and resubmit prior to rulemaking, as
referenced in the ‘‘2017–2018
Spreadsheet of Final Recommendations
to HHS and CMS.’’ 452 The MAP
acknowledged the significant health
risks associated with opioid-related
adverse events but recommended
adjusting the numerator to consider the
impact on chronic opioid users.453
Patients on chronic opioids remain at
risk of preventable over- or misadministration of opioids in the hospital
and ideally would remain in the
measure cohort. This decision was
supported by the TEP during measure
development. In addition, although
chronic opioid users may require higher
doses of opioids to achieve adequate
pain control, providers have the ability
to apply appropriate monitoring to
prevent severe adverse events requiring
naloxone administration.
In response to the MAP’s concerns
that the measure needed to be tested in
more facilities to demonstrate reliability
and validity, we have completed testing
the Measure Authoring Tool (MAT) 454
output for this measure in multiple
hospitals that use a variety of EHR
451 List of Measures Under Consideration for
December 1, 2017. Available at: https://
www.qualityforum.org/ProjectMaterials.aspx
?projectID=75369.
452 2017–2018 Spreadsheet of Final
Recommendations to HHS and CMS. Available at:
https://www.qualityforum.org/ProjectMaterials.aspx
?projectID=75369.
453 National Quality Forum, Measure
Applications Partnership, MAP 2018
Considerations for Implementing Measures in
Federal Programs: Hospitals. Available at: https://
www.qualityforum.org/Publications/2018/02/MAP_
2018_Considerations_for_Implementing_Measures_
Final_Report_-_Hospitals.aspx.
454 The Measure Authoring Tool (MAT) is a webbased tool used to develop the electronic measure
specifications, which expresses complicated
measure logic in several formats including a
human-readable document. For additional
information, we refer readers to: https://
www.emeasuretool.cms.gov/.
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systems,455 and the measure was shown
to be feasible to implement, reliable,
and valid. For more information on the
concerns and considerations raised by
the MAP related to this measure, we
refer readers to the December 2017 NQF
MAP Hospital Workgroup Meeting
Transcript.456 In response to the MAP’s
recommendation, the measure was
refined and presented to the MAP on
November 8, 2018 for any additional
feedback; however, there was no
additional MAP feedback at that time.
This measure was submitted for
endorsement by NQF’s Patient Safety
Standing Committee for the Spring 2019
cycle, with a complete review of
measure validity and reliability
scheduled for June 2019. However, we
also note that section
1866(b)(3)(B)(viii)(IX)(bb) of the Act
provides an exception under which, in
the case of a specified area or medical
topic determined appropriate by the
Secretary for which a feasible and
practical measure has not been endorsed
by the entity with a contract under
section 1890(a) of the Act, the Secretary
may specify a measure that is not so
endorsed as long as due consideration is
given to measures that have been
endorsed or adopted by a consensus
organization identified by the Secretary.
We believe this measure will provide
hospitals with reliable and timely
measurement of their opioid-related
adverse event rates, which are a highpriority measurement area. We believe
implementation of this measure can
lead to safer patient care by
incentivizing hospitals to implement or
refine clinical workflows that facilitate
evidence-based use and monitoring
when administering opioids. We also
believe implementation of this measure
may result in fewer patients
experiencing adverse events associated
with the administration of opioids, such
as respiratory depression, which can
lead to brain damage and death. This
measure addresses the quality priority
of ‘‘Making Care Safer by Reducing
Harm Caused in the Delivery of Care’’
through the Meaningful Measures Area
of ‘‘Preventable Harm.’’ 457 We also note
455 National Quality Forum, Measure
Applications Partnership, MAP 2018
Considerations for Implementing Measures in
Federal Programs: Hospitals. Available at: https://
www.qualityforum.org/Publications/2018/02/MAP_
2018_Considerations_for_Implementing_Measures_
Final_Report_-_Hospitals.aspx.
456 Measure Applications Partnership, December
2017 NQF MAP Hospital Workgroup Meeting
Transcript. Available at: https://
www.qualityforum.org/
ProjectMaterials.aspx?projectID=75369.
457 More information on CMS’ Meaningful
Measures Initiative is available at: https://
www.cms.gov/Medicare/Quality-Initiatives-Patient-
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that adoption of this measure would
introduce the first outcomes measure to
the eCQM measure set under the
Hospital IQR Program, which currently
is comprised entirely of process
measures.
(c) Data Sources
The data source for this measure is
entirely EHR data. The measure is
designed to be calculated by the
hospitals’ EHRs, as well as by CMS
using the patient level data submitted
by hospitals to CMS. As with all quality
measures we develop, testing was
performed to confirm the feasibility of
the measure, data elements, and validity
of the numerator, using clinical
adjudicators who validated the EHR
data compared with medical chartabstracted data. Based on testing, results
showed that rates of missing data
elements required for measure
calculation were very low (range 0
percent to 0.8 percent). Testing also
showed that the positive predictive
value (PPV),458 which describes the
probability that a patient with a positive
result (numerator case) identified by the
EHR data was also a positive result
verified by review of the patient’s
medical record done by a clinical
adjudicator, was high at all hospital
testing sites (94 percent to 98 percent).
For more information on the measure
testing and data, we refer readers to the
measure’s methodology report on the
CMS measure methodology page at:
https://www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/HospitalQualityInits/
Measure-Methodology.html. Testing was
completed using output from the MAT
in five hospitals, using two different
EHR systems.
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(d) Measure Calculation
The Hospital Harm—Opioid-Related
Adverse Events eCQM is an outcome
measure that assesses, by hospital, the
proportion of patients who had an
opioid-related adverse event during an
admission to an acute care hospital by
assessing the administration of
naloxone. The measure includes
inpatient admissions that were initiated
in the emergency department or in
observational status followed by a
hospital admission. The measure
denominator includes all patients 18
years or older discharged from an
inpatient hospital admission during the
measurement period.
Assessment-Instruments/QualityInitiativesGenInfo/
MMF/General-info-Sub-Page.html.
458 ‘‘Predictive Value.’’ Farlex Partner Medical
Dictionary. Available at: https://medicaldictionary.thefreedictionary.com/predictive+value.
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The numerator is the number of
patients who received naloxone outside
of the operating room either: (1) After 24
hours from hospital arrival; or (2) during
the first 24 hours after hospital arrival
with evidence of hospital opioid
administration prior to the naloxone
administration. We do not include
naloxone use in the operating room
where it could be part of the sedation
plan as administered by an
anesthesiologist or nurse anesthetist.
Uses of naloxone for procedures outside
of the operating room (such as bone
marrow biopsy) are counted in the
numerator as its use would indicate the
patient was over sedated. These criteria
exist to ensure patients are not
considered to have experienced harm if
they receive naloxone in the first 24
hours due to an opioid overdose that
occurred in the community prior to
hospital arrival. We do not require the
administration of an opioid prior to
naloxone after 24 hours from hospital
arrival because an event occurring 24
hours after admission is most likely due
to hospitals’ administration of opioids.
By limiting the requirement of
documented opioid administration to
the first 24 hours of the encounter, we
are reducing the complexity of the
measure logic, and therefore, the burden
of implementation for hospitals. The
measure numerator identifies a harm
using the administration of naloxone,
and purposely does not include any
medications that combine naloxone
with other agents.
The measure is intended to capture a
type of rare event, such that a full year
of data would most reliably capture the
quality of care that is associated with
low rates. While reliability of this
measure was established using 1 year of
data, we note that under the eCQM
reporting and submission requirements
we are proposing in section
VIII.A.10.d.(1) through (4) of the
preamble of this proposed rule, initial
reporting of this measure, if finalized,
would only require hospitals to submit
one self-selected calendar quarter of
data; hospitals may submit more than
one quarter of data for this measure
should they so desire. We are
considering a 1-year measurement
period for the future public reporting of
this measure.
(e) Outcome
This eCQM assesses the proportion of
encounters where naloxone is
administered as a proxy for
administration of excessive amounts of
opioid medications, not including
naloxone given while in the operating
room. In the first 24 hours of the
hospitalization, an opioid must have
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19479
been administered prior to receiving
naloxone to be considered part of the
outcome.
We note this measure is not risk
adjusted for chronic opioid use, as most
instances of opioid-related adverse
events should be preventable for all
patients regardless of prior exposure to
opioids or chronic opioid use. In
addition, there are several risk factors
that affect sensitivity to opioids that
physicians should consider when
dosing opioids. Risk adjustment would
only be needed if certain hospitals have
patients with distinctly different risk
profiles that cannot be mitigated by
providing high-quality care. Similarly,
the current measure specification does
not include stratification of patients for
chronic opioid use for three reasons: (1)
This is a challenging data element to
capture consistently in the EHR; (2)
chronic opioid use should be taken into
consideration by clinicians in
determining dosing in the hospital and
theoretically should not be considered a
different risk level for patients; and (3)
stratification can reduce the effective
sample size of a measure and make the
measure less useable. During measure
development, TEP members gave
feedback on whether the measure
required risk adjustment. The majority
of TEP members voted against risk
adjustment of this measure with the
rationale that it would be difficult to
capture chronic opioid use within the
EHR and that the increased risk of harm
associated with these patients can be
mitigated by hospital monitoring. For
more information on the Hospital
Harm—Opioid-Related Adverse Events
eCQM, we refer readers to the measure
specifications available on the CMS
Measure Methodology website, at:
https://www.cms.gov/medicare/qualityinitiatives-patient-assessmentinstruments/hospitalqualityinits/
measure-methodology.html.
We also refer readers to section
VIII.A.10.d.(1) through (4) of the
preamble of this proposed rule where
we discuss our proposed eCQM
reporting and submission requirements
through the CY 2022 reporting period/
FY 2024 payment determination. In
addition, we refer readers to section
VIII.D.6.a. and b. of the preamble of this
proposed rule for a similar proposal to
adopt the Hospital Harm—OpioidRelated Adverse Events eCQM for the
Promoting Interoperability Program
beginning with the reporting period in
CY 2021.
We acknowledge that some
stakeholders have expressed concern
that some providers could withhold the
use of naloxone for patients who are in
respiratory depression, believing that
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may help those providers avoid poor
performance on the proposed Hospital
Harm—Opioid-Related Adverse Events
eCQM (83 FR 41591). Therefore, we are
soliciting public comment on the
potential for this measure to
disincentivize the appropriate use of
naloxone in the hospital setting or
withholding opioids when they are
medically necessary in patients
requiring palliative care or who are at
end of life out of an overabundance of
caution.
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b. Proposed Adoption of Hybrid
Hospital-Wide Readmission Measure
With Claims and Electronic Health
Record Data (NQF #2879)
In this proposed rule, we are
proposing to adopt the Hybrid HospitalWide Readmission Measure with Claims
and Electronic Health Record Data (NQF
#2879) (Hybrid HWR measure) into the
Hospital IQR Program in a stepwise
fashion. First, we would accept data
submissions for the Hybrid HWR
measure during two voluntary reporting
periods. In those periods, we would
collect data on the Hybrid HWR
measure in accordance with, and to the
extent permitted by, the HIPAA Privacy
and Security Rules (45 CFR parts 160
and 164, Subparts A, C, and E), and
other applicable law. The first voluntary
reporting period would run from July 1,
2021 through June 30, 2022, and the
second would run from July 1, 2022
through June 30, 2023. These voluntary
reporting periods would last for four
quarters, which is an expansion upon
the 2018 Voluntary Reporting Period for
the Hybrid HWR measure, which only
collected two quarters of data.
Immediately thereafter, we are
proposing to require reporting of the
Hybrid HWR measure for the reporting
period which runs from July 1, 2023
through June 30, 2024, impacting the FY
2026 payment determination, and for
subsequent years. This proposal to
adopt the Hybrid HWR measure with a
stepwise implementation timeline is
being made in conjunction with our
proposal to remove the Claims-Based
Hospital-Wide All-Cause Unplanned
Readmission Measure (NQF #1789)
(HWR claims-only measure) (discussed
in section VIII.A.6. of the preamble of
this proposed rule, below). These
proposals are discussed in detail below.
(1) Background
Hospital readmission rates are
affected by complex and critical aspects
of care such as communication between
providers or between providers and
patients; prevention of, and response to,
complications; patient safety; and
coordinated transitions to the outpatient
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environment (82 FR 38350 through
38355). Some readmissions are
unavoidable, for example, those that
result from inevitable progression of
disease or worsening of chronic
conditions. However, readmissions may
also result from poor quality of care or
inadequate transitional care (77 FR
53521). From a patient perspective, an
unplanned readmission for any cause is
an adverse event. For the July 1, 2016
through June 30, 2017 measurement
period (the most recent data available),
the readmission rate from the hospitalwide population ranged from 10.6
percent to 20.3 percent, showing a
performance gap across hospitals with
wide variation and an opportunity to
improve quality.459
Consistent with our goal of increasing
the use of EHR data in quality
measurement and in response to
stakeholder feedback encouraging the
use of clinical data in outcome
measures, we developed the Hybrid
HWR measure (NQF #2879). The Hybrid
HWR measure is designed to capture all
unplanned readmissions that arise from
acute clinical events requiring urgent
rehospitalization within 30 days of
discharge. Planned readmissions, which
are generally not a signal of quality of
care, are not considered readmissions in
the measure outcome and all unplanned
readmissions are considered an
outcome, regardless of cause. The
Hybrid HWR measure provides a
facility-wide picture of this aspect of
care quality in hospitals and was
designed to promote hospital quality
improvement. The Hybrid HWR
measure aligns with the Meaningful
Measures Initiative quality priority of
‘‘Promoting Effective Communication
and Coordination of Care.’’
The Hybrid HWR measure was first
included in a publicly available
document entitled ‘‘List of Measures
Under Consideration for December 1,
2014.’’ 460 Upon review, the MAP
supported further development of the
Hybrid HWR measure, which was an
expression of their conditional support
pending endorsement for the National
Quality Forum (NQF).461 Thereafter, the
459 Centers for Medicare & Medicaid Services.
(2018). 2018 All-Cause Hospital-Wide Measure
Updates and Specifications Report: Hospital-Wide
Readmission. Available at: https://www.cms.gov/
Medicare/Quality-Initiatives-Patient-AssessmentInstruments/HospitalQualityInits/MeasureMethodology.html.
460 List of Measures Under Consideration for
December 1, 2014. Available at: https://
www.qualityforum.org/
ProjectMaterials.aspx?projectID=75369.
461 Measure Applications Partnership, 2015
Considerations for Implementing Measures in
Federal Programs: Hospitals. Available at: https://
www.qualityforum.org/WorkArea/
linkit.aspx?LinkIdentifier=id&ItemID=78711.
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Hybrid HWR measure was endorsed by
the NQF on December 9, 2016.462 The
Hybrid HWR measure was first
discussed in the FY 2016 IPPS/LTCH
PPS final rule (80 FR 49698 through
49704).
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38350 through 38355), we
finalized a 6-month, limited, voluntary
reporting period for the EHR-derived
data elements used in the Hybrid HWR
measure (hereinafter referred to as the
2018 Voluntary Reporting Period).
Specifically, for the 2018 Voluntary
Reporting Period, we invited
participating hospitals and their health
IT vendors to report data on discharges
over a 6-month period in the first two
quarters of CY 2018 (January 1, 2018
through June 30, 2018). We finalized
that a hospital’s annual payment
determination would not be affected by
the 2018 Voluntary Reporting Period.
Hospitals that participated in the 2018
Voluntary Reporting Period will receive
confidential hospital-specific reports in
early summer of 2019 that detail
submission results from the reporting
period, as well as the Hybrid HWR
measure results assessed from merged
files created by our merging of the EHR
data elements submitted by each
participating hospital with claims data
from the same set of index admissions.
Hospitals that volunteered to submit
data increased their familiarity with
submitting data for hybrid quality
measures from their EHR systems.
Participating hospitals received
information and instruction on the use
of the electronic specifications for this
measure, had an opportunity to test
extraction and submission of data to
CMS, and received submission feedback
reports from CMS, available via the
QualityNet Secure Portal, with details
on the success of their submissions. In
the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38354), we stated that we were
considering proposing the Hybrid HWR
measure (NQF #2879) as a required
measure as early as the FY 2023
payment determination. We also stated
that any requirement for mandatory
reporting on this measure would be
proposed through future rulemaking.
During the 2018 Voluntary Reporting
Period, approximately 80 hospitals
submitted data for the Hybrid HWR
measure. We are currently merging the
EHR data with the claims data and will
provide hospitals with confidential
hospital-specific reports which will
462 National Quality Forum. (2017). All-Cause
Admissions and Readmissions 2015–2017
Technical Report. Available at: https://
www.qualityforum.org/Publications/2017/04/AllCause_Admissions_and_Readmissions_2015-2017_
Technical_Report.aspx.
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reflect submission results from the
reporting period. The assessment will be
based on the merged files containing
both submitted EHR data elements as
well as claims data from the same set of
index admissions.
We note that the Hybrid HWR
measure cohort and outcome are
identical to those in the HWR claimsonly measure, which was adopted into
the Hospital IQR Program beginning
with the FY 2015 payment
determination (77 FR 53521 through
53528). Therefore, we intend for the
Hybrid HWR measure to replace the
previously finalized HWR claims-only
measure, as further discussed in section
VIII.A.6. of the preamble of this
proposed rule, where we are proposing
to remove the HWR claims-only
measure beginning with the July 1, 2023
through June 30, 2024 reporting period,
for the FY 2026 payment determination,
the same year the Hybrid HWR measure
would be required if this proposal is
finalized.
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(2) Measure Overview
Both the previously finalized HWR
claims-only measure and proposed
Hybrid HWR measure capture the
hospital-level, risk-standardized
readmission rate (RSRR) of unplanned,
all-cause readmissions within 30 days of
hospital discharge for any eligible
condition. The measure reports a single
summary RSRR, derived from the
volume-weighted results of five
different models, one for each of the
following specialty cohorts based on
groups of discharge condition categories
or procedure categories: (1) Surgery/
gynecology; (2) general medicine; (3)
cardiorespiratory; (4) cardiovascular;
and (5) neurology. The measure also
indicates the hospital-level standardized
readmission ratios (SRR) for each of
these five specialty cohorts. The
outcome is defined as unplanned
readmission for any cause within 30
days of the discharge date for the index
admission (the admission included in
the measure cohort). A specified set of
readmissions are planned and do not
count in the readmission outcome. The
target population is Medicare fee-forservice (FFS) beneficiaries who are 65
years or older and hospitalized in nonfederal hospitals.
(3) Data Sources
The Hybrid HWR measure uses a
combination of administrative data and
a set of core clinical data elements
extracted from hospital EHRs for each
hospitalized Medicare FFS beneficiary
over the age of 65 years, which is why
it is referred to as a ‘‘hybrid’’ measure.
The measure also requires a set of
linking variables which are present in
both the EHR and claims data, so each
patient’s core clinical data elements can
be matched to the claim for the relevant
admission (examples of linking
variables are patient unique identifier
and patient date of birth).
The administrative data consist of
Medicare Part A and Part B claims data
and Medicare beneficiary enrollment
data, and are used to identify index
admissions included in the measure
cohort, to create a risk-adjustment
model, and to assess the 30-day
unplanned readmission outcome. The
claims data are merged with EHR-based
core clinical data elements, which are
routinely collected on hospitalized
adults, and are used in this hybrid
measure for risk-adjustment of patients’
severity of illness. The specific set of
core clinical data elements that are used
in the Hybrid HWR measure are listed
below.
Additional accepted units of
measurement
Data elements
Units of measurement
Heart Rate .....................................................................................
Systolic Blood Pressure ................................................................
Respiratory Rate ...........................................................................
Temperature ..................................................................................
Oxygen Saturation .........................................................................
Weight ...........................................................................................
Hematocrit .....................................................................................
White Blood Cell Count .................................................................
Beats per minute.
Millimeter of mercury (mmHg).
Breath per minute.
Degrees Fahrenheit (F) .................................................................
Percent (%).
Kilogram (KG) ...............................................................................
Percent (%).
10∧9 per liter (X10E+09/L) ............................................................
Potassium ......................................................................................
Sodium ..........................................................................................
Bicarbonate ...................................................................................
Creatinine ......................................................................................
Glucose .........................................................................................
Millimole per liter (MMOL/L) ..........................................................
Millimole per liter (MMOL)/L ..........................................................
Millimole per liter (MMOL)/L ..........................................................
Milligrams per deciliter (MG/DL).
Milligrams per deciliter (MG/DL).
As we stated in the FY 2016 IPPS/
LTCH PPS final rule (80 FR 49703), the
core clinical data elements use existing
value sets where possible. Because core
clinical data elements are data that are
routinely collected on hospitalized
adults, they are widely available in
hospital EHR systems. We have
confirmed through testing that
extraction of core clinical data elements
from hospital EHRs is feasible and can
be utilized as part of specific quality
outcome measures.463 The core clinical
463 For more detail about core clinical data
elements used in the Hybrid HWR measure, we
refer readers to our discussion in the FY 2016 IPPS/
LTCH PPS final rule (80 FR 49698 through 49704)
and to the QualityNet website at: https://
www.qualitynet.org/dcs/ContentServer?c=
Page&pagename=QnetPublic%2FPage%2
FQnetTier2&cid=1228763452133.
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data elements utilize EHR data,
therefore, we developed and tested a
MAT output and identified value sets
for extraction of the core clinical data
elements, which are available at the
eCQI Resource Center.464
We tested the electronic specifications
in four separate health systems that
used three different EHR systems.
During development and testing of the
Hybrid HWR measure, we demonstrated
that the core clinical data elements were
feasibly extracted from hospital EHRs
for nearly all adult patients admitted.
We also demonstrated that the use of the
core clinical data elements to risk-adjust
464 Electronic Clinical Quality Improvement
(eCQI) Resource Center. Hybrid Hospital-Wide
Readmission. Available at: https://ecqi.healthit.gov/
ecqm/measures/cms529v0.
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19481
Degrees Celsius (C).
Pounds (LB).
Thousands
of
cells
microliter (K/MCL).
MEQ/L.
MEQ/L.
MEQ/L.
per
the Hybrid HWR measure improves the
discrimination of the measure, or the
ability to distinguish patients with a low
risk of readmission from those at high
risk of readmission, as assessed by the
c-statistic.465 In addition, inclusion of
patients’ clinical information from EHRs
is responsive to stakeholders who prefer
to use clinical information that is
available to the clinical care team at the
time treatment is rendered to account
465 Hybrid 30-day Risk-standardized Acute
Myocardial Infarction Mortality Measure with
Electronic Health Record Extracted Risk Factors
(Version 1.1); Hybrid Hospital-Wide Readmission
Measure with Electronic Health Record Extracted
Risk Factors (Version 1.1); 164 2013 Core Clinical
Data Elements Technical Report (Version 1.1); all
available at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-Assessment-Instruments/
HospitalQualityInits/Measure-Methodology.html.
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for patients’ severity of illness rather
than relying solely on data from claims
(80 FR 49702). The Hybrid HWR
measure is now fully developed, tested,
and NQF-endorsed (NQF #2879).
We note the Hybrid HWR measure
was initially developed using claims
coded in ICD–9. However, we have
identified and tested ICD–10
specifications for all information used
in the measure derived from Medicare
claims for both the HWR claims-only
measure, which is currently in use
under the Hospital IQR Program, and for
the proposed Hybrid HWR measure. The
ICD–10 specifications are identical for
both the Hybrid and claims-only HWR
measures. Only the Hybrid HWR
measure’s use of the core clinical data
elements in the risk-adjustment model
differs between the two measures. Those
data elements are not affected by ICD–
10 implementation. We update the
measure specifications annually for both
measures to incorporate new and
revised ICD–10 codes effective October
1 of each year after clinical review.
We also clinically and empirically
review updates to the Agency for
Healthcare Research and Quality
(AHRQ) Clinical Classifications
Software (CCS) map that incorporate
new codes and shifts in CCS categories
of existing codes.466 These updates may
impact assignment to HWR sub-cohorts
or modify the planned readmission
algorithm. For additional details
regarding the measure specifications
that accommodate ICD–10-coded
claims, we refer readers to the 2018 AllCause Hospital-Wide Measure Updates
and Specifications Report, which is
posted on the QualityNet website.467 We
will update and publicly release the
MAT output annually to include any
updates to the electronic quality
measure standards and all included
value sets for the measure-specific data
elements. We note that the data sources
are the same as those used for the 2018
Voluntary Reporting Period.
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(4) Measure Calculation
The methods used to calculate the
Hybrid HWR measure align with the
methods used to calculate the currently
adopted HWR claims-only measure.
Index admissions are assigned to one of
five mutually exclusive specialty cohort
groups consisting of related conditions
466 https://www.hcup-us.ahrq.gov/toolssoftware/
ccs10/ccs10.jsp. Version 2019.1 of CCS for ICD–10–
CM and CCS for ICD–10 for PCS.
467 Centers for Medicare & Medicaid Services.
(2018). 2018 All Cause Hospital Wide Measure
Updates and Specifications Report. Available at:
https://www.qualitynet.org/dcs/ContentServer?cid=
1228774371008&pagename=QnetPublic%2FPage
%2FQnetTier4&c=Page.
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or procedures. An index admission is
the hospitalization to which the
readmission outcome is attributed and
includes admissions for patients:
• Enrolled in Medicare FFS Part A for
the 12 months prior to the date of
admission and during the index
admission;
• Aged 65 or over;
• Discharged alive from a non-federal
short-term acute care hospital; and
• Not transferred to another acute
care facility.
This measure excludes index
admissions for patients:
• Admitted to Prospective Payment
System (PPS)-exempt cancer hospitals;
• Without at least 30 days of postdischarge enrollment in Medicare FFS;
• Discharged against medical advice;
• Admitted for primary psychiatric
diagnoses;
• Admitted for rehabilitation; or
• Admitted for medical treatment of
cancer.
The five specialty cohort groups are:
(1) Surgery/gynecology; (2) general
medicine; (3) cardiorespiratory; (4)
cardiovascular; and (5) neurology. For
each specialty cohort group, the
standardized readmission ratio (SRR) is
calculated as the ratio of the number of
‘‘predicted’’ readmissions to the number
of ‘‘expected’’ readmissions at a given
hospital. For each hospital, the
numerator of the ratio is the number of
readmissions predicted within 30 days
based on the hospital’s performance
with its observed case mix and service
mix. The denominator for each hospital
is the number of readmissions expected
based on the nation’s performance with
each particular hospital’s case mix and
service mix. This approach is analogous
to a ratio of ‘‘observed’’ to ‘‘expected’’
used in other types of statistical
analyses. The specialty cohort SRRs are
then pooled for each hospital using a
volume-weighted geometric mean to
create a hospital-wide composite SRR.
The composite SRR is multiplied by the
national observed readmission rate to
produce the Risk-Standardized
Readmission Rate (RSRR). For
additional details regarding the measure
specifications to calculate the RSRR, we
refer readers to the 2018 All-Cause
Hospital-Wide Measure Updates and
Specifications Report, which is posted
on the QualityNet website.468
We also note an important
distinguishing factor about hybrid
measures: Hybrid measure results must
468 Centers for Medicare & Medicaid Services.
(2018). 2018 All Cause Hospital Wide Measure
Updates and Specifications Report. Available at:
https://www.qualitynet.org/dcs/ContentServer?cid=
1228774371008&pagename=QnetPublic%2FPage
%2FQnetTier4&c=Page.
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be calculated by CMS to determine
hospitals’ risk-adjusted rates relative to
national rates using data from all
reporting hospitals. With a hybrid
measure, hospitals submit data
extracted from the EHR, and CMS
performs the measure calculations and
disseminates results.
(5) Outcome
As stated above, the proposed Hybrid
HWR measure outcome is aligned with
the currently adopted HWR claims-only
measure. The Hybrid HWR measure
outcome assesses unplanned
readmissions for any cause within 30
days of discharge from the index
admission. It does not consider planned
readmissions as part of the readmission
outcome and identifies them by using
the CMS Planned Readmission
Algorithm, which is a set of criteria for
classifying readmissions as planned
using Medicare claims. The algorithm
for the Hybrid HWR measure 469 is the
same algorithm used in the HWR
claims-only measure (77 FR 53521).470
The algorithm and outcomes are also the
same as those used for the 2018
Voluntary Reporting Period, although
the algorithm is updated annually to
reflect changes in the ICD–10 coding
system and the CCS map. The algorithm
identifies admissions that are typically
planned and may occur within 30 days
of discharge from the hospital.471 The
most recent version (v 4.0) was
described in the FY 2015 IPPS/LTCH
PPS final rule (79 FR 50211 through
50216) for the HWR claims-only
measure, and the code specifications are
updated annually. A complete
description of the CMS Planned
Readmission Algorithm, which includes
lists of planned procedures and acute
diagnoses, can be found in the 2018 AllCause Hospital-Wide Measure Updates
and Specifications Report.472
(6) Risk Adjustment
The proposed Hybrid HWR measure
adjusts both for case-mix differences
469 Centers for Medicare & Medicaid Services.
Hybrid Hospital-Wide Readmission Measure with
Electronic Health Record Extracted Risk Factors
(Version 1.1). Available at: https://www.cms.gov/
Medicare/Quality-Initiatives-Patient-AssessmentInstruments/HospitalQualityInits/MeasureMethodology.html.
470 Centers for Medicare & Medicaid Services.
Measure Methodology. Available at: https://
www.cms.gov/Medicare/Quality-Initiatives-PatientAssessment-Instruments/HospitalQualityInits/
Measure-Methodology.html.
471 Ibid.
472 Centers for Medicare & Medicaid Services.
(2018). 2018 All Cause Hospital Wide Measure
Updates and Specifications Report. Available at:
https://www.qualitynet.org/dcs/ContentServer?cid=
1228774371008&pagename=QnetPublic%2F
Page%2FQnetTier4&c=Page.
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amozie on DSK9F9SC42PROD with PROPOSALS2
(how severely ill patients are when they
are admitted) as well as differences in
hospitals’ service-mix (the types of
conditions that cause patients’
admissions). The case-mix variables
include patients’ ages and comorbidities
as well as laboratory test results and
vital signs. As listed in detail above, the
Hybrid HWR measure specifically uses
13 core clinical data elements from
EHRs—seven laboratory test results
(hematocrit, white blood cell count,
sodium, potassium, bicarbonate,
creatinine, glucose) and six vital signs
(heart rate, respiratory rate, temperature,
systolic blood pressure, oxygen
saturation, weight). The use of the core
clinical data elements to risk-adjust the
Hybrid HWR measure improves the
discrimination of the measure, and
inclusion of patients’ clinical
information from EHRs is responsive to
stakeholders who prefer to use clinical
information that is available to the
clinical care team at the time treatment
is rendered to account for patients’
severity of illness rather than relying
solely on data from claims (80 FR
49702).
The service-mix variables include
principal discharge diagnoses grouped
into AHRQ Clinical Classification
Software. Patient comorbidities are
based on the index admission, the
admission included in the measure
cohort, and a full year of prior history.
The risk-adjustment variables included
in the development and testing of the
proposed Hybrid HWR measure are
derived from both claims and clinical
EHR data. As identified in the measure
specifications, the variables are: (1) 13
core clinical data elements derived from
hospital EHRs; 473 (2) the Clinical
Classification Software (CCS)
categories 474 for the principal discharge
diagnosis associated with each index
admission derived from ICD–10 codes
in administrative claims data; and (3)
comorbid conditions of each patient
identified from inpatient claims in the
12 months prior to and including the
index admission derived from ICD–10
codes and grouped into the CMS
condition categories (CC).475 The
473 Electronic Clinical Quality Improvement
(eCQI) Resource Center. Hybrid Hospital-Wide
Readmission. Available at: https://ecqi.healthit.gov/
ecqm/measures/cms529v0.
474 Centers for Medicare & Medicaid Services.
(2018). 2018 All-Cause Hospital-Wide Measure
Updates and Specifications Report: Hospital-Wide
Readmission. Available at: https://www.cms.gov/
Medicare/Quality-Initiatives-Patient-AssessmentInstruments/HospitalQualityInits/MeasureMethodology.html.
475 Centers for Medicare & Medicaid Services.
(2018). 2018 All-Cause Hospital-Wide Measure
Updates and Specifications Report: Hospital-Wide
Readmission. Available at: https://www.cms.gov/
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condition categories used in the riskadjustment model and the ICD–10 codes
grouped into each condition category
can be found in the Annual Updates and
Specification Report on the QualityNet
website.
All 13 core clinical data elements
were shown to be statistically
significant predictors of readmission in
one or more risk-adjustment models of
the five specialty cohort groups used to
calculate the proposed Hybrid HWR
measure.476 The testing results
demonstrate that the core clinical data
elements enhanced the discrimination
(assessed using the c-statistic) when
used in combination with
administrative claims data.477 For
additional details regarding the riskadjustment model, we refer readers to
the Hybrid Hospital-Wide Readmission
Measure with Electronic Health Record
Extracted Risk Factors (Version 1.1).478
We note that the risk adjustment
methods are the same as those used for
the 2018 Voluntary Reporting Period.
(7) Data Submission
As with the 2018 Voluntary Reporting
Period (82 FR 38350 through 38355), we
are proposing that hospitals would use
Quality Reporting Data Architecture
(QRDA) Category I files for each
Medicare FFS beneficiary who is 65
years and older. Submission of data to
CMS using QRDA I files is the current
EHR data and measure reporting
standard adopted for eCQMs
implemented in the Hospital IQR
Program. This same standard would be
used for reporting the core clinical data
elements to the CMS data receiving
system via the QualityNet Secure Portal.
To successfully submit the Hybrid
HWR measure, hospitals would need to
submit the core clinical data elements
included in the Hybrid HWR measure,
as described in the measure
specifications, for all Medicare FFS
beneficiaries 65 and older discharged
from an acute care hospitalization in the
1-year measurement period (July 1 to
June 30 of each year). We note this is the
Medicare/Quality-Initiatives-Patient-AssessmentInstruments/HospitalQualityInits/MeasureMethodology.html.
476 Centers for Medicare & Medicaid Services.
Hybrid Hospital-Wide Readmission Measure with
Electronic Health Record Extracted Risk Factors
(Version 1.1). Available at: https://www.cms.gov/
Medicare/Quality-Initiatives-Patient-AssessmentInstruments/HospitalQualityInits/MeasureMethodology.html.
477 Centers for Medicare & Medicaid Services.
Hybrid Hospital-Wide Readmission Measure with
Electronic Health Record Extracted Risk Factors
(Version 1.1). Available at: https://www.cms.gov/
Medicare/Quality-Initiatives-Patient-AssessmentInstruments/HospitalQualityInits/MeasureMethodology.html.
478 Ibid.
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19483
same measurement period as the HWR
claims-only measure (77 FR 53521
through 53528). Voluntary submission
would run from July 1, 2021 through
June 30, 2022, and from July 1, 2022
through June 30, 2023. Required
submission would begin with the
reporting period which runs July 1,
2023 through June 30, 2024, impacting
the FY 2026 payment determination.
Hospitals would also be required to
successfully submit the following six
linking variables that are necessary in
order to merge the core clinical data
elements with the CMS claims data to
calculate the measure:
• CMS Certification Number;
• Health Insurance Claims Number or
Medicare Beneficiary Identifier;
• Date of birth;
• Sex;
• Admission date, and
• Discharge date.
In order for us to be able to calculate
the Hybrid HWR measure results, each
hospital would need to report vital signs
for 90 percent or more of the hospital
discharges for Medicare FFS patients, 65
years or older in the measurement
period (as determined from the claims
submitted to CMS for admissions that
ended during the same reporting
period). Vital signs are measured on
nearly every adult patient admitted to
an acute care hospital and should be
present for nearly 100 percent of
discharges (identified in Medicare FFS
claims submitted during the same
period). In addition, calculating the
measure with more than 10 percent of
hospital discharges missing these data
elements could cause poor reliability of
the measure score and instability of
hospitals’ results from measurement
period to measurement period.
Hospitals would also be required to
submit the laboratory test results for 90
percent or more of discharges for nonsurgical patients,479 meaning those not
included in the surgical specialty cohort
of the HWR measure. For many patients
admitted following elective surgery,
there are no laboratory values available
in the appropriate time window.
Therefore, laboratory test results are not
used in the risk adjustment of the
surgical cohort.
The six variables required for linking
EHR and claims data should be
submitted for 100 percent of discharges
in the measurement period. Because
these linking variables are required for
479 Centers for Medicare & Medicaid Services.
(2018). 2018 All-Cause Hospital-Wide Measure
Updates and Specifications Report: Hospital-Wide
Readmission. Available at: https://www.cms.gov/
Medicare/Quality-Initiatives-Patient-AssessmentInstruments/HospitalQualityInits/MeasureMethodology.html.
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billing,480 they should be available on
all Medicare FFS patients and are
ideally suited to support merging claims
and EHR data. However, hospitals
would meet Hospital IQR Program
requirements if they submit linking
variables on 95 percent or more of
discharges with a Medicare FFS claim
for the same hospitalization during the
measurement period. Beginning with
the reporting period which runs from
July 1, 2023 through June 30, 2024, a
hospital that does not submit any EHR
data for the Hybrid HWR measure, or
that submits data for less than the
specified percentage of applicable
patients, would be considered as not
having met this Hospital IQR Program
requirement and would receive a onefourth reduction of its Annual Payment
Update (APU) for the applicable fiscal
year.
Under our stepwise approach, for the
voluntary reporting periods which run
from July 1, 2021 through June 30, 2022,
and July 1, 2022 through June 30, 2023,
if a hospital submits data for this
proposed measure, it should do so
according to the requirements described
above in order for CMS to calculate the
measure. However, a hospital’s annual
payment determination would not be
affected during this timeframe. The
benefits to hospitals that submit the data
in the initial 2-year voluntary reporting
period include the opportunity to
provide feedback on the measure
specifications, to confirm mapping and
extraction of data elements, to hone and
improve quality assurance practices,
and to troubleshoot any problems
populating QRDA templates for
successful submission to CMS. As
described above, hospitals would
receive detailed patient discharge
information which would help them
perfect these processes before hospitals’
payment determinations would be
impacted beginning with the FY 2026
payment determination. We refer
readers to section VIII.A.10.e. of the
preamble of this proposed rule for more
information about the form and manner
of hybrid measure data submission.
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(8) Confidential Feedback Reports
Hospitals that submit data for this
measure during the voluntary reporting
periods, which run from July 1, 2021
through June 30, 2022, and July 1, 2022
through June 30, 2023, would receive
confidential hospital-specific reports
that detail submission results from the
applicable reporting period, as well as
480 CMS, Medicare Claims Processing Manual
(100–04). Available at: https://www.cms.gov/
Regulations-and-Guidance/Guidance/Manuals/
internet-Only-Manuals-IOMs.html.
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the Hybrid HWR measure results
assessed from merged files created by
our merging of the EHR data elements
submitted by each participating hospital
with claims data from the same set of
index admissions. Participating
hospitals would receive information and
instructions on the use of the electronic
specifications for this measure, have an
opportunity to test extraction and
submission of data to CMS, and receive
feedback reports from CMS, available
via the QualityNet Secure Portal, with
details on the success of their
submissions.
We are proposing to take an
incremental approach to implementing
this proposed measure in an effort to be
responsive to provider and vendor
feedback (82 FR 38355), which
requested sufficient time to undertake
the data mapping, validation,
adjustments to clinician workflow
(specifically, changes to documentation
practices to ensure accurate and
complete mapping of the required data
elements), and training needed to
effectively implement EHR-based
quality reporting to CMS. We believe
that two additional years of voluntary
reporting of the Hybrid HWR measure,
in addition to the 2018 Voluntary
Reporting Period, would allow hospitals
more time to update and validate their
systems, to ensure data mapping is
accurate and complete, and to
implement workflow changes and
clinician training as necessary to better
prepare for submitting data when the
Hybrid HWR measure becomes required
beginning with the reporting period
which runs from July 1, 2023 through
June 30, 2024 (impacting the FY 2026
payment determination) if our proposal
is finalized. We believe those hospitals
that can implement the Hybrid HWR
measure more quickly can have the
opportunity to submit their data to CMS
and refine their data collection and
submission processes. Starting with
voluntary and confidential reporting for
the Hybrid HWR measure would enable
hospitals and their vendors to gain
further experience collecting and
reporting the core clinical data elements
and linking variables so they would be
ready for public reporting of the Hybrid
HWR measure data on the Hospital
Compare website starting with the FY
2026 payment determination.
Under our proposal, the first year of
voluntary data collection for
confidential reporting would be for the
July 1, 2021 through June 30, 2022
reporting period. The 12-month
measurement period that runs from July
1 through June 30 would be consistent
with the calculation of the HWR claimsonly measure. To support hospital
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reporting, we intend to publish the
electronic specifications for this
reporting period in the 2021 Annual
Update 481 in the spring of 2020,
providing hospitals and vendors with
the electronic specifications
approximately 15 months before the
beginning of the reporting period on
July 1, 2021. We intend to deliver the
first set of confidential hospital-specific
feedback reports in the spring of 2023,
after we merge the EHR data with the
associated claims data for the same
reporting period, which is historically
pulled from CMS’ claims data system at
the end of September following the end
of the reporting period. During the first
year of voluntary data collection, which
runs from July 1, 2021 through June 30,
2022, we would not publicly report
Hybrid HWR measure data, nor would
incomplete or non-submission of the
EHR data impact hospitals’ APU
determinations for the FY 2024 payment
determination.
The second year of voluntary data
collection for confidential reporting
would be for the July 1, 2022 through
June 30, 2023 reporting period. Similar
to the first year of voluntary reporting,
hospitals would use the electronic
specifications for this reporting period
as published in the 2022 Annual Update
planned for the spring of 2021. We plan
to deliver confidential hospital-specific
feedback reports in the spring of 2024,
after we merge the EHR data with the
associated claims data. As with the first
year of voluntary data collection, there
would not be any associated public
reporting, nor impact on hospitals’ APU
determinations for the FY 2025 payment
determination. As discussed above,
hospitals’ payment determinations
could be affected beginning with the FY
2026 payment determination.
(9) Public Reporting
Under our stepwise approach, data
collected specifically during the
voluntary reporting periods, which run
from July 1, 2021 through June 30, 2022,
and July 1, 2022 through June 30, 2023,
would not be publicly reported, as
mentioned above. However, we are
proposing that after the end of the
proposed voluntary reporting periods,
we would begin public reporting of the
Hybrid HWR measure results, beginning
with data collected from the July 1, 2023
through June 30, 2024 reporting period,
impacting the FY 2026 payment
determination. This would be the first
481 Electronic Clinical Quality Improvement
(eCQI) Resource Center. 2018 Measure
Specifications. Available at: https://
ecqi.healthit.gov/ecqm/measures/cms529v0. Note
that the measure specifications may be further
refined in the 2021 Annual Update.
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set of Hybrid HWR measure data to be
publicly reported on the Hospital
Compare website, which we anticipate
would be included in the July 2025
refresh of Hospital Compare. The EHR
data would be merged with the
associated claims data, and then Hybrid
HWR measure results would be shared
with hospitals in the confidential
hospital-specific feedback reports
planned for the spring of 2025,
providing hospitals a 30-day review
period prior to public reporting.
Thereafter, in subsequent reporting
years, we would follow a similar
operational timeline for EHR data
submissions, availability of hospitalspecific reports, and public reporting on
the Hospital Compare website.
We note that this proposal is being
made in conjunction with our proposal
to remove the Claims-Based HospitalWide All-Cause Unplanned
Readmission Measure (NQF #1789)
beginning with the FY 2026 payment
determination as discussed below. We
also refer readers to section VIII.D.6.c. of
preamble of this proposed rule, which
includes a request for feedback on
whether to consider adopting the
Hybrid HWR measure for the Promoting
Interoperability Program.
6. Proposed Removal of Claims-Based
Hospital-Wide All-Cause Unplanned
Readmission Measure (NQF #1789)
(HWR Claims-Only Measure)
In this proposed rule, we are
proposing to remove the Claims-Based
Hospital-Wide All-Cause Unplanned
Readmission Measure (NQF #1789) in
conjunction with our proposal to
replace the measure by making the
Hybrid HWR measure mandatory
beginning with the reporting period
which runs from July 1, 2023 through
June 30, 2024, impacting the FY 2026
payment determination. This is
discussed in detail below.
The HWR claims-only measure was
adopted in the FY 2013 IPPS/LTCH PPS
final rule (77 FR 53521 through 53528)
for the FY 2015 payment determination
and subsequent years, to allow us to
provide a broader assessment of the
quality of care at hospitals, especially
for hospitals with too few disease
specific readmissions to count
separately.
In this proposed rule, we are
proposing to remove the HWR claimsonly measure, beginning with the July 1,
2023 through June 30, 2024 reporting
period, for the FY 2026 payment
determination. As discussed in section
VIII.A.5.b. of the preamble of this
proposed rule above, the Hybrid HWR
measure is an enhanced version of HWR
claims-only measure, in that it provides
substantive improvement to the current
claims-based measure, which is why we
are proposing to replace it. The Hybrid
HWR measure includes clinical
variables in the risk adjustment, which
improves face validity of the measure.
Furthermore, we have heard from
stakeholders that they strongly favor
electronic measures over claims-based
versions due to the incorporation of
clinical data (80 FR 49694).
We are proposing to remove the HWR
claims-only measure under removal
Factor 3, ‘‘the availability of a more
broadly applicable measure (across
settings, populations, or the availability
of a measure that is more proximal in
time to desired patient outcomes for the
particular topic).’’ We took into
particular consideration the aspect of
removal Factor 3 which emphasizes
when there is a different measure that
is more proximal in time to desired
patient outcomes. Aspects of the Hybrid
HWR measure are more proximal in
time to desired patient outcomes for this
measure because the measurement of
the core clinical data elements for each
patient in the measure cohort is taken
from the beginning of the applicable
inpatient stay, in comparison to the
claims data used for risk adjustment,
which accounts for 1-year preceding
admission. In other words, the patient
data used for risk adjustment of the
Hybrid HWR measure are data that
come from the very start of the inpatient
stay that is evaluated for a readmission.
In addition, as noted above and
19485
discussed in detail in section VIII.A.5.b.
of the preamble of this proposed rule,
the Hybrid HWR measure includes
clinical variables in the risk adjustment,
which improves face validity of the
measure, and is responsive to provider
stakeholder feedback strongly in favor of
electronic measures over claims-based
versions due to the incorporation of
clinical data. For these reasons, we are
proposing to remove the HWR claimsonly measure and replace it with the
Hybrid HWR measure.
We refer readers to sections VIII.A.5.b.
and VIII.A.10.e. of the preamble of this
proposed rule for more detail on our
proposals to adopt the Hybrid HWR
measure with a stepwise
implementation timeline starting with 2
years of voluntary confidential
reporting, followed by mandatory data
submission and public reporting of the
Hybrid HWR measure results beginning
with data collected from the July 1, 2023
through June 30, 2024 reporting period,
impacting the FY 2026 payment
determination. To ensure continuity of
public reporting on Hospital-Wide AllCause Unplanned Readmission measure
data, we are proposing to align the
removal of the HWR claims-only
measure such that its removal aligns
with the end of the 2-year confidential
reporting period and beginning of the
mandatory data submission and public
reporting of the Hybrid HWR measure.
In short, the Hybrid HWR measure is
intended to replace the HWR claimsonly measure. Our proposal to remove
the HWR claims-only measure is
contingent upon our proposals for the
Hybrid HWR measure being finalized.
7. Summary of Previously Finalized and
Proposed Hospital IQR Program
Measures
a. Summary of Previously Finalized
Hospital IQR Program Measures for the
FY 2022 Payment Determination
The table below summarizes the
previously finalized Hospital IQR
Program measure set for the FY 2022
payment determination:
MEASURES FOR THE FY 2022 PAYMENT DETERMINATION
Short name
Measure name
NQF No.
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National Healthcare Safety Network Measures
HCP ........................................................
Influenza Vaccination Coverage Among Healthcare Personnel .....................................................................
0431
Claims-Based Patient Safety Measures
COMP–HIP–KNEE *++
............................
CMS PSI 04 ............................................
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Hospital-Level Risk-Standardized Complication Rate (RSCR) Following Elective Primary Total Hip
Arthroplasty (THA) and/or Total Knee Arthroplasty (TKA).
CMS Death Rate among Surgical Inpatients with Serious Treatable Complications .....................................
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MEASURES FOR THE FY 2022 PAYMENT DETERMINATION—Continued
Short name
Measure name
NQF No.
MORT–30–STK ......................................
Hospital 30-Day, All-Cause, Risk-Standardized Mortality Rate Following Acute Ischemic Stroke .................
Claims-Based Mortality Measures
N/A
Claims-Based Coordination of Care Measures
READM–30–HWR ..................................
AMI Excess Days ...................................
HF Excess Days .....................................
PN Excess Days .....................................
Hospital-Wide All-Cause Unplanned Readmission Measure (HWR) ..............................................................
Excess Days in Acute Care after Hospitalization for Acute Myocardial Infarction .........................................
Excess Days in Acute Care after Hospitalization for Heart Failure ................................................................
Excess Days in Acute Care after Hospitalization for Pneumonia ...................................................................
1789
2881
2880
2882
Claims-Based Payment Measures
AMI Payment ..........................................
HF Payment ............................................
PN Payment ...........................................
THA/TKA Payment .................................
Hospital-Level, Risk-Standardized Payment Associated with a 30-Day Episode-of-Care for Acute Myocardial Infarction (AMI).
Hospital-Level, Risk-Standardized Payment Associated with a 30-Day Episode-of-Care For Heart Failure
(HF).
Hospital-Level, Risk-Standardized Payment Associated with a 30-day Episode-of-Care For Pneumonia ....
Hospital-Level, Risk-Standardized Payment Associated with an Episode-of-Care for Primary Elective Total
Hip Arthroplasty and/or Total Knee Arthroplasty.
2431
2436
2579
N/A
Chart-Abstracted Clinical Process of Care Measures
PC–01 .....................................................
Sepsis .....................................................
Elective Delivery ..............................................................................................................................................
Severe Sepsis and Septic Shock: Management Bundle (Composite Measure) .............................................
0469
0500
EHR-based Clinical Process of Care Measures (that is, Electronic Clinical Quality Measures (eCQMs))
ED–2 .......................................................
PC–05 .....................................................
STK–02 ...................................................
STK–03 ...................................................
STK–05 ...................................................
STK–06 ...................................................
VTE–1 .....................................................
VTE–2 .....................................................
Admit Decision Time to ED Departure Time for Admitted Patients ................................................................
Exclusive Breast Milk Feeding .........................................................................................................................
Discharged on Antithrombotic Therapy ...........................................................................................................
Anticoagulation Therapy for Atrial Fibrillation/Flutter .......................................................................................
Antithrombotic Therapy by the End of Hospital Day Two ...............................................................................
Discharged on Statin Medication .....................................................................................................................
Venous Thromboembolism Prophylaxis ..........................................................................................................
Intensive Care Unit Venous Thromboembolism Prophylaxis ..........................................................................
0497
0480
0435
0436
0438
0439
0371
0372
Patient Experience of Care Survey Measures
HCAHPS ** .............................................
Hospital Consumer Assessment of Healthcare Providers and Systems Survey (including Care Transition
Measure).
0166 (0228)
* Finalized for removal from the Hospital IQR Program beginning with the FY 2023 payment determination, as discussed in the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41558 through 41559).
** In the CY 2019 OPPS/ASC PPS final rule with comment period (83 FR 59140 through 59149), we finalized removal of the Communication About Pain questions
from the HCAHPS Survey effective with October 2019 discharges, for the FY 2021 payment determination and subsequent years.
+ Measure is no longer endorsed by the NQF, but was endorsed at time of adoption. Section 1886(b)(3)(B)(viii)(IX)(bb) of the Act authorizes the Secretary to specify
a measure that is not endorsed by the NQF as long as due consideration is given to measures that have been endorsed or adopted by a consensus organization
identified by the Secretary. We attempted to find available measures for each of these clinical topics that have been endorsed or adopted by a consensus organization and found no other feasible and practical measures on the topics for the inpatient setting.
++ We have updated the short name for the Hospital-Level Risk-Standardized Complication Rate Following Elective Primary Total Hip Arthroplasty (THA) and/or
Total Knee Arthroplasty (TKA) measure (NQF #1550) measure from Hip/Knee Complications to COMP–HIP–KNEE in order to maintain consistency with the updated
Measure ID and hospital reports for the Hospital Compare website.
b. Summary of Previously Finalized and
Newly Proposed Hospital IQR Program
Measures for the FY 2023 Payment
Determination
proposed Hospital IQR Program
measure set for the FY 2023 payment
determination:
The table below summarizes the
previously finalized and newly
MEASURES FOR THE FY 2023 PAYMENT DETERMINATION
Short name
Measure name
NQF No.
National Healthcare Safety Network Measures
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HCP ........................................................
Influenza Vaccination Coverage Among Healthcare Personnel .....................................................................
0431
Claims-Based Patient Safety Measures
CMS PSI 04 ............................................
CMS Death Rate among Surgical Inpatients with Serious Treatable Complications .....................................
(+)
Claims-Based Mortality Measures
MORT–30–STK ......................................
Hospital 30-Day, All-Cause, Risk-Standardized Mortality Rate Following Acute Ischemic Stroke .................
N/A
Claims-Based Coordination of Care Measures
READM–30–HWR * ................................
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Hospital-Wide All-Cause Unplanned Readmission Measure (HWR) ..............................................................
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MEASURES FOR THE FY 2023 PAYMENT DETERMINATION—Continued
Short name
Measure name
NQF No.
AMI Excess Days ...................................
HF Excess Days .....................................
PN Excess Days .....................................
Excess Days in Acute Care after Hospitalization for Acute Myocardial Infarction .........................................
Excess Days in Acute Care after Hospitalization for Heart Failure ................................................................
Excess Days in Acute Care after Hospitalization for Pneumonia ...................................................................
2881
2880
2882
Claims-Based Payment Measures
AMI Payment ..........................................
HF Payment ............................................
PN Payment ...........................................
THA/TKA Payment .................................
Hospital-Level, Risk-Standardized Payment Associated with a 30-Day Episode-of-Care for Acute Myocardial Infarction (AMI).
Hospital-Level, Risk-Standardized Payment Associated with a 30-Day Episode-of-Care For Heart Failure
(HF).
Hospital-Level, Risk-Standardized Payment Associated with a 30-day Episode-of-Care For Pneumonia ....
Hospital-Level, Risk-Standardized Payment Associated with an Episode-of-Care for Primary Elective Total
Hip Arthroplasty and/or Total Knee Arthroplasty.
2431
2436
2579
N/A
Chart-Abstracted Clinical Process of Care Measures
PC–01 .....................................................
Sepsis .....................................................
Elective Delivery ..............................................................................................................................................
Severe Sepsis and Septic Shock: Management Bundle (Composite Measure) .............................................
0469
0500
EHR-based Clinical Process of Care Measures (that is, Electronic Clinical Quality Measures (eCQMs))
ED–2 .......................................................
Harm—ORAE ** ......................................
PC–05 .....................................................
Safe Use of Opioids ** ............................
STK–02 ...................................................
STK–03 ...................................................
STK–05 ...................................................
STK–06 ...................................................
VTE–1 .....................................................
VTE–2 .....................................................
Admit Decision Time to ED Departure Time for Admitted Patients ................................................................
Hospital Harm—Opioid-Related Adverse Events ............................................................................................
Exclusive Breast Milk Feeding .........................................................................................................................
Safe Use of Opioids—Concurrent Prescribing ................................................................................................
Discharged on Antithrombotic Therapy ...........................................................................................................
Anticoagulation Therapy for Atrial Fibrillation/Flutter .......................................................................................
Antithrombotic Therapy by the End of Hospital Day Two ...............................................................................
Discharged on Statin Medication .....................................................................................................................
Venous Thromboembolism Prophylaxis ..........................................................................................................
Intensive Care Unit Venous Thromboembolism Prophylaxis ..........................................................................
0497
(++)
0480
3316e
0435
0436
0438
0439
0371
0372
Patient Experience of Care Survey Measures
HCAHPS .................................................
Hospital Consumer Assessment of Healthcare Providers and Systems Survey (including Care Transition
Measure).
0166 (0228)
* In section VIII.A.6. of the preamble of this proposed rule, we are proposing to remove the claims-only Hospital-Wide All-Cause Unplanned Readmission (HWR
claims-only) measure (NQF #1789) and in VIII.A.5.b. of the preamble of this proposed rule we are proposing to replace it with the Hybrid Hospital-Wide Readmission
Measure with Claims and Electronic Health Record Data (NQF #2879) (Hybrid HWR measure), beginning with the FY 2026 payment determination. The proposed removal of the HWR claims-only measure is contingent on our finalizing our proposal to adopt the Hybrid HWR measure. We are proposing to align the removal of the
HWR claims only measure such that its removal aligns with the end of the proposed 2-year voluntary reporting period and the beginning of the proposed mandatory
data submission and public reporting of the Hybrid HWR measure.
** Newly proposed in this proposed rule to add to the eCQM measure set, beginning with the CY 2021 reporting period/FY 2023 payment determination.
+ Measure is no longer endorsed by the NQF but was endorsed at time of adoption. Section 1886(b)(3)(B)(viii)(IX)(bb) of the Act authorizes the Secretary to specify
a measure that is not endorsed by the NQF as long as due consideration is given to measures that have been endorsed or adopted by a consensus organization
identified by the Secretary. We attempted to find available measures for each of these clinical topics that have been endorsed or adopted by a consensus organization and found no other feasible and practical measures on the topics for the inpatient setting.
++ This measure was submitted for endorsement by NQF’s Patient Safety Standing Committee for the Spring 2019 cycle, with a complete review of measure validity
and reliability current scheduled for June 2019.
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8. Potential Future Quality Measures
In the FY 2013 IPPS/LTCH PPS final
rule (77 FR 53510 through 53512), we
outlined considerations to guide us in
selecting new quality measures to adopt
into the Hospital IQR Program. We also
refer readers to the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41147 through
41148), where we describe the
Meaningful Measures Initiative and the
quality priorities and high impact
measurement areas under the
Meaningful Measures framework that
we have identified as relevant and
meaningful to both patients and
providers. In keeping with these
considerations, we are inviting public
comment on the possible future
inclusion of the following three
measures in the Hospital IQR Program.
We note that these measures are also
being considered for potential future
inclusion in the Promoting
Interoperability Program.
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a. Hospital Harm—Severe
Hypoglycemia eCQM
(1) Background
Hypoglycemic events in the hospital
are among the most common adverse
drug events.482 Hypoglycemia can cause
a wide range of symptoms, including
mild symptoms of dizziness, sweating,
and confusion to more severe symptoms
such as seizure, tachycardia or loss of
consciousness. Most individuals with
hypoglycemia recover fully, but in rare
instances, hypoglycemia can progress to
coma and death.483 Hypoglycemia
482 Office of Disease Prevention and Health
Promotion. (2014). National Action Plan for
Adverse Drug Event Prevention. Available at:
https://health.gov/hcq/pdfs/ADE-Action-Plan508c.pdf.
483 Diabetes Control and Complications Trial
Research Group. (1993). The effect of intensive
treatment of diabetes on the development and
progression of long-term complications in insulindependent diabetes mellitus. New England Journal
of Medicine, 329(14): 977–86.
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(defined as a blood glucose level of less
than 70 mg/dl in this study) is
associated with higher in-hospital
mortality, increased length of stay, and
consequently, increased resource use.484
In a 2003–2004 study examining clinical
outcomes associated with hypoglycemia
in hospitalized people with diabetes,
patients who had at least one
hypoglycemic episode (a blood glucose
level of less than 50 mg/dL) were
hospitalized 2.8 days longer than
patients who did not experience
hypoglycemia.485 Another retrospective
cohort study showed hospitalized
patients with diabetes who experienced
484 Krinsley, J.S., Schultz, M.J., Spronk, P.E., van
Braam Houckgeest, F., van der Sluijs, J.P., Melot, C.
& Preiser, J.C. (2011). Mild hypoglycemia is strongly
associated with increased intensive care unit length
of stay. Ann Intensive Care, 1, 49.
485 Turchin, A., Matheny, M.E., Shubina, M.,
Scanlon, J.V., Greenwood, B., & Pendergrass, M.L.
(2009). Hypoglycemia and clinical outcomes in
patients with diabetes hospitalized in the general
ward. Diabetes Care, 32(7): 1153–57.
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hypoglycemia (a blood glucose level of
less than 70 mg/dL) had higher medical
costs (by 38.9 percent), longer length of
stay (by 3.0 days), and higher odds of
being discharged to a skilled nursing
facility (odds ratio 1.58; 95 percent
Confidence Interval 1.48–1.69) than
patients with diabetes without
hypoglycemia (p<0.01 for all).486
The rate of severe hypoglycemia (a
blood glucose level of less than 40 mg/
dL) varies across hospitals indicating an
opportunity for improvement in care.
Severe hypoglycemia rates have been
reported to range from 2.3 percent to 5
percent of hospitalized patients with
diabetes, and from 0.4 percent of nonICU patient days to 1.9 percent of ICU
patient days.487 488 489 Severe
hypoglycemic events are largely
avoidable by careful use of anti-diabetic
medication and close monitoring of
blood glucose values.
Although there are many occurrences
of hypoglycemia in hospital settings,
many of which are preventable, there is
currently no measure in a CMS quality
program that quantifies how often
hypoglycemic events happen to patients
while in inpatient acute care. AHRQ
identified insulin and other
hypoglycemic agents as high-alert
medications and associated adverse
drug events to be included as a measure
in the Medicare Patient Safety
Monitoring System (MPSMS),490
signifying the importance of measuring
this hospital harm. Unlike the MPSMS
which relies on chart abstracted data,
the Hospital Harm—Severe
Hypoglycemia eCQM identifies
hypoglycemic events using direct
extraction of structured data from the
EHR. In addition, the National Action
Plan for Adverse Drug Event Prevention
notes the opportunity for health care
quality reporting measures and
486 Curkendall, S.M., Natoli, J.L., Alexander, C.M.,
Nathanson, B.H., Haidar, T., & Dubois, R.W. (2009).
Economic and clinical impact of inpatient diabetic
hypoglycemia. Endocrine Practice, 15(4): 302–312.
487 Nirantharakumar, K., Marshall, T., Kennedy,
A., Narendran, P., Hemming, K., & Coleman, J.J.
(2012). Hypoglycemia is associated with increased
length of stay and mortality in people with diabetes
who are hospitalized. Diabetic Medicine, 29(12):
e445–e448.
488 Wexler, D.J., Meigs, J.B., Cagliero, E., Nathan,
D.M., & Grant, R.W. (2007). Prevalence of hyperand hypoglycemia among inpatients with diabetes:
A national survey of 44 U.S. hospitals. Diabetes
Care, 30(2): 367–369.
489 Cook, C.B., Kongable, G.L., Potter, D.J., Abad,
V.J., Leija, D.E., & Anderson, M. (2009). Inpatient
glucose control: A glycemic survey of 126 U.S.
hospitals. Journal of Hospital Medicine, 4(9): E7–
E14.
490 Classen, DC, Jaser, L., Budnitz, D.S. (2010).
Adverse Drug Events among Hospitalized Medicare
Patients: Epidemiology and national estimates from
a new approach to surveillance. Joint Commission
Journal on Quality and Patient Safety, 36(1): 12–21.
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meaningful utilization of EHR data to
advance hypoglycemic adverse drug
event prevention.491 To address these
gaps in measurement, we developed the
Hospital Harm—Severe Hypoglycemia
eCQM to identify the rates of severe
hypoglycemic events using direct
extraction of structured data from the
EHR. We believe this measure will
provide reliable and timely
measurement of the rate at which severe
hypoglycemia events occur in the
setting of hospital administration of
medication during hospitalization,
which will create transparency for
providers and patients with respect to
variation in rates of these events among
hospitals.
(2) Overview of Measure
The Hospital Harm—Severe
Hypoglycemia eCQM is an outcome
measure focusing specifically on inhospital severe hypoglycemic events in
the setting of hospital administered
antihyperglycemic medications. The
measure identifies the proportion of
patients who experienced a severe
hypoglycemic event using a low glucose
test result of less than 40 mg/dL, within
24 hours of the administration of an
antihyperglycemic agent, which
indicates harm to a patient. The intent
of this measure is for hospitals to track
and improve their practices of
appropriate dosing and adequate
monitoring of patients receiving
glycemic control agents, and to avoid
patient harm leading to increased risk of
mortality and disability. This measure
addresses the quality priority of
‘‘Making Care Safer by Reducing Harm
Caused in the Delivery of Care’’ through
the Meaningful Measure Area of
‘‘Preventable Healthcare Harm.’’ 492
This measure is a respecification of a
measure of hypoglycemia originally
endorsed by the NQF, Glycemic
Control—Severe Hypoglycemia (NQF
#2363).493 The original measure was not
implementable because the MAT could
not support the measure as specified
when it was originally developed due to
limitations in the Quality Data Model
(QDM) to express the measure logic or
491 Office of Disease Prevention and Health
Promotion. (2014). National Action Plan for
Adverse Drug Event Prevention. Available at:
https://health.gov/hcq/pdfs/ADE-Action-Plan508c.pdf.
492 More information on CMS’ Meaningful
Measures Initiative can be found at: https://
www.cms.gov/Medicare/Quality-Initiatives-PatientAssessment-Instruments/QualityInitiativesGenInfo/
MMF/General-info-Sub-Page.html.
493 For more information on the Glycemic
Control—Severe Hypoglycemia measure, we refer
readers to the measure specifications, available at:
https://www.qualityforum.org/QPS/
MeasureDetails.aspx?standardID=2363&
print=1&entityTypeID=1.
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syntax as specified. The measure was
respecified using the updates to the
MAT including expression of the logic
with CQL to create a measure that can
now be implemented.
The Hospital Harm—Severe
Hypoglycemia (MUC18–109) measure
was included in the publicly available
‘‘List of Measures Under Consideration
for December 1, 2018.’’ 494 This measure
was reviewed by the NQF MAP Hospital
Workgroup in December 2018 and
received conditional support pending
NQF review and reendorsement once
the revised measure is fully tested.495 496
MAP stakeholders agreed that severe
hypoglycemia events are largely
avoidable by careful use of
antihyperglycemic medication and
blood glucose monitoring. The MAP
recommended continuously assessing
the low blood glucose threshold of
<40mg/dL for defining harm events to
assess unintended consequences. Other
recommendations from the MAP
included defining the numerator as the
total number of hypoglycemia events
per hospitalization instead of the
current numerator definition as a count
of hospitalizations with at least one
hypoglycemia event. The numerator
definition was discussed at length with
the measure TEP during development.
The TEP members agreed with the
current numerator definition of a count
of hospitalizations with at least one
hypoglycemic event because this
adequately captures differences in
quality among hospitals while
simultaneously minimizing measure
burden by not requiring hospitals to
extract every single hypoglycemic event
during a hospitalization. We agree with
the importance of continually
monitoring for unintended
consequences once this measure is
implemented. We recognize the
importance of measuring hyperglycemia
in conjunction with hypoglycemia and
are currently developing a severe
hyperglycemia eCQM. For additional
information and discussion of concerns
and considerations raised by the MAP
related to this measure, we refer readers
to the December 2018 NQF MAP
494 List of Measures Under Consideration for
December 1, 2018. Available at: https://
www.qualityforum.org/
ProjectMaterials.aspx?projectID=75369.
495 2018–2019 Spreadsheet of Final
Recommendations to HHS and CMS. Available at:
https://www.qualityforum.org/
ProjectMaterials.aspx?projectID=75369.
496 National Quality Forum, Measure
Applications Partnership, MAP 2019
Considerations for Implementing Measures in
Federal Programs: Hospitals. Available at: https://
www.qualityforum.org/Publications/2019/02/MAP_
2019_Considerations_for_Implementing_Measures_
Final_Report_-_Hospitals.aspx.
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Hospital Workgroup meeting
transcript.497 This measure was
submitted for endorsement by NQF’s
Patient Safety Standing Committee for
the Spring 2019 cycle, with a complete
review of measure validity and
reliability currently scheduled for June
2019.
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(3) Data Sources
The data source for this measure is
entirely EHR data. The measure is
designed to be calculated by the
hospitals’ EHRs as well as by CMS using
the patient level data submitted by
hospitals to CMS.
As with all quality measures we
develop, testing was performed to
establish the feasibility of the measure,
data elements, and validity of the
numerator, using clinical adjudicators
who validated the EHR data compared
with medical chart-abstracted data.
Testing was completed using output
from the MAT in multiple hospitals,
using multiple EHR systems, with the
measure shown to be both reliable and
valid.
(4) Measure Calculation
This measure assesses the rate at
which severe hypoglycemia events
caused by hospital administration of
medications occur in the acute care
hospital setting. It assesses the
proportion of patients who had an
antihyperglycemic medication given
within the 24 hours prior to the harm
event; and a laboratory test for glucose
with a result of low glucose (less than
40 mg/dL); and no subsequent
laboratory test for glucose with a result
greater than 80 mg/dL within 5 minutes
of the low glucose result. This measure
only counts one severe hypoglycemia
event per patient admission.
The measure denominator includes
all patients 18 years or older discharged
from an inpatient hospital encounter
during the measurement period, who
were administered at least one
antihyperglycemic medication during
their hospital stay. The measure
includes inpatient admissions for
patients initially seen in the emergency
department or in observation status and
subsequently became an inpatient.
There are no denominator exclusions for
this measure.
The numerator for this measure is the
number of hospitalized patients with a
blood glucose test result of less than 40
mg/dL (indicating severe hypoglycemia)
with no repeat glucose test result greater
497 Measure Applications Partnership, December
2018 NQF MAP Hospital Workgroup Meeting
Transcript. Available at: https://
www.qualityforum.org/
ProjectMaterials.aspx?projectID=75369.
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than 80 mg/dL within 5 minutes of the
low glucose test, and where an
antihyperglycemic medication was
administered within 24 hours prior to
the low glucose result. We counted
instances of low glucose of less than 40
mg/dL to identify only severe cases of
hypoglycemia. Not including severe
hypoglycemic events with a repeat test
over 80 mg/dL within 5 minutes is to
avoid counting false positives (mostly
from point-of-care tests that might have
returned an initial erroneous result).
There are no numerator exclusions for
this measure.
For more information on the Hospital
Harm—Severe Hypoglycemia eCQM, we
refer readers to the measure
specifications available on the CMS
Measure Methodology website, at:
https://www.cms.gov/medicare/qualityinitiatives-patient-assessmentinstruments/hospitalqualityinits/
measure-methodology.html.
(5) Outcome
The outcome of interest is to reduce
the rate of severe hypoglycemia events
caused by hospital administration of
medications that occur in the acute care
hospital setting.
In evaluating our measures, we
generally consider the following criteria
in determining whether risk adjustment
is warranted: (1) If many patients are at
risk of the harm regardless of their age,
clinical status, comorbidities, or reason
for admission; (2) if the majority of
incidents of the harm are linkable to
care provision under the control of
providers (for example, harms caused by
excessive or inappropriate medication
dosing); and (3) if there is evidence that
the risk of a harm can be largely
ameliorated by best care practices
regardless of a patient’s inherent risk
profile. For example, there may be
evidence that even complex patients
with multiple risk factors can avoid
harm events when providers closely
adhere to care guidelines.
In the case of the Hospital Harm—
Severe Hypoglycemia eCQM, there is
evidence indicating that most
hypoglycemic events of this severity
(<40 mg/dL) are avoidable.498 499 500 501
498 Cook, C.B., Kongable, G.L., Potter, D.J., Abad,
V.J., Leija, D.E., & Anderson, M. (2009). Inpatient
glucose control: A glycemic survey of 126 U.S.
hospitals. Journal of Hospital Medicine, 4(9), E7–
E14.
499 Moghissi, E.S., Korytkowski, M.T., DiNardo,
M., et al. (2009). American Association of Clinical
Endocrinologists and American Diabetes
Association Consensus Statement on Inpatient
Glycemic Control. Diabetes Care, 32(6):1119–1131.
500 Office of the Inspector General (OIG). (2010).
Adverse Events in Hospitals: National Incidence
Among Medicare Beneficiaries.
501 Wexler, D.J., Meigs, J.B., Cagliero, E., Nathan,
D.M., & Grant, R.W. (2007). Prevalence of hyper-
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Although specific patients may be
particularly vulnerable to hypoglycemia
in certain settings (for example, due to
organ failure and not related to
administration of diabetic agents), the
most common causes are lack of caloric
intake, overuse of anti-diabetic agents,
or both. As these causes are controllable
in hospital environments, and risk can
easily be reduced by following best
practices, we do not think risk
adjustment is warranted for this
measure. We will continue to evaluate
the appropriateness of risk adjustment
in measure reevaluation.
We are inviting public comment on
potential future inclusion of the
Hospital Harm—Severe Hypoglycemia
eCQM in the Hospital IQR Program,
including any potential unintended
consequences that might result from
future adoption of this measure, as well
as ways to address those potential
unintended consequences. We note that
we are also considering this measure for
potential future inclusion in the
Promoting Interoperability Program.
b. Hospital Harm—Pressure Injury
eCQM
(1) Background
Pressure injuries are a common
patient hospital harm and can be serious
health events. An estimated 1.19 million
hospital acquired pressure injuries
occurred in the year 2015.502 Pressure
injuries commonly can lead to local
infection, osteomyelitis, anemia, and
sepsis,503 in addition to causing
significant depression, pain, and
discomfort to patients.504 The presence
or development of a pressure injury can
increase the length of a patient’s
hospital stay by an average of four days,
which can increase the spending
ranging from $20,900 to $151,700 per
pressure injury.505 506
and hypoglycemia among inpatients with diabetes:
A national survey of 44 U.S. hospitals. Diabetes
Care, 30(2): 367–69.
502 Agency for Healthcare Research and Quality.
National Scorecard on Rates of Hospital-Acquired
Conditions 2010 to 2015: Interim Data From
National Efforts to Make Health Care Safer. (2016).
Available at: https://www.ahrq.gov/professionals/
quality-patient-safety/pfp/2015-interim.html?utm_
source=AHRQ&utm_medium=PSLS&utm_
term=&utm_content=14&utm_campaign=AHRQ_
NSOHAC_2016.
503 Brem, H., Maggi, J., Nierman, D., Rolnitzky, L.,
Bell, D., Rennert, R., Golinko, M., Yan, A., Lyder,
C., Vladeck, B. (2010). High cost of stage IV. The
American Journal of Surgery, 200: 473–477.
504 Gunningberg, L., Donaldson, N., Aydin, C. &
Idvall, E. (2012). Exploring variation in pressure
ulcer prevalence in Sweden and the USA:
benchmarking in action. Journal of Evaluation in
Clinical Practice, 18: 904–910.
505 Agency for Healthcare Research and Quality.
National Scorecard on Rates of Hospital-Acquired
Conditions 2010 to 2015: Interim Data From
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The rate of pressure injuries varies
across hospitals suggesting that there
may be opportunity for further
improvement. One study of 51,842
patients found that 4.5 percent of
patients developed at least one new
pressure injury during their
hospitalization, with a 3.2 percent
between-state variance.507 Another
study revealed pressure injury
prevalence rates in U.S. hospitals
participating in a registry was 2.0
percent for hospital-acquired pressure
injuries,508 while a third national study
found 1.8 percent of inpatients had at
least one pressure injury based on ICD–
9 codes.509 Pressure injury is considered
a serious reportable event by the
NQF,510 CMS established non-payment
for pressure injury,511 and it is an
indicator of the quality of nursing care
a hospital provides.512 It is wellaccepted that pressure injury can be
reduced through best practices 513 such
as frequent repositioning, proper skin
care, and specialized cushions or
beds.514 AHRQ published data that
National Efforts to Make Health Care Safer. (2016).
Available at: https://www.ahrq.gov/professionals/
quality-patient-safety/pfp/2015-interim.html?utm_
source=AHRQ&utm_medium=PSLS&utm_
term=&utm_content=14&utm_campaign=AHRQ_
NSOHAC_2016.
506 Bauer, K., Rock, K., Nazzai, M.J., & Qu, W.
(2016). Pressure Ulcers in the United States
Inpatient Population from 2008 to 2012: Results of
a Retrospective Nationwide Study. Ostomy Wound
Management, 62(11): 30–38.
507 Lyder, C.H., Wang, Y., Metersky, M., Curry,
M., Kliman, R., Verzier, N.R., Hunt, D.R. (2012).
Hospital-acquired pressure ulcers: results from the
national Medicare Patient Safety Monitoring System
study. Journal of American Geriatrics Society, 60(9):
1603–8.
508 Gunningberg, L., Donaldson, N., Aydin, C. &
Idvall, E. (2012). Exploring variation in pressure
ulcer prevalence in Sweden and the USA:
benchmarking in action. Journal of Evaluation in
Clinical Practice, 18: 904–910.
509 Bauer, K., Rock, K., Nazzai, M.J., & Qu, W.
(2016). Pressure Ulcers in the United States
Inpatient Population from 2008 to 2012: Results of
a Retrospective Nationwide Study. Ostomy Wound
Management, 62(11): 30–38.
510 National Quality Forum, List of SREs.
Available at: https://www.qualityforum.org/Topics/
SREs/List_of_SREs.aspx.
511 Centers for Medicare & Medicaid Services.
Hospital-Acquired Conditions. Available at: https://
www.cms.gov/Medicare/Medicare-Fee-for-ServicePayment/HospitalAcqCond/Hospital-Acquired_
Conditions.html.
512 National Quality Forum. (2004). National
Voluntary Consensus Standards for NursingSensitive Care: An Initial Performance Measure Set
2005. Available at: https://www.qualityforum.org/
Publications/2004/10/National_Voluntary_
Consensus_Standards_for_Nursing-Sensitive_Care_
_An_Initial_Performance_Measure_Set.aspx.
513 Agency for Healthcare Research and Quality.
(2012). Preventing Pressure Ulcers in Hospitals: A
Toolkit for Improving Quality of Care. Available at:
https://www.ahrq.gov/sites/default/files/
publications/files/putoolkit.pdf.
514 Gunningberg, L., Donaldson, N., Aydin, C. &
Idvall, E. (2012). Exploring variation in pressure
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showed 3.1 million fewer incidents of
hospital-acquired harm in 2011–2015
compared with 2010; 23 percent of this
reduction was from a reduction in
hospital-acquired pressure injuries.515
Research has also suggested a link
between a hospital’s processes of care
and the outcome of hospital-acquired
pressure injury.516 We therefore believe
that pressure injuries are an important
issue to address in the Hospital IQR
Program.
(2) Overview of Measure
The intent of the Hospital Harm—
Pressure Injury eCQM is to reduce
pressure injury prevalence by creating
transparency in the rate of these harms
which should encourage hospitals to
promote best practices such as frequent
monitoring of patients at high risk,
documenting skin assessments, frequent
repositioning, proper skin care, and use
of specialized cushions or beds. This
measure identifies pressure injuries
using direct extraction of structured
data from the EHR and will provide
hospitals with reliable and timely
measurement of their pressure injury
rates as well as creating transparency for
providers and patients about the
variation in rates of these events among
hospitals. Pressure injuries staged 3 and
staged 4 (or unstageable) are currently
measured and publicly reported in the
HAC Reduction Program as a
component of the CMS Patient Safety
and Adverse Events Composite (CMS
PSI 90) measure, but this potential
Hospital Harm—Pressure Injury
measure improves measurement of
pressure injuries by using EHR data
rather than administrative claims.
The Hospital Harm—Pressure Injury
eCQM was included in the publicly
available document entitled ‘‘List of
Measures Under Consideration for
December 1, 2018.’’ 517 This measure
was reviewed by the NQF MAP Hospital
Workgroup in December 2018 and
received conditional support pending
NQF review and endorsement once the
ulcer prevalence in Sweden and the USA:
benchmarking in action. Journal of Evaluation in
Clinical Practice, 18: 904–910.
515 Agency for Healthcare Research and Quality.
(2016). National Scorecard on Rates of HospitalAcquired Conditions 2010–2015: Interim Data From
Nation Efforts to Make Health Care Safer. Available
at: https://www.ahrq.gov/professionals/qualitypatient-safety/pfp/2015-interim.html.
516 Gunningberg, L., Donaldson, N., Aydin, C. &
Idvall, E. (2012). Exploring variation in pressure
ulcer prevalence in Sweden and the USA:
benchmarking in action. Journal of Evaluation in
Clinical Practice, 18: 904–910.
517 List of Measures Under Consideration for
December 1, 2018. Available at: https://
www.qualityforum.org/Project
Materials.aspx?projectID=75369.
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measure is fully tested.518 The MAP
expressed their broad support for the
measure and agreed this measure can
reduce patient harm due to pressure
injury. Recommendations from the MAP
included, excluding patients undergoing
certain types of treatment that may not
be appropriate to receive evidencebased pressure injury reducing
interventions, such as patients at the
end of life, as well as considering
clinical data such as albumin if the
measure were to be risk adjusted in the
future. The MAP also recommended
that the developer consider how
multiple pressure injuries are identified
and assessed in the same encounter.
Based on the evidence gathered during
testing and expert input, the measure is
currently not risk adjusted and it does
not exclude patients with certain
conditions from the denominator as
evidence shows that most newly
acquired pressure injuries can be
mitigated through best care and the
most common causes of pressure
injuries (limited mobility during acute
illness, friction against skin) put all
hospitalized patients at similar
risk.519 520 This measure only includes
one event per hospitalization, which
was supported by the TEP during
measure development, to provide a
quality signal without imposing undue
burden on hospitals to have to
enumerate every instance of a pressure
injury. However, this measure was
submitted for endorsement by NQF’s
Patient Safety Standing Committee for
the Spring 2019 cycle, and these aspects
of the measure specifications will be
considered during NQF scientific
review currently scheduled for June
2019. For additional information and
discussion of concerns and
considerations raised by the MAP
related to the measure, we refer readers
to the December 2018 NQF MAP
Hospital Workgroup meeting
transcript.521
518 2018–2019 Spreadsheet of Final
Recommendations to HHS and CMS. Available at:
https://www.qualityforum.org/ProjectMaterials.
aspx?projectID=75369.
519 Gunningberg, L., Donaldson, N., Aydin, C.,
Idvall, E. (2011). Exploring variation in pressure
ulcer prevalence in Sweden and the USA:
Benchmarking in action. 18. 10.1111/j.1365–
2753.2011.01702.x. Journal of evaluation in clinical
practice., 904–910.
520 Berlowitz, D., VanDeusen Lukas, C., Parker,
V., Niederhauser, A., Silver, J., Logan, C., Ayello,
E., Zulkowski, K. (2012). Preventing Pressure Ulcers
in Hospitals—A Toolkit for Improving Quality of
Care.
521 Measure Application Partnership, 2018 NQF
MAP Hospital Workgroup Meeting Transcript.
Available at: https://www.qualityforum.org/Project
Materials.aspx?projectID=75369.
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(3) Data Sources
The data source for this measure is
entirely EHR data. The measure is
designed to be calculated by the
hospitals’ EHRs, as well as by CMS
using the patient level data submitted
by hospitals to CMS.
As with all quality measures we
develop, testing was performed to
confirm the feasibility of the measure,
data elements, and validity of the
numerator, using clinical adjudicators
who validated the EHR data by
comparison to medical chart abstracted
data. Testing was completed using
output from the MAT in multiple
hospitals, using multiple EHR systems,
and the measure was shown to be both
reliable and valid. In addition, testing
showed data element feasibility is
higher at hospitals with a designated
‘‘pressure injury’’ field in the EHR, as
opposed to a generic ‘‘wound’’ field.
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(4) Measure Calculation
This measure assesses the rate at
which new hospital-acquired pressure
injuries occur during an acute care
hospitalization. It assesses the
proportion of encounters with a newly
developed stage 2, stage 3, stage 4, deep
tissue pressure injury, or unstageable
pressure injury during hospitalization.
The measure denominator includes
all patients 18 years or older discharged
from an inpatient hospital encounter
during the measurement period. The
measure includes inpatient admissions
for patients initially seen in the
emergency department or in observation
status. There are no exclusions for this
measure.
The numerator for this electronic
outcome measure is defined as the
number of admissions where a patient
has a newly-developed pressure injury
stage 2, stage 3, stage 4, deep tissue
pressure injury, or unstageable pressure
injury that was not documented as
present in the first 24 hours of hospital
arrival. Measure developers and
guideline organizations recommend
skin assessment within 24 hours of
hospital arrival.522 523 524 525 This
522 National Pressure Ulcer Advisory Panel.
(2016). NPAUAP Pressure Injury Stages. Available
at: https://www.npuap.org/resources/educationaland-clinical-resources/npuap-pressure-injurystages/.
523 Agency for Healthcare Research and Quality.
(2012). Preventing Pressure Ulcers in Hospitals: A
Toolkit for Improving Quality of Care. Available at:
https://www.ahrq.gov/sites/default/files/
publications/files/putoolkit.pdf.
524 Catania, K. et al. (2007). PUPPI: The Pressure
Ulcer Prevention Protocol Interventions. American
Journal of Nursing, 107(4): 44–52.
525 National Quality Forum. (2004). National
Voluntary Consensus Standards for NursingSensitive Care: An Initial Performance Measure Set
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measure assumes that any pressure
injury not documented within 24 hours
of arrival is hospital-acquired. For more
information on the Hospital Harm—
Pressure Injury eCQM, we refer readers
to the measure specifications available
on the CMS Measure Methodology
website, at: https://www.cms.gov/
medicare/quality-initiatives-patientassessment-instruments/
hospitalqualityinits/measuremethodology.html.
(5) Outcome
The outcome of interest is to reduce
the rate at which new hospital-acquired
pressure injuries occur during an acute
care hospitalization.
In evaluating our measures, we
generally consider the following criteria
in determining whether risk adjustment
is warranted: (1) If many patients are at
risk of the harm regardless of their age,
clinical status, comorbidities, or reason
for admission; (2) if the majority of
incidents of the harm are linkable to
care provision under the control of
providers (for example, harms caused by
inappropriate skin care or lack of
frequent repositioning); and (3) if there
is evidence that the risk of a harm can
be largely ameliorated by best care
practices regardless of a patient’s
inherent risk profile. For example, there
may be evidence that even complex
patients with multiple risk factors can
avoid harm events when providers
closely adhere to care guidelines.
In the case of the Hospital HarmPressure Injury eCQM, there is evidence
indicating that most newly acquired
pressure injuries are avoidable with best
practice.526 527 Although specific
patients may be particularly vulnerable
to pressure injuries in certain settings
(for example, permanent or prolonged
immobility), the most common causes
are limited mobility during an acute
illness and friction or shear against
sensitive skin. Many hospitalized
patients are at risk of these injuries.
There are many actions hospitals can
take to reduce patient harm risk, such as
conducting a structured risk assessment
to identify individuals at risk for
2005. Available at: https://www.qualityforum.org/
Publications/2004/10/National_Voluntary_
Consensus_Standards_for_Nursing-Sensitive_Care_
_An_Initial_Performance_Measure_Set.aspx.
526 Gunningberg, L., Donaldson, N., Aydin, C.,
Idvall, E. (2011). Exploring variation in pressure
ulcer prevalence in Sweden and the USA:
Benchmarking in action. 18. 10.1111/j.1365–
2753.2011.01702.x. Journal of evaluation in clinical
practice., 904–910.
527 Berlowitz, D., VanDeusen Lukas, C., Parker,
V., Niederhauser, A., Silver, J., Logan, C., Ayello,
E., Zulkowski, K. (2012). Preventing Pressure Ulcers
in Hospitals—A Toolkit for Improving Quality of
Care.
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19491
pressure injury as soon as possible upon
arrival and repeating at regular
intervals, as well as proper skin care,
nutrition, and careful repositioning of
patients. As many of the causes can be
mitigated through best care in hospital
environments, we do not think risk
adjustment is warranted for this
measure. We will continue to evaluate
the appropriateness of risk adjustment
in measure reevaluation.
We are inviting public comment on
potential future inclusion of the
Hospital Harm—Pressure Injury eCQM
in the Hospital IQR Program. We are
specifically seeking public comment on
any unintended consequences that
might result from future adoption of this
measure, as well as ways to address
those potential unintended
consequences. We note that we are also
considering this measure for potential
future inclusion in the Promoting
Interoperability Program.
c. Cesarean Birth (PC–02) eCQM (NQF
#0471e)
(1) Background
A Cesarean section (C-section) is the
use of surgery to deliver a baby (or
babies) in lieu of vaginal delivery. The
procedure therefore entails surgical and
anesthesia risks and requires mothers to
undergo several days of inpatient,
postoperative recovery. A C-section may
occur on an emergency basis or elective
basis.528 Elective C-sections may be
necessary due to preexisting medical
conditions, such as high blood pressure
(preeclampsia), other medical
indications, or may be preferred for nonmedical reasons. Non-medical reasons
for elective C-section can relate to
maternal preference, local practice
patterns, fear of malpractice litigation,
reimbursement anomalies, or other
factors.529 530 531
The total rate of (emergency and
elective) C-sections has risen since the
1990s in the United States.532 C-sections
528 National Quality Forum, Quality Measure PC–
02 (Cesarean Birth). Available at: https://
www.qualityforum.org/QPS/MeasureDetails.aspx?
standardID=291&print=1&entityTypeID=1.
529 Caughey AB, Cahill AG, Guise JM, Rouse DJ.
Safe prevention of the primary cesarean delivery.
Am J Obstet Gynecol. 2014 Mar;210(3):179–93. doi:
10.1016/j.ajog.2014.01.026.
530 Schifrin BS, Cohen WR. The effect of
malpractice claims on the use of caesarean section.
Best Pract Res Clin Obstet Gynaecol. 2013
Apr;27(2):269–83. doi: 10.1016/
j.bpobgyn.2012.10.004. Epub 2012 Dec 1. Review.
531 Chen CS, Liu TC, Chen B, Lin CL. The failure
of financial incentive? The seemingly inexorable
rise of cesarean section. Soc Sci Med. 2014
Jan;101:47–51. doi: 10.1016/
j.socscimed.2013.11.010. Epub 2013 Nov 15.
532 Osterman, M.J.K., Martin, J.A. (2014). Trends
in Low-risk Cesarean Delivery in the United States,
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accounted for about one-third of U.S.
deliveries in 2016,533 and there is a
considerable amount of variation in the
rates based on U.S. region, State, and
healthcare institution.534 U.S. practice
guidelines have not indicated an
optimal rate of C-section or an
appropriate variance rate, but
international studies suggest a
preference for a lower range than
current U.S. rates.535 536 537 When
medically justified, a C-section can
effectively prevent maternal and
perinatal mortality and morbidities.
However, clinicians and consensus
groups agree that increased C-section
rates have not improved overall
maternal-fetal outcomes and that Csections are overused.538 539 Below, we
include literature outlining maternal
and neonatal C-section outcomes.
For maternal outcomes, C-sections
have significantly higher prenatal and
postpartum morbidity and mortality (9.2
percent) than vaginal births (8.6
percent).540 Existing literature largely
does not distinguish whether inferior
outcomes derive from cause (higher risk
patients undergo C-section) or effect
(surgery carries inherent risks due to
anesthesia, bleeding, infection,
postoperative recovery, etc.). However,
taking an aggregate view of multiple
studies over time, it appears that C1990–2013. National Vital Statistics Reports, 63(6):
1–16.
533 Martin, J.A., Hamilton, B.E., Osterman, M.J.K.,
Driscoll, A.K., Drake, P. (2018). Births: Final Data
for 2016. National Vital Statistics Reports, 67(1): 1–
55.
534 Kozhimannil, K.B., Law, M.R. & Virnig, B.A.
(2013). Cesarean delivery rates vary tenfold among
US hospitals; reducing variation may address
quality and cost issues. Health Affairs, 32(3): 527–
35.
535 National Collaborating Centre for Women’s
and Children’s Health. (2011). Caesarean Section:
NICE Clinical Guideline (commissioned by the
United Kingdom National Institute for Health and
Clinical Excellence).
536 American College of Obstetricians and
Gynecologists, Society for Maternal-Fetal Medicine.
(2014). Safe prevention of the primary cesarean
delivery. American Journal of Obstetrics and
Gynecology, 210(3): 179–93.
537 Keag, O.E., Norman, J.E. & Stock, S.J. (2018).
Long-term risks and benefits associated with
cesarean delivery for mother, baby, and subsequent
pregnancies: Systematic review and meta-analysis.
Plos Med, 15(1): e1002494.
538 American College of Obstetricians and
Gynecologists, Society for Maternal-Fetal Medicine.
(2014). Safe prevention of the primary cesarean
delivery. American Journal of Obstetrics and
Gynecology, 210(3): 179–93.
539 National Collaborating Centre for Women’s
and Children’s Health. (2011). Caesarean Section:
NICE Clinical Guideline (commissioned by the
United Kingdom National Institute for Health and
Clinical Excellence).
540 American College of Obstetricians and
Gynecologists, Society for Maternal-Fetal Medicine.
(2014). Safe prevention of the primary cesarean
delivery. American Journal of Obstetrics and
Gynecology, 210(3): 179–93.
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sections carry a higher risk of
subsequent miscarriage, placental
abnormalities, and repeat C-section.541
Conversely, urinary incontinence and
pelvic organ prolapse occur less
frequently after C-section than after
vaginal delivery.542
In terms of neonatal outcomes, Csections have higher respiratory
morbidity (1 to 4 percent) than vaginal
births (<1 percent).543 Children
delivered by C-section also have a
higher risk of asthma and obesity.544
However, C-sections have better
outcomes for shoulder dystocia (0
percent versus 1–2 percent).545 Again,
cause (high risk fetuses more likely to be
delivered by C-section) versus effect
(surgery increases risk to the fetus)
remains epidemiologically obscure. The
medical indications for C-section
necessarily entail broad obstetrician
discretion because of the need to: (1)
Balance any conflicting medical
conditions of mother versus fetus; and
(2) balance C-section against any other
competing clinical considerations or
external constraints (for example,
availability of operating room,
personnel, and/or blood).
Furthermore, C-sections receive
higher reimbursement than vaginal
deliveries (typically about 50 percent
more). Patient cost sharing may differ,
depending upon insurance coverage.
Insurance experiments suggest that
higher cost sharing causes patients to
consume less health care,546 but that
patients distinguish poorly between
necessary and unnecessary services. The
pervasive use of cesarean births carries
economic impacts because C-sections
are more expensive than vaginal
deliveries and may be accompanied by
541 Keag, O.E., Norman, J.E. & Stock, S.J. (2018).
Long-term risks and benefits associated with
cesarean delivery for mother, baby, and subsequent
pregnancies: Systematic review and meta-analysis.
Plos Med, 15(1): e1002494.
542 Keag, O.E., Norman, J.E. & Stock, S.J. (2018).
Long-term risks and benefits associated with
cesarean delivery for mother, baby, and subsequent
pregnancies: Systematic review and meta-analysis.
Plos Med, 15(1): e1002494.
543 American College of Obstetricians and
Gynecologists, Society for Maternal-Fetal Medicine.
(2014). Safe prevention of the primary cesarean
delivery. American Journal of Obstetrics and
Gynecology, 210(3): 179–93.
544 Keag, O.E., Norman, J.E. & Stock, S.J. (2018).
Long-term risks and benefits associated with
cesarean delivery for mother, baby, and subsequent
pregnancies: Systematic review and meta-analysis.
Plos Med, 15(1): e1002494.
545 American College of Obstetricians and
Gynecologists, Society for Maternal-Fetal Medicine.
(2014). Safe prevention of the primary cesarean
delivery. American Journal of Obstetrics and
Gynecology, 210(3): 179–93.
546 Aron-Dine, A., Einav, L. & Finkelstein, A.
(2013). The RAND Health Insurance Experiment,
Three Decades Later. The Journal of Economic
Perspectives, 27(1): 197–222.
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adverse outcomes and complications
which similarly have substantial cost
implications.547
For these reasons, we are considering
including the electronic version of PC–
02 (NQF #0471e) in the eCQM measure
set to enable hospitals to track Csections and reduce unnecessary
instances of C-sections.
(2) Overview of Measure
The Joint Commission is the steward
of the PC–02 measure, which assesses
the rate of nulliparous women with a
normal-term, singleton fetus in the
vertex position (NTSV) undergoing Csection.548 Nulliparous women are those
who have never given birth. They have
a lower risk during vaginal birth than do
women who have undergone a previous
C-section.549 550 Full-term births have
better outcomes than preterm births.
Vertex presentations carry less risk than
breach or transverse presentations.551
However, this population still includes
some patients with medical indications
for elective C-section (for example,
dystocia, chorioamnionitis, pelvic
deformity, preeclampsia, fetal distress,
prolapsed cord, placenta previa,
abnormal lie, uterine rupture,
macrosomia).552 While the chartabstracted and eCQM versions of PC–02
do not exclude those medical
indications, extensive testing of the
chart-abstracted version of the measure
has shown that excluding them does not
significantly increase a hospital’s
adjusted C-section rate, partially
because the majority of these
indications are rare in the NTSV
population.553
547 Kozhimannil, K.B., Law, M.R. & Virnig, B.A.
(2013). Cesarean delivery rates vary tenfold among
US hospitals; reducing variation may address
quality and cost issues. Health Affairs, 32(3): 527–
35.
548 National Quality Forum, Quality Measure PC–
02 (Cesarean Birth). Available at: https://
www.qualityforum.org/QPS/MeasureDetails.aspx?
standardID=291&print=1&entityTypeID=1.
549 American College of Obstetricians and
Gynecologists, Society for Maternal-Fetal Medicine.
(2014). Safe prevention of the primary cesarean
delivery. American Journal of Obstetrics and
Gynecology, 210(3): 179–93.
550 National Quality Forum, Perinatal and
Reproductive Health 2015–2016 Final Report.
Available at: https://www.qualityforum.org/
Publications/2016/12/Perinatal_and_Reproductive_
Health_2015-2016_Final_Report.aspx.
551 American College of Obstetricians and
Gynecologists, Society for Maternal-Fetal Medicine.
(2014). Safe prevention of the primary cesarean
delivery. American Journal of Obstetrics and
Gynecology, 210(3): 179–93.
552 Mylonas, I. & Friese, K. (2015). Indications for
and Risks of Elective Cesarean Section. Deutsches
Arzteblatt International, 112(29–30): 489–95.
553 Centers for Medicare & Medicaid Services.
(2015). Cesarean Birth (PC–02) Measure Public
Comment Summary. Available at: https://
www.cms.gov/Medicare/Quality-Initiatives-Patient-
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Determining the NTSV C-section rate
permits a hospital to compare its
outcomes to other hospitals while
focusing only on a lower-risk
population. NQF has endorsed the
chart-based form of this measure as a
voluntary consensus standard since
2008.554 NQF stated that decreasing the
rate of unnecessary C-sections ‘‘will
result in increased patient safety, a
substantial decrease in maternal and
neonatal morbidity and substantial
savings in health care costs.’’ 555
Reducing the number of NSTV
deliveries by C-section would also
reduce the rate of repeat cesarean
births.556 We acknowledge that there are
instances where C-sections are
medically indicated, and we emphasize
that this measure is not intended to
discourage practitioners from
performing C-sections when they are
medically indicated. We believe that
assessing the rate of NTSV C-sections
may ultimately reduce the occurrence of
non-medically indicated C-sections. We
have encouraged hospitals whose
measure rates are higher than rates at
other hospitals to explore and evaluate
differences in the medical and nursing
management of women in labor.557
Further, including this measure could
help ensure that the Hospital IQR
Program includes measures which are
applicable to rural hospitals. The Rural
Health Workgroup of the NQF’s
Measure Applications Partnership also
identified the chart-abstracted version of
PC–02 as a measure that holds
particular relevance for rural hospitals,
noting how important it is to focus on
best practices in obstetric care in rural
areas.558
Assessment-Instruments/MMS/Downloads/PC-02Public-Comment-Summary-Memo.pdf. The PC–02
eCQM cannot capture all possible medical
indications. Thus, PC–02 does not equate to elective
C-section for non-medical reasons.
554 National Quality Forum, Quality Measure PC–
02 (Cesarean Birth). Available at: https://
www.qualityforum.org/QPS/MeasureDetails.aspx?
standardID=291&print=1&entityTypeID=1.
555 National Quality Forum (NQF), Perinatal and
Reproductive Health Project. NQF #0471 PC–02
Cesarean Section: Measure Submission and
Evaluation Worksheet 5.0. October 24, 2008.
Available at: https://www.qualityforum.org/
WorkArea/linkit.aspx?LinkIdentifier=
id&ItemID=69252.
556 Curtin, S.C., Gregory, K.D., Korst, L.M., &
Uddin, S.F. (2015). Maternal Morbidity for Vaginal
and Cesarean Deliveries, According to Previous
Cesarean History: New Data From the Birth
Certificate, 2013. National Vital Statistics Reports,
64(4): 1–13.
557 Centers for Medicare & Medicaid Services.
(2015). Cesarean Birth (PC–02) Measure Public
Comment Summary. Available at: https://
www.cms.gov/Medicare/Quality-Initiatives-PatientAssessment-Instruments/MMS/Downloads/PC-02Public-Comment-Summary-Memo.pdf.
558 National Quality Forum, Measure
Applications Partnership. (2018). A Core Set of
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The PC–02 eCQM was included in a
publicly available document entitled
‘‘List of Measures Under Consideration
for December 1, 2018.’’ 559 The MAP
Coordinating Committee voted to
conditionally support the PC–02 eCQM,
citing the failure of the eCQM version of
the measure to attain endorsement by
the NQF as an area of concern.560 The
Coordinating Committee encouraged
The Joint Commission to resubmit the
eCQM version of PC–02 to the NQF for
endorsement with additional clarifying
data that has been collected since the
previous attempt to attain endorsement.
The MAP’s Final Report of February 15,
2019, conditionally supports the PC–02
eCQM for rulemaking pending NQF
evaluation and endorsement.561 The
MAP suggested feasibility testing,
consultation with multiple stakeholders,
and examination of unintended
consequences.
(3) Data Sources
Hospitals would provide data for this
measure from their EHRs. Incorporating
this eCQM would align with our goal to
encourage greater use of EHR data for
quality measurement.
(4) Measure Calculation
This measure assesses the rate of
nulliparous women with a term,
singleton baby in a vertex position
delivered by cesarean birth. As the
measure steward for both the chartabstracted version of PC–02 (NQF
#0471) and the eCQM version (NQF
#0471e), The Joint Commission
publishes a detailed methodology for its
calculation.562
The measure’s denominator consists
of the number of nulliparous women
with a singleton, vertex fetus at ≥37
weeks of gestation who deliver a
Rural-Relevant Measures and Measuring and
Improving Access to Care: 2018 Recommendations
from the MAP Rural Health Workgroup. Available
at: https://www.qualityforum.org/Publications/2018/
08/MAP_Rural_Health_Final_Report_-_2018.aspx.
559 List of Measures Under Consideration for
December 1, 2018. Available at: https://
www.qualityforum.org/ProjectMaterials.aspx?
projectID=75369.
560 Measure Applications Partnership, December
2018 NQF MAP Hospital Workgroup Meeting
Transcript. Available at: https://
www.qualityforum.org/ProjectMaterials.aspx?
projectID=75369.
561 National Quality Forum, Measure
Applications Partnership, MAP 2019
Considerations for Implementing Measures in
Federal Programs: Hospitals. Available at: https://
www.qualityforum.org/Publications/2019/02/MAP_
2019_Considerations_for_Implementing_Measures_
Final_Report_-_Hospitals.aspx.
562 See, for example, The Joint Commission.
Specifications Manual for Joint Commission
National Quality Measures, Measure Information
Form PC–02. Available at: https://manual.joint
commission.org/releases/TJC2018A1/MIF0167
.html.
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19493
liveborn infant. Its numerator consists of
the subset delivering by C-section. The
numerator includes women delivering
by planned C-section due to obstetric
indications and for other reasons.563
This measure excludes patients with
abnormal presentations or single
stillbirth during the encounter, or
patients with multiple gestations
recorded less than or equal to 42 weeks
prior to the end of the encounter.
The cohort consists of all patients in
the denominator: Nulliparous women
with a singleton, vertex fetus at ≥37
weeks of gestation who deliver a
liveborn infant. The cohort includes all
pertinent patients regardless of payer
(for example, Medicare, Medicaid, other
public programs, private insurance, selfpay, charity care) or admission source
(for example, home, emergency
department, nursing home, hospice,
another hospital, law enforcement).564
The cohort for a region, hospital, and
practitioner may differ from the national
rate because of higher medical
indications for C-section.
(5) Outcome
The outcome of interest is the number
of C-sections to nulliparous women
with a term, singleton baby in a vertex
position divided by all deliveries to
nulliparous women with a term,
singleton baby in a vertex position.565
This measure is not risk adjusted. The
Joint Commission decided to exclude
risk-adjustment from this measure based
on careful consideration of a Technical
Advisory Panel’s recommendations and
data that indicated the results adjusted
by age were sensitive to low sample
sizes and applying age as a risk factor
only marginally impacted the
outcome.566 The Joint Commission
removed all risk adjustments from this
measure, effective with discharges
beginning July 1, 2016.567
563 List of Measures Under Consideration for
December 1, 2018. Available at: https://
www.qualityforum.org/ProjectMaterials.aspx?
projectID=75369.
564 Ibid.
565 The Joint Commission, Specifications Manual
for Joint Commission National Quality Measures,
Measure Information Form PC–02. Available at:
https://manual.jointcommission.org/releases/
TJC2018A1/MIF0167.html.
566 National Quality Forum, (2016) Perinatal and
Reproductive Health 2015–2016 Final Report.
Available at: https://www.qualityforum.org/
Publications/2016/12/Perinatal_and_Reproductive_
Health_2015-2016_Final_Report.aspx.
567 National Quality Forum, Perinatal and
Reproductive Health 2015–2016 Final Report.
Available at: https://www.qualityforum.org/
Publications/2016/12/Perinatal_and_Reproductive_
Health_2015-2016_Final_Report.aspx.
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We are inviting public comment on
potential future inclusion of the
Cesarean Birth (PC–02) eCQM (NQF
#0471e) in the Hospital IQR Program.
We are specifically seeking public
comment on any unintended
consequences that might result from
future adoption of this measure, as well
as ways to address those potential
unintended consequences. We note that
we are also considering this measure for
potential future inclusion in the
Promoting Interoperability Program.
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9. Accounting for Social Risk Factors:
Update on Confidential Reporting of
Stratified Data for Hospital Quality
Measures
a. Background
We first sought public comment on
potentially publicly reporting Hospital
IQR Program measure data stratified by
social risk factors in the FY 2017 IPPS/
LTCH PPS proposed rule (81 FR 57167
through 57168). In the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38404), we
explained that due to the complexity of
interpreting stratified measure data, we
would first consider confidentially
reporting such data prior to any future
public display on the Hospital Compare
website. We also noted that providing
confidential hospital-specific reports
(HSRs) would enable us to obtain
hospital feedback on reporting options
and ensure the information is valid,
reliable, and understandable prior to
any future public display (82 FR 38404).
In the FY 2018 IPPS/LTCH PPS
rulemaking (82 FR 20070 through
20074; 38403 through 38409), we
presented and responded to comments
on whether to provide hospitals with
confidential results of the Hospital 30Day, All-Cause, Risk-Standardized
Readmission Rate (RSRR) Following
Pneumonia Hospitalization (NQF
#0506) (Pneumonia Readmission
measure) and the Hospital 30-Day, AllCause, Risk-Standardized Mortality Rate
Following Pneumonia Hospitalization
(NQF #0468) (Pneumonia Mortality
measure) stratified by patient dual
eligible status as early as summer of
2018, and described two potential
methodologies designed to illuminate
potential disparities by calculating
outcome measure results stratified by
patient dual eligible status (a withinhospital method and an across-hospital
method).568 We selected the two
568 The Within-Hospital Disparity Method (also
referred to as the Dual Eligible Disparity Method for
Within-Hospital Comparison) highlights differences
in outcomes for dual eligible versus non-dual
eligible patients within an individual hospital,
while the Dual Eligible Outcome Method (also
referred to as the Dual Eligible Outcome Method for
Across Hospital Comparison) allows for a
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pneumonia measures as the first
measures to potentially stratify because
pneumonia is a condition that is
common in the elderly population and
because the results of both measures are
publicly reported for a large cohort of
hospitals (83 FR 41598).569 We also
explained that the additional
information provided by the two
disparity methods supplements the
overall readmission and mortality
measure rates publicly reported on the
Hospital Compare website by
highlighting disparities based on patient
dual eligible status (82 FR 38405).
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41598), we explained that as
a first step, in the interest of simplicity
and minimizing confusion for hospitals,
we planned to provide hospitals with
confidential HSRs containing stratified
results of the Pneumonia Readmission
measure only, using both disparity
methods, during a month-long
confidential reporting period in late
summer of 2018. We also noted that for
the future, we were considering: (1)
Expanding our efforts to provide
stratified data in confidential HSRs for
other measures; (2) including other
social risk factors beyond dual eligible
status in confidential HSRs; and (3)
eventually, making stratified data
publicly available on the Hospital
Compare website (83 FR 41598).
Confidential HSRs containing the
results of Pneumonia Readmission
measure data using the two disparity
methods (disparity results) were made
available for hospitals and their QIN–
QIOs to download through the
QualityNet Secure Portal from August
24 to September 24, 2018. The
confidential HSRs also contained
additional information to enable a more
meaningful comparison and
comprehensive assessment of the
quality of care for dual eligible patients,
including a hospital’s overall
Pneumonia Readmission measure rate
and State and national results for each
disparity method. To ensure hospitals
and stakeholders would have sufficient
information to understand and interpret
their disparity results during the
confidential reporting period,
background materials and educational
resources were posted on the QualityNet
website, including detailed instructions
comparison of performance in care for dual eligible
patients across hospitals.
569 Assessing Hospital Disparities for Dual
Eligible Patients: Thirty-Day All-Cause Unplanned
Readmission Following Pneumonia Hospitalization,
Measure Methodology Report for 2018 Confidential
Reporting. Available at: https://www.qualitynet.org/
dcs/ContentServer?cid=%201228776709103&pa
gename=QnetPublic%2FPage%2FQnetTier3&
c=Page.
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for interpreting a hospital’s HSR and a
technical report describing the two
disparity methods in detail.570 We also
hosted a National Provider Call and
established a monitored email inbox to
receive and address questions and
comments from hospitals and other
stakeholders during the confidential
reporting period.571
b. Additional Confidential Reporting of
Measures Stratified Using Two Disparity
Methods
As noted above, we have been
considering, among other things,
expanding our efforts to provide
stratified data using the two disparity
methods in confidential HSRs for
additional measures. Although our
preliminary efforts have focused on the
Pneumonia Readmission measure, the
two disparity methods previously used
can be applied to other outcome
measures. We believe that it is
important to expand our efforts to
provide disparity results for additional
outcome measures because we believe
that providing the results of both
disparity methods alongside a hospital’s
measure data, as a point of reference,
allows for a more meaningful
comparison. As mentioned, the
disparity results could supplement the
overall measure data already publicly
reported on the Hospital Compare
website by providing additional
information regarding disparities
measured within individual hospitals
and across hospitals nationally. The
disparity results thus enable a more
comprehensive assessment of quality of
care for patients with social risk factors
and identifies where disparities in
health care may exist. This approach
also furthers Recommendation 2 of
NQF’s Disparities Project final report to
use and prioritize stratified health
equity outcome measures, wherein the
two disparity methods were highlighted
as exemplary of health equity
performance measure alignment such
that data collection burden is
minimized, measure impact is
maximized, and peer group
comparisons are enabled.572 We believe
570 These materials, as well as other confidential
reporting resources such as Frequently Asked
Questions (FAQs), Disparity Methods HSR User
Guide, and National Provider Call materials, are
available on the confidential reporting pages of the
QualityNet website, available at: https://
www.qualitynet.org/dcs/ContentServer?c=Page&
pagename=QnetPublic%2FPage%2FQnetTier3&
cid=1228776708906.
571 Available at: https://www.qualitynet.org/dcs/
ContentServer?c=Page&pagename=QnetPublic%2
FPage%2FQnetTier3&cid=1228776708906.
572 National Quality Forum. (2017). A Roadmap
for Promoting Health Equity and Eliminating
Disparities: The Four I’s for Health Equity.
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hospitals can use their results from the
disparity methods to identify and
develop strategies to reduce disparities
in the quality of care for patients with
social risk factors, including targeted
improvement efforts to improve health
outcomes for all of their patients, those
with and without social risk factors (83
FR 41598). As discussed in the FY 2019
IPPS/LTCH PPS final rule (83 FR
41599), the two disparity methods do
not place any additional collection or
reporting burden on hospitals because
dual eligible data are readily available
in claims data. For additional
information on the two disparity
methods, we refer readers to the
technical report describing the methods
in detail,573 as well as the FY 2018
IPPS/LTCH PPS final rule (82 FR 38405
through 38407).
In the spring of 2019, we will
continue to provide confidential
reporting of disparity results for the
Pneumonia Readmission measure in the
confidential HSRs for claims-based
measures that are made available for
hospitals to download through the
QualityNet Secure Portal as was done in
2018. We are also planning to expand
our efforts to apply the two disparity
methods to additional outcome
measures for confidential reporting in a
phased manner. As a next step, in the
spring of 2020, we plan to add to the
confidential HSRs for claims-based
measures the confidential reporting of
disparity results for five additional
claims-based condition- and procedurespecific readmission measures as
follows: (1) Hospital 30-Day, All-Cause,
Risk-Standardized Readmission Rate
(RSRR) Following Acute Myocardial
Infarction (AMI) Hospitalization (NQF
#0505) (AMI Readmission measure); (2)
Hospital 30-Day, All-Cause, RiskStandardized Readmission Rate (RSRR)
Following Coronary Artery Bypass Graft
(CABG) Surgery (NQF #2515) (CABG
Readmission measure); (3) Hospital 30Day, All-Cause, Risk-Standardized
Readmission Rate (RSRR) Following
Chronic Obstructive Pulmonary Disease
(COPD) Hospitalization (NQF #1891)
(COPD Readmission measure); (4)
Hospital 30-Day, All-Cause, RiskStandardized Readmission Rate (RSRR)
Available at: https://www.qualityforum.org/
Publications/2017/09/A_
Roadmap_for_Promoting_Health_Equity_and_
Eliminating_Disparities__The_Four_I_s_for_Health_
Equity.aspx.
573 Assessing Hospital Disparities for Dual
Eligible Patients: Thirty-Day All-Cause Unplanned
Readmission Following Pneumonia Hospitalization,
Measure Methodology Report for 2018 Confidential
Reporting. Available at: https://www.qualitynet.org/
dcs/ContentServer?cid=%201228776709103
&pagename=QnetPublic%2FPage%2FQnetTier3&c
=Page.
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Following Heart Failure (HF)
Hospitalization (NQF #0330) (HF
Readmission measure); and (5) HospitalLevel 30-Day, All-Cause, RiskStandardized Readmission Rate (RSRR)
Following Elective Primary Total Hip
Arthroplasty (THA) and/or Total Knee
Arthroplasty (TKA) (NQF #1551) (THA/
TKA Readmission measure). To simplify
and minimize the number of
confidential HSRs that hospitals receive,
going forward we plan to include
hospitals’ disparity results in the regular
annual confidential HSRs for claimsbased measure results that are made
available for hospitals to download
through the QualityNet Secure Portal
each spring, as opposed to a separate
confidential HSR for only the
confidential reporting of disparity
results as was done for the first
confidential reporting of disparity
results for the Pneumonia Readmission
measure in late summer of 2018.
We believe that expanding our efforts
by providing disparity results for the six
condition- and procedure-specific
readmission measures discussed above,
while a different set of calculations than
those used in the Hospital Readmissions
Reduction Program, can complement
the stratified methodology used to
assess a hospital’s performance on these
measures for payment penalty scoring
purposes under the Hospital
Readmissions Reduction Program. To
implement the requirements of the 21st
Century Cures Act, the Hospital
Readmissions Reduction Program
developed a stratification methodology
to account for social risk factors by
which it assigns hospitals into five peer
groups based on proportion of dual
eligible stays, and assesses hospital
performance relative to the performance
of hospitals within the same peer
group.574 While this approach is used
by the Hospital Readmissions Reduction
Program for purposes of payment
calculations, the two disparity methods
are intended to account for social risk
factors by providing additional
information that identifies potential
disparities in care provided to dual
eligible patients within individual
hospitals and across hospitals
nationally. We believe that providing
data from the two disparity methods for
the readmission measures complements
574 As required by the 21st Century Cures Act, the
Hospital Readmissions Reduction Program
implemented a transitional adjustment
methodology for dual eligible patients beginning in
FY 2019. For additional details on the stratified
methodology used in the Hospital Readmissions
Reduction Program, we refer readers to the FY 2018
IPPS/LTCH PPS final rule (82 FR 38226 through
38237) and the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41436 through 41438).
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the payment stratification approach
using these measures under the Hospital
Readmissions Reduction Program by
increasing transparency around, and
contributing to an improved
understanding of, differences in care on
the basis of patient dual eligible status.
The two disparity methods and the
stratified methodology used by the
Hospital Readmissions Reduction
Program are all part of CMS’ broader
efforts to account for social risk factors
in quality measurement and value-based
purchasing programs. We note that the
confidential reporting of disparity
results discussed in this section is not
driven by a specific quality program, but
rather, is intended to supplement
already publicly reported measure
performance data and is only one part
of CMS’ overall strategy for accounting
for social risk factors. We refer readers
to section IV.G.11. of the preamble of
this proposed rule for a similar
discussion under the Hospital
Readmissions Reduction Program. In the
future, we also plan to provide
confidential reporting of disparity
results for additional outcome measures
included in other quality programs.
We plan to continue soliciting
feedback from hospitals based on their
experiences with the confidential
disparity methods reporting process,
which will allow hospitals to
understand their disparity results prior
to any potential future public reporting.
As discussed in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41600), we have
not yet determined future plans with
respect to publicly reporting stratified
data, and intend to continue to engage
with hospitals and relevant stakeholders
about their experiences with and
recommendations for the stratification
of measure data, and to ensure the
reliability of such data before proposing
to publicly display stratified measure
data in the future. Any proposal to
display stratified quality measure data
on the Hospital Compare website would
be made through future rulemaking.
We are inviting public comment on
our plans to expand our efforts to apply
the disparity methods to additional
outcome measures for confidential
reporting in a phased manner,
specifically for five additional measures
(AMI Readmission measure; CABG
Readmission measure; COPD
Readmission measure; HF Readmission
measure; and THA/TKA Readmission
measure) starting in spring of 2020, and
additional outcome measures after
spring of 2020, as discussed above. We
refer readers to section IV.G.11. of the
preamble of this proposed rule for a
similar discussion under the Hospital
Readmissions Reduction Program.
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10. Form, Manner, and Timing of
Quality Data Submission
a. Background
Sections 1886(b)(3)(B)(viii)(I) and
(b)(3)(B)(viii)(II) of the Act state that the
applicable percentage increase for FY
2015 and each subsequent year shall be
reduced by one-quarter of such
applicable percentage increase
(determined without regard to sections
1886(b)(3)(B)(ix), (xi), or (xii) of the Act)
for any subsection (d) hospital that does
not submit data required to be
submitted on measures specified by the
Secretary in a form and manner, and at
a time, specified by the Secretary.
Previously, the applicable percentage
increase for FY 2007 and each
subsequent fiscal year until FY 2015
was reduced by 2.0 percentage points
for subsection (d) hospitals failing to
submit data in accordance with the
description above. In accordance with
the statute, the FY 2020 payment
determination will begin the sixth year
that the Hospital IQR Program will
reduce the applicable percentage
increase by one-quarter of such
applicable percentage increase.
In order to participate in the Hospital
IQR Program, hospitals must meet
specific procedural, data collection,
submission, and validation
requirements. For each Hospital IQR
Program payment determination, we
require that hospitals submit data on
each specified measure in accordance
with the measure’s specifications for a
particular period of time. The data
submission requirements, Specifications
Manual, and submission deadlines are
posted on the QualityNet website at:
https://www.QualityNet.org/. The
technical specifications used for
electronic clinical quality measures
(eCQMs) are contained in the CMS
Annual Update for the Hospital Quality
Reporting Programs (Annual Update).
We generally update the measure
specifications on an annual basis
through the Annual Update, which
includes code updates, logic
corrections, alignment with current
clinical guidelines, and additional
guidance for hospitals and electronic
health record (EHR) vendors to use in
order to collect and submit data on
eCQMs from hospital EHRs. The Annual
Update and implementation guidance
documents are available on the
Electronic Clinical Quality
Improvement (eCQI) Resource Center
website at: https://ecqi.healthit.gov/. For
example, for the CY 2019 reporting
period/FY 2021 payment determination,
hospitals would need to submit eCQM
data using the May 2018 Annual Update
and any applicable addenda. We refer
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readers to the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41602 through 41603),
in which we discuss the transition to
Clinical Quality Language (CQL) for all
eCQM specifications published in CY
2018 for the CY 2019 reporting period/
FY 2021 payment determination and
subsequent years (beginning with the
Annual Update that was published in
May 2018 for implementation in CY
2019).
Hospitals must register and submit
quality data through the secure portion
of the QualityNet website. There are
safeguards in place in accordance with
the HIPAA Privacy and Security Rules
to protect patient information submitted
through this website. See 45 CFR parts
160 and 164, subparts A, C and E.
b. Procedural Requirements
The Hospital IQR Program’s
procedural requirements are codified in
regulation at 42 CFR 412.140. We refer
readers to these codified regulations for
participation requirements, as further
explained by the FY 2014 IPPS/LTCH
PPS final rule (78 FR 50810 through
50811) and the FY 2017 IPPS/LTCH PPS
final rule (81 FR 57168). We are not
proposing any changes to these
procedural requirements in this
proposed rule.
c. Data Submission Requirements for
Chart-Abstracted Measures
We refer readers to the FY 2012 IPPS/
LTCH PPS final rule (76 FR 51640
through 51641), the FY 2013 IPPS/LTCH
PPS final rule (77 FR 53536 through
53537), and the FY 2014 IPPS/LTCH
PPS final rule (78 FR 50811) for details
on the Hospital IQR Program data
submission requirements for chartabstracted measures. We are not
proposing any changes to the data
submission requirements for chartabstracted measures in this proposed
rule.
d. Reporting and Submission
Requirements for eCQMs
(1) Background
For a discussion of our previously
finalized eCQMs and policies, we refer
readers to the FY 2014 IPPS/LTCH PPS
final rule (78 FR 50807 through 50810;
50811 through 50819), the FY 2015
IPPS/LTCH PPS final rule (79 FR 50241
through 50253; 50256 through 50259;
and 50273 through 50276), the FY 2016
IPPS/LTCH PPS final rule (80 FR 49692
through 49698; and 49704 through
49709), the FY 2017 IPPS/LTCH PPS
final rule (81 FR 57150 through 57161;
and 57169 through 57172), the FY 2018
IPPS/LTCH PPS final rule (82 FR 38355
through 38361; 38386 through 38394;
38474 through 38485; and 38487
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through 38493), and the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41567
through 41575; 83 FR 41602 through
41607).
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38361), we finalized eCQM
reporting and submission requirements
such that hospitals are required to
report only one, self-selected calendar
quarter of data for four self-selected
eCQMs for the CY 2018 reporting
period/FY 2020 payment determination.
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41603 through 41604), we
extended the same eCQM reporting and
submission requirements, such that
hospitals are required to report one, selfselected calendar quarter of data for four
self-selected eCQMs for the CY 2019
reporting period/FY 2021 payment
determination.
In this proposed rule, we are
proposing to establish eCQM reporting
and submission requirements for the CY
2020 reporting period/FY 2022 payment
determination through the CY 2022
reporting period/FY 2024 payment
determination, as detailed below.
(2) Proposed Reporting and Submission
Requirements for eCQMs for the CY
2020 Reporting Period/FY 2022
Payment Determination
For the CY 2020 reporting period/FY
2022 payment determination, we are
proposing to extend the current eCQM
reporting and submission requirements,
such that hospitals would be required to
report one, self-selected calendar
quarter of data for four self-selected
eCQMs. We believe continuing the same
eCQM reporting and submission
requirements is appropriate because it
offers hospitals reporting flexibility and
does not increase the information
collection burden on data submitters,
allowing them to shift resources to
support system upgrades, data mapping,
and staff training related to eCQM
documentation and reporting.
We also refer readers to section
VIII.D.6.d.(1) of the preamble of this
proposed rule for a similar proposal in
the Promoting Interoperability Programs
for the CY 2020 reporting period.
(3) Proposed Reporting and Submission
Requirements for eCQMs for the CY
2021 Reporting Period/FY 2023
Payment Determination
For the CY 2021 reporting period/FY
2023 payment determination, we are
proposing to extend the same eCQM
reporting and submission requirements,
such that hospitals would continue to
be required to report one, self-selected
calendar quarter of data for four selfselected eCQMs for the same reasons as
discussed above.
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We also refer readers to section
VIII.D.6.d.(1) of the preamble of this
proposed rule for a similar proposal in
the Medicare Promoting Interoperability
Program.
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(4) Proposed Reporting and Submission
Requirements for eCQMs for the CY
2022 Reporting Period/FY 2024
Payment Determination
For the CY 2022 reporting period/FY
2024 payment determination, we are
proposing to modify the eCQM
reporting and submission requirements,
such that hospitals would be required to
report one, self-selected calendar
quarter of data for: (a) Three selfselected eCQMs, and (b) the proposed
Safe Use of Opioids—Concurrent
Prescribing eCQM (NQF #3316e), for a
total of four eCQMs. We note that the
number of calendar quarters of data and
total number of eCQMs required would
remain the same.
This proposal is being made in
conjunction with our proposal in
section VIII.A.5.a.(1) of the preamble of
this proposed rule, in which we are
proposing to adopt the Safe Use of
Opioids—Concurrent Prescribing eCQM
(NQF #3316e) beginning with the CY
2021 reporting period/FY 2023 payment
determination. We believe this measure
has the potential to reduce preventable
mortality and costs associated with
other adverse events related to opioid
use. As discussed in section
VIII.A.5.a.(1) of the preamble of this
proposed rule, concurrent opioid or
opioid-benzodiazepine prescription use
contributes significantly to the overall
population’s risk of opioid overdose.
Currently, however, no measure exists
to assess nationwide rates of concurrent
prescribing of opioids and
benzodiazepines at the hospital-level.
In developing this proposal, we also
considered an alternative whereby
hospitals would have the option to
select one of the two proposed opioidsrelated eCQMs, the Safe Use of
Opioids—Concurrent Prescribing eCQM
(NQF #3316e) or the Hospital Harm—
Opioid-Related Adverse Events eCQM,
as their fourth required eCQM.
However, such an approach would add
complexity to the eCQM reporting
requirements, and we believe that the
Safe Use of Opioids—Concurrent
Prescribing eCQM (NQF #3316e) is more
closely related to combating the current
opioid epidemic, as discussed above
and in section VIII.A.5.a. of the
preamble of this proposed rule, than the
Hospital Harm—Opioid-Related
Adverse Events eCQM, which is focused
on improved monitoring of patients who
receive opioids during hospitalization.
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If our proposal to adopt the Safe Use
of Opioids—Concurrent Prescribing
eCQM (NQF #3316e) beginning with the
CY 2021 reporting period/FY 2023
payment determination is finalized, we
are proposing that while this measure
would be available for hospitals to
select as one of their four self-selected
eCQMs for the CY 2021 reporting
period, all hospitals would be required
to report this eCQM beginning with the
CY 2022 reporting period/FY 2024
payment determination. We believe this
measure would provide valuable
information on this area of high-risk
prescribing to providers, and further our
efforts to combat the negative impacts of
the opioid crisis. We also believe this
proposal is consistent with CMS’ goal of
incrementally increasing the use of EHR
data for quality measurement and is
responsive to the feedback of some
stakeholders urging a faster transition to
full electronic reporting.575
We note that this proposal is
contingent on finalization of our
proposal in section VIII.A.5.a.(1) of the
preamble of this proposed rule to adopt
the Safe Use of Opioids—Concurrent
Prescribing eCQM (NQF #3316e). We
also refer readers to section
VIII.D.6.d.(2) of the preamble of this
proposed rule for a similar proposal by
the Medicare Promoting Interoperability
Program.
(5) Continuation of Certification
Requirements for eCQM Reporting
(A) Requiring Use of 2015 Edition
Certification Criteria
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41604 through 41607), to
align the Hospital IQR Program with the
Promoting Interoperability Program, we
finalized a policy to require hospitals to
use the 2015 Edition certification
criteria for certified EHR technology
(CEHRT) for the CY 2019 reporting
period/FY 2021 payment determination
and subsequent years. We are not
proposing any changes to this policy in
this proposed rule.
(B) Requiring EHR Technology to be
Certified to All Available eCQMs
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38391 through 38393), for
the CY 2017 reporting period/FY 2019
payment determination and the CY 2018
reporting period/FY 2020 payment
575 The Office of the National Coordinator for
Health Information Technology. (2018). Strategy on
Reducing Regulatory and Administrative Burden
Relating to the Use of Health IT and EHRs (Draft
for Public Comment). Available at: https://
www.healthit.gov/sites/default/files/page/2018-11/
Draft%20Strategy%20on%
20Reducing%20Regulatory%20and%20
Administrative%20Burden%20Relating.pdf.
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determination, we finalized a
requirement that EHR technology used
for eCQM reporting be certified to all
eCQMs, but noted that such certified
EHR technology does not need to be
recertified each time it is updated to a
more recent version of the eCQM
electronic specifications.
In this proposed rule, we are
proposing to continue the requirement
that EHRs be certified to all available
eCQMs used in the Hospital IQR
Program for the CY 2020 reporting
period/FY 2022 payment determination
and subsequent years. The 2015 Edition
Base EHR definition (as defined by
HHS’ Office of the National Coordinator
for Health Information Technology
(ONC) 2015 Edition Health Information
Technology (Health IT) Certification
Criteria, 2015 Edition Base Electronic
Health Record (EHR) Definition, and
ONC Health IT Certification Program
Modifications Final Rule (80 FR 62649
through 62655)) requires certified health
IT to have the capability to capture and
query information relevant to health
care quality,576 which can be ensured by
meeting the clinical quality measure
certification criteria to record and
export (45 CFR 170.315(c)(1)). The 2015
Edition Base EHR definition does not
require certified health IT to meet
additional clinical quality measure
certification criteria such as to import
and calculate (45 CFR 170.315(c)(2)),
report (45 CFR 170.315(c)(3)), or filter
(45 CFR 170.315(c)(4)).
ONC’s Health IT Certification Program
is ‘‘agnostic’’ to settings and programs,
but can support many different use
cases and needs.577 Because the ONC
Health IT Certification Program
supports multiple program and setting
needs, ONC does not include
requirements that are specific to CMS
programs. CMS may impose more
stringent requirements for EHR-based
reporting under its programs.
The Hospital IQR and Promoting
Interoperability Programs have
previously required EHRs to be certified
to all available eCQMs used in the
programs (that is, individual testing of
each eCQM) in order to support
flexibility for hospitals when they select
the eCQMs on which to report.578 When
EHRs are certified to all available
eCQMs in the eCQM measure set,
hospitals are able to select and report on
those measures that best reflect their
576 45
CFR 170.102.
2015 Edition Final Rule: Overview of the
2015 Edition Health IT Certification Criteria & ONC
Health IT Certification Program Provisions.
Available at: https://www.healthit.gov/sites/default/
files/onc_2015_edition_final_rule_presentation_1028-15.pdf.
578 82 FR 38391 through 38393; 83 FR 41672.
577 ONC,
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patient populations and reporting
capabilities. In addition to supporting
hospital flexibility, we believe the
continuation of this requirement
promotes more accurate electronic
quality reporting by incentivizing EHR
and other health IT vendors to test all
available eCQMs and to offer reporting
modules with certified eCQMs. This
requirement would produce greater
certainty for hospitals that their EHR
systems would be capable of accurately
calculating the particular eCQMs they
select to report to CMS. We believe this
would help reduce burden for hospitals
by potentially reducing the frequency of
needing to consult with their EHR and
other health IT vendors to troubleshoot
implementation or reporting issues.
We have continued to hear from
hospital stakeholders during a series of
provider listening sessions in 2018 that
they believe certification is an important
part of ensuring successful reporting to
CMS. In addition, because this has been
the current policy for the Hospital IQR
and Promoting Interoperability
Programs (82 FR 38391 through 38393;
83 FR 41672), vendors and providers
should be familiar with this
requirement, and we expect that most
providers’ EHR systems are already
certified to all currently available
eCQMs. Since certified EHR technology
does not need to be recertified each time
it is updated to a more recent version of
the eCQM electronic specifications
under the Hospital IQR Program (82 FR
38393), there should be no added
burden with regard to the currently
adopted eCQMs in the eCQM measure
set.
We also refer readers to section
VIII.D.6.e.(1) of the preamble of this
proposed rule for a similar proposal for
the Promoting Interoperability Program.
(6) File Format for EHR Data, Zero
Denominator Declarations, and Case
Threshold Exemptions
We refer readers to the FY 2016 IPPS/
LTCH PPS final rule (80 FR 49705
through 49708) and the FY 2017 IPPS/
LTCH PPS final rule (81 FR 57170) for
our previously adopted eCQM file
format requirements. Under these
requirements, hospitals: (1) Must submit
eCQM data via the Quality Reporting
Document Architecture Category I
(QRDA I) file format as was previously
required; (2) may use third parties to
submit QRDA I files on their behalf; and
(3) may either use abstraction or pull the
data from non-certified sources in order
to then input these data into CEHRT for
capture and reporting QRDA I. Hospitals
can continue to meet the reporting
requirements by submitting data via
QRDA I files, zero denominator
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declaration, or case threshold
exemption (82 FR 38387). We are not
proposing any changes to these
requirements for eCQMs in this
proposed rule.
(7) Submission Deadlines for eCQM
Data
We refer readers to the FY 2015 IPPS/
LTCH PPS final rule (79 FR 50256
through 50259), the FY 2016 IPPS/LTCH
PPS final rule (80 FR 49705 through
49709), and the FY 2017 IPPS/LTCH
PPS final rule (81 FR 57169 through
57172) for our previously adopted
policies to align eCQM data reporting
periods and submission deadlines for
both the Hospital IQR and Medicare
Promoting Interoperability Programs. In
the FY 2017 IPPS/LTCH PPS final rule
(81 FR 57172), we finalized the
alignment of the Hospital IQR Program
eCQM submission deadline with that of
the Medicare Promoting Interoperability
Program—the end of two months
following the close of the calendar
year—for the CY 2017 reporting period/
FY 2019 payment determination and
subsequent years. We note the
submission deadline may be moved to
the next business day if it falls on a
weekend or federal holiday. We are not
proposing any changes to the eCQM
submission deadlines in this proposed
rule.
e. Data Submission and Reporting
Requirements for Hybrid Measures
(1) Background
In section VIII.A.5.b. of the preamble
of this proposed rule, we are proposing
to adopt the Hybrid HWR measure in
the Hospital IQR Program beginning
with the FY 2026 payment
determination, with 2 years of voluntary
reporting prior to that time. In the FY
2018 IPPS/LTCH PPS final rule (82 FR
38350 through 38355), we finalized
voluntary reporting of the Hybrid HWR
measure for the CY 2018 reporting
period. For data submission and
reporting requirements under the 2018
Voluntary Reporting Period, we
finalized that the 13 core clinical data
elements and six linking variables for
the Hybrid HWR measure be submitted
using the QRDA I file format, and that
hospitals voluntarily reporting data for
the Hybrid HWR measure could use
EHR technology certified to the 2014
Edition, the 2015 Edition, or a
combination thereof (82 FR 38394
through 38397). During the 2018
Voluntary Reporting Period,
participating hospitals and their health
IT vendors reported data on discharges
for the January 1, 2018 through June 30,
2018 reporting period by the submission
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deadline of January 4, 2019, and
approximately 80 hospitals submitted
data. We expect that hospitals that
voluntarily submitted data for this
measure will receive confidential
hospital-specific reports detailing
submission results from the reporting
period in early summer of 2019.
(2) Certification and File Format
Requirements
In this proposed rule, we are
proposing to require that hospitals use
EHR technology certified to the 2015
Edition to submit data on the Hybrid
HWR measure. This is consistent with
our policy finalized in the FY 2019
IPPS/LTCH PPS final rule (83 FR 41604
through 41607), which requires use of
the 2015 Edition certification criteria for
CEHRT when reporting eCQMs
beginning with the CY 2019 reporting
period/FY 2021 payment determination.
In addition, we are proposing that the
core clinical data elements and linking
variables identified in hybrid measure
specifications, for example as described
in section VIII.A.5.b. of the preamble of
this proposed rule, be submitted using
the QRDA I file format. In order to
ensure that the data have been
appropriately connected to the
encounter, the core clinical data
elements specified for risk adjustment
need to be captured in relation to the
start of an inpatient encounter. The
QRDA I standard enables the creation of
an individual patient-level quality
report that contains quality data for one
patient for one or more quality
measures. Based on the experience of
the CY 2018 Voluntary Reporting
Period, the use of the QRDA I file format
is feasible. In addition, hospitals and
health IT vendors have been using the
QRDA I file format for eCQM reporting
for several years.
For details on the implementation
guidance provided for the Hybrid HWR
measure 2018 Voluntary Reporting
Period, we refer readers to the 2018
CMS QRDA I Implementation Guide for
Hospital Quality Reporting and the 2018
CMS QRDA I Schematrons and Sample
Files for HQR, available on the eCQI
Resource Center website.579 If our
proposal to adopt the Hybrid HWR
measure is finalized, updated
implementation guidance, schematrons,
and sample files will become available
on the eCQI Resource Center website.
As with eCQM reporting, we also
encourage all hospitals and their health
IT vendors to submit QRDA I files early,
579 The Electronic Clinical Quality Improvement
(eCQI) Resource Center. Eligible Hospitals/Critical
Access Hospital eCQMs. Available at: https://
ecqi.healthit.gov/eligible-hospital/critical-accesshospital-ecqms.
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and to use one of the pre-submission
testing tools for electronic reporting,
such as the CMS Pre-Submission
Validation Application (PSVA) tool (81
FR 57113), to allow additional time for
testing and to make sure all required
data files are successfully submitted by
the deadline. The PSVA tool can be
downloaded from the Secure File
Transfer (SFT) section of the QualityNet
Secure Portal at: https://cportal.quality
net.org/QNet/pgm_select.jsp.
(3) Additional Submission
Requirements
In this proposed rule, we are
proposing to allow hospitals to meet the
hybrid measure reporting and
submission requirements by submitting
any combination of data via QRDA I
files, zero denominator declarations,
and/or case threshold exemptions. We
recognize the challenges associated with
electronic reporting and encourage
hospitals of all sizes to work with their
vendors to achieve electronic capture
and reporting of data necessary for
hybrid measure reporting. We also
acknowledge that there are situations in
which a hospital may be prepared for
electronic reporting, but may not have
data to report on a particular measure.
For example, hospitals with small
patient populations may not have
sufficient patient population to report
on specific measures, such that those
hospitals may find it necessary to utilize
a zero denominator declaration and/or
case threshold exemption. In addition,
there may be situations in which case
number thresholds are appropriate,
given the burden on hospitals that very
seldom have the types of cases
addressed by certain measures.
In this proposed rule, we are
proposing to apply similar zero
denominator declaration and case
threshold exemption policies to hybrid
measure reporting as we allow for
eCQM reporting. In other words, for a
zero denominator declaration, if a
hospital’s EHR is otherwise capable of
reporting hybrid measure data, but the
hospital does not have patients that
meet the denominator criteria of that
hybrid measure, the hospital may
submit a zero in the denominator for
that measure. Submission of a zero in
the denominator for a hybrid measure
would count as a successful submission
for that hybrid measure for the Hospital
IQR Program. In addition, for the case
threshold exemption, hospitals that
have five or fewer inpatient discharges
per quarter or twenty or fewer inpatient
discharges per year as defined by a
hybrid measure’s denominator
population, would be exempted from
reporting on that hybrid measure.
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Hospitals can submit zero denominator
declarations or case threshold
exemptions by logging into the
QualityNet Secure Portal and
completing the Denominator
Declaration screen.
(4) Submission Deadlines for Hybrid
Measures
We are proposing that hospitals must
submit the core clinical data elements
and linking variables within three
months following the end of the
applicable reporting period
(submissions would be required no later
than the first business day three months
following the end of the reporting
period) for hybrid measures in the
Hospital IQR Program.
As discussed earlier in this proposed
rule, we are proposing that the first
voluntary reporting period would run
from July 1, 2021 through June 30, 2022.
Under this proposal, for example,
hospitals would be required to submit
the core clinical data elements and
linking variable data no later than
Friday, September, 30, 2022, which is
the first business day three months
following the end of the reporting
period. Similarly, for the July 1, 2022
through June 30, 2023 voluntary
reporting period, for example, the
submission deadline would be Monday,
October 2, 2023. If our proposal to adopt
the Hybrid HWR measure is finalized,
this submission deadline would apply
to all reporting periods for which data
are submitted.
f. Sampling and Case Thresholds for
Chart-Abstracted Measures
We refer readers to the FY 2011 IPPS/
LTCH PPS final rule (75 FR 50221), the
FY 2012 IPPS/LTCH PPS final rule (76
FR 51641), the FY 2013 IPPS/LTCH PPS
final rule (77 FR 53537), the FY 2014
IPPS/LTCH PPS final rule (78 FR
50819), and the FY 2016 IPPS/LTCH
PPS final rule (80 FR 49709) for details
on our sampling and case thresholds for
the FY 2016 payment determination and
subsequent years. We are not proposing
any changes to our sampling and case
threshold policies in this proposed rule.
g. HCAHPS Administration and
Submission Requirements
We refer readers to the FY 2011 IPPS/
LTCH PPS final rule (75 FR 50220), the
FY 2012 IPPS/LTCH PPS final rule (76
FR 51641 through 51643), the FY 2013
IPPS/LTCH PPS final rule (77 FR 53537
through 53538), and the FY 2014 IPPS/
LTCH PPS final rule (78 FR 50819
through 50820) for details on
previously-adopted HCAHPS
submission requirements. We also refer
hospitals and HCAHPS Survey vendors
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19499
to the official HCAHPS website at:
https://www.hcahpsonline.org for new
information and program updates
regarding the HCAHPS Survey, its
administration, oversight, and data
adjustments.
In the CY 2019 OPPS/ASC final rule
with comment period (83 FR 59140
through 59149), we updated the
HCAHPS Survey by removing the
Communication About Pain questions
effective with October 2019 discharges,
for the FY 2021 payment determination
and subsequent years, and finalizing a
policy of not publicly reporting data
regarding these questions. We are not
proposing any changes to the HCAHPS
Survey or its administration and
submission requirements in this
proposed rule.
h. Data Submission Requirements for
Structural Measures
There are no remaining structural
measures in the Hospital IQR Program.
i. Data Submission and Reporting
Requirements for CDC NHSN HAI
Measures
For details on the data submission
and reporting requirements for
Healthcare-Associated Infection (HAI)
measures reported via the CDC’s
National Healthcare Safety Network
(NHSN), we refer readers to the FY 2012
IPPS/LTCH PPS final rule (76 FR 51629
through 51633; 51644 through 51645),
the FY 2013 IPPS/LTCH PPS final rule
(77 FR 53539), the FY 2014 IPPS/LTCH
PPS final rule (78 FR 50821 through
50822), and the FY 2015 IPPS/LTCH
PPS final rule (79 FR 50259 through
50262). The data submission deadlines
are posted on the QualityNet website at:
https://www.QualityNet.org/. We are not
proposing any changes to those
requirements in this proposed rule.
We refer readers to the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41547
through 41553), in which we finalized
the removal of five of these measures
(CLABSI, CAUTI, Colon and Abdominal
Hysterectomy SSI, MRSA Bacteremia,
and CDI) from the Hospital IQR
Program. As a result, hospitals will not
be required to submit any data for those
measures under the Hospital IQR
Program following their removal
beginning with the CY 2020 reporting
period/FY 2022 payment determination.
However, the five CDC NHSN HAI
measures will be included in the HAC
Reduction and Hospital VBP Programs
and reported via the CDC NHSN portal
(83 FR 41474 through 41477; 83 FR
41449 through 41452). Lastly, we refer
readers to the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41472 through 41492)
as well as sections IV.I.6. and 7. and
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IV.H.5.e. of the preamble of this
proposed rule for more information and
proposals regarding NHSN HAI measure
data collection and validation under the
HAC Reduction Program and use in the
HAC Reduction and Hospital VBP
Programs. We further note that the HCP
measure remains in the Hospital IQR
Program and will continue to be
reported via NHSN.
11. Validation of Hospital IQR Program
Data
We refer readers to the FY 2013 IPPS/
LTCH PPS final rule (77 FR 53539
through 53553), the FY 2014 IPPS/LTCH
PPS final rule (78 FR 50822 through
50835), the FY 2015 IPPS/LTCH PPS
final rule (79 FR 50262 through 50273),
the FY 2016 IPPS/LTCH PPS final rule
(80 FR 49710 through 49712), the FY
2017 IPPS/LTCH PPS final rule (81 FR
57173 through 57181), and the FY 2018
IPPS/LTCH PPS final rule (82 FR 38398
through 38403) for detailed information
on chart-abstracted and eCQM
validation processes and previous
updates to these processes for the
Hospital IQR Program.
In this proposed rule, we are not
proposing any changes to the existing
processes for validation of chartabstracted and eCQM measure data. We
note that if our proposal to adopt the
Hybrid HWR measure is finalized, we
intend to propose a validation process
for core clinical data elements in future
rulemaking.
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12. Data Accuracy and Completeness
Acknowledgement (DACA)
Requirements
We refer readers to the FY 2013 IPPS/
LTCH PPS final rule (77 FR 53554) for
previously adopted details on DACA
requirements. We are not proposing any
changes to the DACA requirements in
this proposed rule.
13. Public Display Requirements
We refer readers to the FY 2008 IPPS/
LTCH PPS final rule (72 FR 47364), the
FY 2011 IPPS/LTCH PPS final rule (75
FR 50230), the FY 2012 IPPS/LTCH PPS
final rule (76 FR 51650), the FY 2013
IPPS/LTCH PPS final rule (77 FR
53554), the FY 2014 IPPS/LTCH PPS
final rule (78 FR 50836), the FY 2015
IPPS/LTCH PPS final rule (79 FR
50277), the FY 2016 IPPS/LTCH PPS
final rule (80 FR 49712 through 49713),
and the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38403 through 38409) for
details on public display requirements.
The Hospital IQR Program quality
measures are typically reported on the
Hospital Compare website at: https://
www.medicare.gov/hospitalcompare,
but on occasion are reported on other
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CMS websites such as: https://
data.medicare.gov. We are not
proposing any changes to the public
display requirements in this proposed
rule.
14. Reconsideration and Appeal
Procedures
We refer readers to the FY 2012 IPPS/
LTCH PPS final rule (76 FR 51650
through 51651), the FY 2014 IPPS/LTCH
PPS final rule (78 FR 50836), and 42
CFR 412.140(e) for details on
reconsideration and appeal procedures
for the FY 2017 payment determination
and subsequent years. We are not
proposing any changes to the
reconsideration and appeals procedures
in this proposed rule.
15. Hospital IQR Program Extraordinary
Circumstances Exceptions (ECE) Policy
We refer readers to the FY 2012 IPPS/
LTCH PPS final rule (76 FR 51651
through 51652), the FY 2014 IPPS/LTCH
PPS final rule (78 FR 50836 through
50837), the FY 2015 IPPS/LTCH PPS
final rule (79 FR 50277), the FY 2016
IPPS/LTCH PPS final rule (80 FR
49713), the FY 2017 IPPS/LTCH PPS
final rule (81 FR 57181 through 57182),
the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38409 through 38411), and 42
CFR 412.140(c)(2) for details on the
current Hospital IQR Program ECE
policy. We also refer readers to the
QualityNet website at: https://
www.QualityNet.org/ for our current
requirements for submission of a request
for an exception. We are not proposing
any changes to the ECE policy in this
proposed rule.
B. PPS-Exempt Cancer Hospital Quality
Reporting (PCHQR) Program
1. Background
Section 1866(k) of the Act establishes
a quality reporting program for hospitals
described in section 1886(d)(1)(B)(v) of
the Act (referred to as ‘‘PPS-Exempt
Cancer Hospitals’’ or ‘‘PCHs’’) that
specifically applies to PCHs that meet
the requirements under 42 CFR
412.23(f). Section 1866(k)(1) of the Act
states that, for FY 2014 and each
subsequent fiscal year, a PCH must
submit data to the Secretary in
accordance with section 1866(k)(2) of
the Act with respect to such fiscal year.
The PPS-Exempt Cancer Hospital
Quality Reporting (PCHQR) Program
strives to put patients first by ensuring
they, along with their clinicians, are
empowered to make decisions about
their own health care using data-driven
insights that are increasingly aligned
with meaningful quality measures. To
this end, we support technology that
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reduces burden and allows clinicians to
focus on providing high quality health
care to their patients. We also support
innovative approaches to improve
quality, accessibility, and affordability
of care, while paying particular
attention to improving clinicians’ and
beneficiaries’ experiences when
participating in CMS programs. In
combination with other efforts across
the Department of Health and Human
Services (HHS), we believe the PCHQR
Program incentivizes PCHs to improve
their health care quality and value,
while giving patients the tools and
information needed to make the best
decisions.
For additional background
information, including previously
finalized measures and other policies
for the PCHQR Program, we refer
readers to the following final rules: The
FY 2013 IPPS/LTCH PPS final rule (77
FR 53556 through 53561); the FY 2014
IPPS/LTCH PPS final rule (78 FR 50838
through 50846); the FY 2015 IPPS/LTCH
PPS final rule (79 FR 50277 through
50288); the FY 2016 IPPS/LTCH PPS
final rule (80 FR 49713 through 49723);
the FY 2017 IPPS/LTCH PPS final rule
(81 FR 57182 through 57193); the FY
2018 IPPS/LTCH PPS final rule (82 FR
38411 through 38425); the FY 2019
IPPS/LTCH PPS final rule (83 FR 41609
through 41624); and the CY 2019 OPPS/
ASC final rule with comment period (83
FR 59149 through 59154).
In this proposed rule, we are
proposing several new policies for the
PCHQR Program. We developed these
proposals after conducting an overall
review of the program under our new
Meaningful Measures Initiative, which
is discussed in more detail in I.A.2. of
the preamble of the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41147 through
41148) and this FY 2020 proposed rule.
The proposals reflect our efforts to
ensure that the PCHQR Program
measure set continues to promote
improved health outcomes for our
beneficiaries. The proposals also reflect
our efforts to improve the usefulness of
the data that we publicly report in the
PCHQR Program.
2. Proposed Refinement of the Hospital
Consumer Assessment of Healthcare
Providers and Systems (HCAHPS)
Survey (NQF #0166): Removal of the
Pain Management Questions
a. Background
The HCAHPS Survey (NQF #0166)
(OMB Control Number 0938–0981) is
the first national, standardized, publicly
reported survey of patients’ experience
of hospital care and asks discharged
patients 32 questions about their recent
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hospital stay. In May 2005, the HCAHPS
Survey was endorsed for the first time
by the National Quality Forum (NQF).
The HCAHPS Survey is available in
English, Spanish, Chinese, Russian,
Vietnamese, and Portuguese versions.
The HCAHPS Survey, along with its
protocols for sampling, data collection
and coding, and file submission, can be
found in the current HCAHPS Quality
Assurance Guidelines, which is
available on the official HCAHPS
website at: https://
www.hcahpsonline.org/en/qualityassurance/.
We adopted the HCAHPS Survey into
the PCHQR Program beginning with the
FY 2016 program year in the FY 2014
IPPS/LTCH PPS final rule (78 FR 50844
through 50845); we refer readers to this
final rule for a detailed discussion of the
survey. Further, we finalized in the FY
2016 IPPS/LTCH PPS final rule (80 FR
49722) that we would begin publicly
reporting this measure in the PCHQR
Program in CY 2016. For HCAHPS
Survey data reported in years prior to
CY 2018, we refer readers to: https://
hcahpsonline.org/en/summaryanalyses/.
In this proposed rule, we are
proposing to adopt a substantive change
to the HCAHPS Survey by removing the
three Pain Management questions
beginning with October 1, 2019
discharges, as described below.
The patients treated by the 11 PPSexempt cancer hospitals eligible to
participate in the PCHQR Program have
been diagnosed with cancer, which
frequently causes substantial pain.
Cancer treatment also frequently
involves surgery, chemotherapy, and/or
radiation therapy, all of which can also
cause substantial pain beyond that
experienced by the general Medicare
population.580 Pain management is
therefore an important safeguard against
the unintended consequences of
appropriate clinical care in these
patients.581
The version of the HCAHPS Survey
currently implemented in the PCHQR
Program includes three Pain
Management questions, Q12, Q13, and
Q14. The questions are as follows:
12. During this hospital stay, did you
need medicine for pain?
1 b Yes
2 b No → If No, Go to Question 15
580 American Cancer Society. ‘‘Cancer Pain.’’
Available at: https://www.cancer.org/treatment/
treatments-and-side-effects/physical-side-effects/
pain.html.
581 Mayo Clinic. ‘‘Cancer Pain: Relief is Possible.’’
Available at: https://www.mayoclinic.org/diseasesconditions/cancer/in-depth/cancer-pain/art20045118.
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13. During this hospital stay, how
often was your pain well controlled?
1 b Never
2 b Sometimes
3 b Usually
4 b Always
14. During this hospital stay, how
often did the hospital staff do
everything they could to help you with
your pain?
1 b Never
2 b Sometimes
3 b Usually
4 b Always
The pain management questions that
the PCHQR Program currently uses were
previously also adopted as part of the
HCAHPS survey used by the Hospital
IQR Program (71 FR 68202 through
68204) and the Hospital VBP Program
(76 FR 26510), but the questions have
been removed from the survey in both
of those programs.
Specifically, in the CY 2017 OPPS/
ASC final rule with comment period (81
FR 79862), we noted that that we had
received feedback that some
stakeholders were concerned about the
Pain Management dimension questions
being used in a program, including the
Hospital VBP Program, where there was
any link between scoring well on the
questions and higher hospital payments
(81 FR 79856). Some stakeholders also
stated that they believed that the linkage
of the pain management questions to the
Hospital VBP Program payment
incentives created pressure on hospital
staff to prescribe more opioids in order
to achieve higher scores on the pain
management dimension. We also noted
that many factors outside of CMS
control could contribute to a perception
of a link between the questions and
opioid prescribing practices, including
misuse of the survey (such as using it
for outpatient emergency room care
instead of inpatient care, or using it for
determining physician performance)
and failure to recognize that the
HCAHPS survey excludes certain
populations from the sampling frame
(such as those with a primary substance
use disorder diagnosis).
We stated that we had heard that
some hospitals have identified patient
experience as a potential source of
competitive advantage, and that some
hospitals may be disaggregating their
raw HCAHPS data to compare, assess,
and incentivize individual physicians,
nurses and other hospital staff. We
further stated that some hospitals may
be using the HCAHPS survey to assess
their emergency and outpatient
departments. We stated that the
HCAHPS survey was never intended to
be used in any of these ways.
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In the CY 2017 OPPS/ASC final rule
with comment period (81 FR 79859
through 79860), we further noted that
numerous commenters had offered
support for the development of
modified questions regarding pain
management for the HCAHPS Survey
and that some commenters expressed
support for modified pain management
questions that focused on effective
communication with patients about
pain management-related issues. In
response, we stated we would follow
our standard survey development
processes, which include drafting
alternative questions, cognitive
interviews and focus group evaluation,
field testing, statistical analysis,
stakeholder input, the Paperwork
Reduction Act, and NQF endorsement
(81 FR 79856).
We continue to believe that pain
control is an appropriate part of routine
patient care that hospitals should
manage and is an important concern for
patients, their families, and their
caregivers. It is important to note that
the HCAHPS Survey does not specify
any particular type of pain control
method. In addition, appropriate pain
management includes communication
with patients about pain-related issues,
setting expectations about pain, shared
decision-making, and proper
prescription practices. However, due to
some potential confusion about the
appropriate use of the Pain Management
dimension questions in the Hospital
VBP Program and the public health
concern about the ongoing prescription
opioid overdose epidemic, in an
abundance of caution, we finalized
removal of the Pain Management
dimension of the HCAHPS Survey in
the Patient- and Caregiver-Centered
Experience of Care/Care Coordination
domain of the Hospital VBP Program
beginning with the FY 2018 program
year (81 FR 79862).
Subsequently, out of an abundance of
caution and in the face of a nationwide
epidemic of opioid over-prescription, in
the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38328 through 38342), we
finalized a refinement to the HCAHPS
Survey measure as used in the Hospital
IQR Program by removing the same pain
management questions.
b. Proposal To Refine the HCAHPS
Survey by Removing the Existing Pain
Management Questions
We are proposing to refine the
HCAHPS Survey used in the PCHQR
Program by removing the three Pain
Management questions beginning with
October 1, 2019 discharges. As
discussed in the CY 2019 OPPS/ASC
final rule with comment period (83 FR
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59141), some hospitals have identified
patient experience of care as a potential
source of competitive advantage, and
stakeholders have also informed CMS
that some hospitals may be
disaggregating their raw HCAHPS
Survey data to compare, assess, and
incentivize individual physicians,
nurses, and other hospital staff. While
this issue was raised in regard to acute
care facilities, we are concerned that
similar activity might be occurring in
PCHs because the incentives to improve
patient experience exist across care
settings.
We are also concerned about potential
confusion about the appropriate use of
the pain management questions in the
PCHQR Program, given the public
health concern about the ongoing
prescription opioid overdose epidemic,
and believe that removing the pain
management questions would eliminate
any such potential misuse. We note that
the HCAHPS Quality Assurance
Guidelines,582 which set forth current
survey administration protocols,
strongly discourage the unofficial use of
HCAHPS scores for comparisons within
hospitals, such as for comparisons of
particular wards, floors, and individual
staff hospital members.
While we recognize the importance of
being able to provide performance
results within the context of pain
management for cancer patients, we also
note that pain items in generic patient
experience surveys (for example,
HCAHPS) have limitations when
implemented. As noted above, many
factors outside the control of CMS
quality program requirements may
contribute to the perception of a link
between the pain management questions
and opioid prescribing practices,
including misuse of the HCAHPS
Survey (for example, using it for
outpatient emergency room care instead
of inpatient care, or using it for
determining individual physician
performance), and failure to recognize
that the HCAHPS Survey excludes
certain populations from the sampling
frame (such as those with a primary
substance use disorder diagnosis).
Further, in its draft final report, the
President’s Commission on Combatting
Drug Addiction and the Opioid Crisis
recommended removal of the HCAHPS
Pain Management questions in order to
ensure providers are not incentivized to
offer opioids to raise their HCAHPS
Survey score.583 We believe that all of
582 HCAHPS Quality Assurance Guidelines
(v.13.0), available at: https://www.hcahpsonline.org/
en/quality-assurance/.
583 President’s Commission on Combating Drug
Addiction and the Opioid Crisis draft report,
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these issues support the removal of the
pain management questions in the
HCAHPS survey used by PCHs.
We also believe that the removal of
the questions will promote
programmatic alignment with both the
Hospital IQR Program and the Hospital
VBP Program. Accordingly, we are
proposing to remove the Pain
Management questions from the version
of the HCAHPS Survey currently
implemented in the PCHQR Program,
beginning with the October 1, 2019
discharges. If finalized as proposed, this
would result in the reduction of the
number of HCAHPS Survey questions
from 32 to 29. We note that this
proposed change would not impact how
scores are calculated for the remainder
of the survey and would not have a
significant effect on the reliability of the
HCAHPS Survey instrument as a whole.
We also are proposing to not publicly
report the data collected on the Pain
Management questions beginning with
October 2018 discharges in order to
address the potential misunderstanding
associated with these questions as soon
as possible. While the data will not be
publicly reported, we still plan to
provide performance results to PCHs in
confidential preview reports upon the
availability of four quarters of CY 2018
data, as early as July 2019.
3. Measure Retention and Removal
Factors for the PCHQR Program
a. Measure Retention Factors
We generally retain measures from the
previous year’s PCHQR Program
measure set for subsequent years’
measure sets, except when we
specifically propose to remove or
replace a measure. We have also
recognized that there are times when
measures may meet one or more of the
outlined criteria for removal from the
program but continue to bring value to
the program. Therefore, we adopted the
following factors for consideration in
determining whether to retain a measure
in the PCHQR Program, which also are
based on factors established in the
Hospital IQR Program (81 FR 57182
through 57183):
• Measure aligns with other CMS and
HHS policy goals;
• Measure aligns with other CMS
programs, including other quality
reporting programs; and
• Measure supports efforts to move
PCHs towards reporting electronic
measures.
available at: https://www.whitehouse.gov/sites/
whitehouse.gov/files/images/Final_Report_Draft_
11-15-2017.pdf.
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We are not proposing any changes to
these measure retention factors in this
proposed rule.
b. Measure Removal Factors
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41609 through 41611), we
discussed our existing measure removal
factors for the PCHQR Program.584 We
note that these factors are based on
factors adopted for the Hospital IQR
Program (81 FR 57182 through 57183;
83 FR 41540 through 41544). We also
adopted a new measure removal factor,
for a total of eight measure removal
factors:
• Factor 1. Measure performance
among PCHs is so high and unvarying
that meaningful distinctions and
improvements in performance can no
longer be made (that is, ‘‘topped-out’’
measures): Statistically
indistinguishable performance at the
75th and 90th percentiles; and truncated
coefficient of variation ≤0.10;
• Factor 2. A measure does not align
with current clinical guidelines or
practice;
• Factor 3. The availability of a more
broadly applicable measure (across
settings or populations) or the
availability of a measure that is more
proximal in time to desired patient
outcomes for the particular topic;
• Factor 4. Performance or
improvement on a measure does not
result in better patient outcomes;
• Factor 5. The availability of a
measure that is more strongly associated
with desired patient outcomes for the
particular topic;
• Factor 6. Collection or public
reporting of a measure leads to negative
unintended consequences other than
patient harm;
• Factor 7. It is not feasible to
implement the measure specifications;
and
• Factor 8. The costs associated with
a measure outweigh the benefit of its
continued use in the program.
We are not proposing any changes to
these measure removal factors in this
proposed rule.
4. Proposed Removal of the Web-Based
Structural Measure: External Beam
Radiotherapy (EBRT) for Bone
Metastases From the PCHQR Program
Beginning With the FY 2022 Program
Year
In this proposed rule, we are
proposing to remove the External Beam
584 We note that we previously referred to these
factors as ‘‘criteria’’ (for example, 81 FR 57182
through 57183); we now use the term ‘‘factors’’ to
align the PCHQR Program terminology with the
terminology we use in other CMS quality reporting
and pay for performance value-based purchasing
programs.
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Radiotherapy (EBRT) for Bone
Metastases (formerly NQF #1822) 585
measure from the PCHQR Program
beginning with the FY 2022 program
year, based on removal Factor 8: The
costs associated with a measure
outweigh the benefit of its continued
use in the program.
a. Background
We adopted the EBRT measure
beginning with the FY 2017 program
year (October 1, 2015) in the FY 2015
IPPS/LTCH PPS final rule (79 FR 50278
through 50279). The EBRT measure
reports the percentage of patients,
regardless of age, with a diagnosis of
painful bone metastases and no history
of previous radiation who receive EBRT
with an acceptable fractionation scheme
as defined by the guideline.
When the EBRT measure was adopted
into the PCHQR Program, it initially
used ‘‘radiation planning’’ current
procedural terminology (CPT) codes that
were billable at the physician level.
After finalizing the measure, we learned
that at least one of the 11 PCHs did not
have access to physician billing data,
making reporting complete data on this
measure unduly burdensome and
difficult. To address this issue,
beginning in March 2016, the measure
was updated in the PCHQR Program to
enable the use of ‘‘radiation delivery’’
CPT codes, which are billable at the
hospital level.586
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b. Analysis of Measure Use
After implementation of the updated
EBRT measure in the PCHQR Program,
the measure steward conducted testing
of data collection of the updated
measure in the outpatient setting and
discovered that there are new and
significant concerns regarding the
revised ‘‘radiation delivery’’ CPT coding
used to report the EBRT measure.
Although this testing was done in the
outpatient setting, we believe that the
issues with the measure that were
identified in the outpatient setting
similarly affect the inpatient cancer
hospital community, as PCHs need to
take the same steps as hospital
outpatient departments (HOPDs) to
report the measure using ‘‘radiation
delivery’’ CPT codes. In particular, the
measure steward has observed that
585 This measure was initially endorsed by NQF,
with corresponding measure number 1822. This
measure lost its NQF endorsement in March 2018.
National Quality Forum Cancer Project Final
Report—Spring 2018. Available at: https://
www.qualityforum.org/Publications/2018/08/
Cancer_Final_Report_-_Spring_2018_Cycle.aspx.
586 2018 EBRT Measure Information Form.
Retrieved from: https://www.qualitynet.org/dcs/
ContentServer?cid=1228774479863&pagename=
QnetPublic%2FPage%2FQnetTier4&c=Page.
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implementing the updated measure in
the outpatient setting has proven to be
very burdensome on hospitals. The use
of ‘‘radiation delivery’’ CPT codes
requires more complicated measure
exclusions to be used because the
change to ‘‘radiation delivery’’ CPT
codes caused the administration of
EBRT to different anatomic sites to be
considered separate cases for this
measure. Because there is no way to
determine the different anatomic sites
until detailed review of the patient’s
record is complete, sampling has
become a significant concern, and
confounded the task of determining
which sites should be included or
excluded from the measure
denominator. In addition, hospitals
have difficulty determining if sample
size requirements for the measure are
being met. As a result, we believe that
the complexity of reporting this measure
places substantial administrative burden
on hospitals.
We also note that the measure lost
NQF endorsement in 2018 and that the
measure steward is no longer
maintaining the measure or seeking
NQF re-endorsement. As a result,
especially because the steward is no
longer maintaining the measure, we no
longer believe that we can ensure that
the measure is in line with clinical
guidelines and standards, which further
diminishes the value of the measure.
c. Summary
Ultimately, we believe the burden
associated with the measure outweighs
the value of its inclusion in the PCHQR
Program. We are proposing, under
removal Factor 8, to remove the EBRT
measure from the PCHQR Program
beginning with the FY 2022 program
year.
5. Proposed New Quality Measure
Beginning With the FY 2022 Program
Year
a. Considerations in the Selection of
Quality Measures
Under current policy, we take many
principles into consideration when
developing and selecting measures for
the PCHQR Program, and many of these
principles are modeled on those we use
for measure development and selection
under the Hospital IQR Program. In
section I.A.2. of the preamble of the FY
2019 IPPS/LTCH PPS final rule (83 FR
41147 through 41148), we also discuss
our Meaningful Measures Initiative and
its relation to how we will assess and
select quality measures for the PCHQR
Program.
Section 1866(k)(3)(A) of the Act
requires that any measure specified by
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19503
the Secretary must have been endorsed
by the entity with a contract under
section 1890(a) of the Act (the NQF is
the entity that currently holds this
contract). Section 1866(k)(3)(B) of the
Act provides an exception under which,
in the case of a specified area or medical
topic determined appropriate by the
Secretary for which a feasible and
practical measure has not been endorsed
by the entity with a contract under
section 1890(a) of the Act, the Secretary
may specify a measure that is not so
endorsed as long as due consideration is
given to measures that have been
endorsed or adopted by a consensus
organization.
After considering these principles for
measure selection in the PCHQR
Program, in this proposed rule, we are
proposing to adopt one new measure
beginning with the FY 2022 program
year, as described below.
b. Proposed New Quality Measure
Beginning With the FY 2022 Program
Year: Surgical Treatment Complications
for Localized Prostate Cancer
We are proposing to adopt the
Surgical Treatment Complications for
Localized Prostate Cancer measure for
the FY 2022 program year and
subsequent years.
(1) Background
Prostate cancer is the most common
non-dermatologic malignancy among
men in the United States, with an
estimated 180,000 new cases/year.587
Approximately 80 percent of patients
are diagnosed with localized disease
and therefore may be eligible for
prostate directed therapy.588 This could
involve surgical removal of the prostate,
radiation therapy, or both. The majority
of patients who undergo prostatedirected therapy survive, but these
treatments can have serious and
potentially longstanding adverse effects,
including incontinence, urinary tract
obstruction, hydronephrosis, erectile
dysfunction, urinary fistula formation,
hematuria, cystitis, bowel fistula,
proctitis/colitis, bowel bleeding,
diarrhea, rectal/anal fissure, abscess,
stricture, incision hernia, infection, or
others.589 590 Patients consistently report
587 Siegel RL, Miller KD, Jemal A. Cancer
statistics, 2016. CA: a cancer journal for clinicians.
2016;66(1):7–30.
588 Ibid.
589 Bekelman JE, Mitra N, Efstathiou J, et al.
Outcomes after intensity-modulated versus
conformal radiotherapy in older men with
nonmetastatic prostate cancer. International journal
of radiation oncology, biology, physics.
2011;81(4):e325–334.
590 Potosky AL, Warren JL, Riedel ER, Klabunde
CN, Earle CC, Begg CB. Measuring complications of
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that these adverse effects, which are
patient-centered outcomes, can have a
significant detrimental impact on their
quality of life.591 592
Clinical trials and population-based
data have been used to determine
whether different prostate-directed
treatments result in different patientcentered outcomes. These studies have
evaluated a range of prostate-directed
treatments, including open radical
prostatectomy, robot-assisted radical
prostatectomy, minimally invasive
radical prostatectomy, brachytherapy,
external beam radiation therapy,
conformal radiation therapy, intensity
modulated radiation therapy (IMRT),
and proton therapy, and have
demonstrated that some treatments are
associated with inferior patient-centered
outcomes when compared to others. A
number of these studies used Medicare
claims after therapy for prostate cancer
to identify specific outcomes.593 594 595
Very few studies have explored whether
the patient-centered outcomes
experienced after prostate-directed
therapy vary by treating facility.
However, studies of other cancers have
demonstrated that outcomes can vary by
treating facility. For example, operative
mortality after major cancer surgery
varies inversely with hospital
volume.596
In recognition of the potential impact
of this variation, the Surgical Treatment
Complications for Localized Prostate
Cancer measure was developed. This
measure is based on the Localized
Prostate Cancer Standard Set (the
Standard Set) developed by the
International Consortium for Health
cancer treatment using the SEER-Medicare data.
Medical care. 2002;40(8 Suppl):IV–62–68.
591 Aizer AA, Gu X, Chen MH, et al. Cost
implications and complications of overtreatment of
low-risk prostate cancer in the United States.
Journal of the National Comprehensive Cancer
Network. 2015; 13(1):61–68.
592 Hayes JH, Ollendorf DA, Pearson SD, et al.
Active surveillance compared with initial treatment
for men with low-risk prostate cancer: a decision
analysis. JAMA. 2010; 304(21):2373–2380.
593 Schmid M, Meyer CP, Reznor G, et al acial
Differences in the Surgical Care of Medicare
Beneficiaries With Localized Prostate Cancer. JAMA
oncology. 2016; 2(1):85–93.
594 Jiang R, Tomaszewski JJ, Ward KC, Uzzo RG,
Canter DJ. The burden of overtreatment: comparison
of toxicity between single and combined modality
radiation therapy among low risk prostate cancer
patients. The Canadian journal of urology. 2015;
22(1):7648–7655.
595 Loeb S, Carter HB, Berndt SI, Ricker W,
Schaeffer EM. Complications after prostate biopsy:
data from SEER-Medicare. The Journal of urology.
2011; 186(5):1830–1834.
596 Begg CB, Cramer LD, Hoskins WJ, Brennan
MF. Impact of hospital volume on operative
mortality for major cancer surgery. JAMA. 1998;
280(20):1747–1751.
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Outcome Measurement (ICHOM).597
The Standard Set is a conceptual
framework that is supported by a
rigorous, evidence-based consensus
approach to identify the outcomes that
matter most to prostate cancer patients.
The Localized Prostate Cancer Standard
Set recommends key outcomes that
should be measured to improve the lives
of patients with localized prostate
cancer. We believe that this measure is
in line with the Standard Set
framework, which recommends
measuring complications of prostatedirected surgical treatments. We believe
the Surgical Treatment Complications
for Localized Prostate Cancer measure
would add value to the PCHQR Program
measure set, as discussed in detail
below.
(2) Overview of Measure
The Surgical Treatment
Complications for Localized Prostate
Cancer measure addresses
complications of a prostatectomy. The
outcomes selected for this measure are
urinary incontinence (UI) and erectile
dysfunction (ED). Specifically, the
measure uses claims to identify urinary
incontinence and erectile dysfunction
among patients undergoing localized
prostate cancer surgery and uses this
information to derive hospital-specific
rates. A strong body of literature,
including numerous recent systematic
reviews, have demonstrated the burden
of UI and ED for men following
localized prostate surgery and
ED.598 599 600 601 602 By identifying
facilities where adverse outcomes
associated with prostatectomy are more
597 Localized Prostate Cancer Standard Set,
available at: https://www.ichom.org/medicalconditions/localized-prostate-cancer/.
598 Garcia-Baquero R, Fernandez-Avila CM,
Alvarez-Ossorio JL. Functional results in the
treatment of localized prostate cancer. An updated
literature review. Rev Int Androl. 2018 Nov 22. pii:
S1698–031X(18)30085–2.
599 Du Y, Long Q, Guan B, Mu L, Tian J, Jiang Y,
Bai X, Wu D. Robot-Assisted Radical Prostatectomy
Is More Beneficial for Prostate Cancer Patients: A
System Review and Meta-Analysis. Med Sci Monit.
2018 Jan 14;24:272–287.
600 Wang X, Wu Y, Guo J, Chen H, Weng X, Liu
X. Intrafascial nerve-sparing radical prostatectomy
improves patients’ postoperative continence
recovery and erectile function: A pooled analysis
based on available literatures. Medicine (Baltimore).
2018 Jul; 97(29):e11297.
601 Wallis CJD, Glaser A, Hu JC, Huland H,
Lawrentschuk N, Moon D, Murphy DG, Nguyen PL,
Resnick MJ, Nam RK. Survival and Complications
Following Surgery and Radiation for Localized
Prostate Cancer: An International Collaborative
Review. Eur Urol. 2018 Jan; 73(1):11–20.
602 Huang X, Wang L, Zheng X, Wang X.
Comparison of perioperative, functional, and
oncologic outcomes between standard laparoscopic
and robotic-assisted radical prostatectomy: a
systemic review and meta-analysis. Surg Endosc.
2017 Mar; 31(3):1045–1060.
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common, this measure will help to
highlight opportunities for quality
improvement activities that will address
and hopefully mitigate unwarranted
variation in prostatectomy procedures.
The proposed measure would be
calculated using information from
Medicare fee-for-service (FFS) claims,
resulting in no new data reporting for
PCHs. We would publicly report the
measure results to enable patients to
make informed decisions about
accessing localized prostate surgery and
about the rates of potential
complications. We will identify a
specified timeframe for public reporting
of this measure in future rulemaking. In
addition, we note that there are
currently no measures assessing
complications of prostate surgery in the
PCHQR Program measure set.
(3) Data Sources
We are proposing that we would
calculate this measure on a yearly basis
using Medicare administrative claims
data. Specifically, we are proposing that
the data collection period for each
program year would span from July 1 of
the year 2 years prior to the start of the
program year to June 30 of the year 1
year prior to the start of the program
year. Therefore, for the FY 2022
program year, we would begin
calculating measure rates using PCH
claims data from July 1, 2019 through
June 30, 2020.
During the development of the
measure, the measure steward convened
a technical expert panel (TEP),
comprising diverse clinical and quality
measurement experts from the 11 PPSexempt cancer hospitals, in 2016. We
note that the TEP endorsed the ICHOM’s
recommendation to measure prostatedirected surgical treatment
complication. Because the measure
methodology assesses complications
pre-surgery and post-surgery directed to
the prostate, this necessitates the
availability of claims data. In order to
examine data collection burden and
data reliability, the TEP requested an
analysis of using Medicare claims to
assess treatment complications in the
ICHOM standard set. For this purpose,
a SEER-Medicare dataset 603 was used to
validate Medicare claims data. SEER
datasets are commonly considered ‘‘gold
standard’’ data for cancer stage and
other clinical characteristics, and are
often used to validate Medicare claims
data, which are lacking in these details.
The results of this analysis showed that
the claims-based algorithm used by the
603 SEER-Medicare Dataset. Available at: https://
healthcaredelivery.cancer.gov/seermedicare/
overview/.
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measure could successfully identify
patients with prostate cancer, thereby
substantiating the use of Medicare
claims as the data source for this
measure.
(4) Measure Calculation
This outcome measure analyzes
hospital/facility-level variation in
patient-relevant outcomes during the
year after prostate-directed surgery.
Specifically, the measure uses claims to
identify urinary incontinence and
erectile dysfunction among patients
undergoing localized prostate cancer
surgery and uses this information to
derive hospital-specific rates. Those
outcomes are rescaled to a 0–100 scale,
with 0=worst and 100=best. The
numerator includes patients with
diagnosis claims that could indicate
adverse outcomes following prostatedirected surgery. The numerator is
determined by: (1) Calculating the
difference in the number of days with
claims for incontinence or erectile
dysfunction in the year after versus the
year before prostate surgery for each
patient; (2) truncating (by Winsorizing)
to reduce the impact of outliers; (3)
rescaling the difference from 0 (worst) to
100 (best); and (4) calculating the mean
score for each hospital based on all of
the difference values for all of the
patients treated at that hospital. The
denominator is determined by the
following: Men age 66 or older at the
time of prostate cancer diagnosis with at
least two ICD diagnosis codes for
prostate cancer separated by at least 30
days; men who survived at least one
year after prostate directed therapy;
codes for prostate cancer surgery (either
open or minimally invasive/robotic
prostatectomy) at any time after the first
prostate cancer diagnosis; and
continuous enrollment in Medicare
Parts A and B (and no Medicare Part C
(Medicare Advantage) enrollment)) from
one year before through one year after
prostate directed therapy. The measure
code lists include all codes required for
the numerator and denominator
calculation.604
The proposed measure excludes
patients with metastatic disease,
patients with more than one
nondermatologic malignancy, patients
receiving chemotherapy, patients
receiving radiation, and/or patients who
die within 1 year after prostatectomy.
We note that the validity of this measure
would be threatened by inclusion of
patients who did not meet the
604 2018–2019 Measure Applications Partnership
Workgroup Final Recommendations Excel
spreadsheet. Available at: https://
www.qualityforum.org/Project_Pages/MAP_
Hospital_Workgroup.aspx.
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denominator criteria. Specifically,
patients with more than one
nondermatologic malignancy are
excluded because a second cancer
diagnosis during the measurement
period could influence the outcomes.
Further, patients receiving
chemotherapy are excluded because
guidelines for localized prostate cancers
do not recommend chemotherapy for
routine care; therefore, chemotherapy
can indicate advanced disease or other
unique clinical characteristics. Patients
receiving radiation therapy are excluded
because radiation therapy to the prostate
can impact the occurrence of
complications in these patients.
Therefore, the impact of the surgery
versus the radiation therapy in these
patients cannot be determined. Lastly,
patients who die within 1 year after
prostatectomy are excluded because
death is highly unlikely to be related to
localized prostate cancer and unlikely to
be related to the surgical complications.
Thus, patients who die within the year
following surgery likely die from an
unrelated reason. As such, the measure
will be calculated as the numerator
divided by the denominator (in
accordance with the denominator
exclusions described above). Complete
measure specifications for the proposed
measure are available in the ‘‘2018
Measures Under Consideration List’’
Excel file, which can be accessed at:
https://www.qualityforum.org/map/.
(5) Cohort
This measure includes adult male
Medicare FFS beneficiaries, age 66 years
and older, who have received prostate
cancer directed surgery within the
defined measurement period. We note
that this measure cohort was
determined in accordance with the
defined measure denominator and its
specified exclusions (discussed above)
and based on testing conducted on the
minimum number of patients attributed
to the hospital associated with the
claims for the procedure code for
prostatectomy. The age of 66 at the time
of prostate cancer diagnosis was chosen
because per the denominator, a patient
must have had Medicare claims data for
1 year prior to and 1 year after surgery.
Additional methodology and measure
development details are available in the
‘‘2018 Measures Under Consideration
List,’’ which can be accessed at: https://
www.qualityforum.org/map/.
(6) Risk Adjustment
The measure steward developed a
mock risk-adjustment testing protocol
based on the case-mix variables
identified in the ICHOM data
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19505
dictionary,605 and TEP guidance.
Specifically, the measure steward
identified covariates that could be
incorporated for potential riskadjustment modeling. The covariates
were not limited to those available in
claims data; clinical covariates were
also identified for analysis from SEER to
determine adequacy of claims alone for
valid measurement. Specifically, the
following patient factors were
controlled for when deriving the
patient-level complication score: Age;
year of surgery; other/unknown prostate
cancer grade; and prostatectomy type.
Hierarchical linear modeling was used
to identify which patient, tumor, and
hospital factors are associated with a
higher IED score. After review of the
results of the mock risk-adjustment
testing efforts, it was determined that
risk adjusting the measure did not yield
results that demonstrate any statistically
significant differences from the nonrisk-adjusted results. The measure
steward analyzed the correlation
between the unadjusted performance
scores and risk-adjusted performance
scores, and observed that the correlation
coefficients were above 95 percent in
both analyses. Consequently, the
measure steward elected to finalize the
development of the measure without the
implementation of a risk-adjustment
model.
(7) Measure Application Partnership
(MAP) Assessment of the Proposed
Measure
In compliance with section
1890A(a)(2) of the Act, the proposed
measure was included on a publicly
available document entitled ‘‘2018
Measures under Consideration
Spreadsheet,’’ 606 a list of quality and
efficiency measures under consideration
for use in various Medicare programs,
and was reviewed by the MAP Hospital
Workgroup. The MAP noted the
importance of patient-relevant outcomes
for patients who have undergone
surgical treatment for prostate care, but
encouraged CMS to resubmit the
measure once the measure developer
has better streamlined the reliability and
validity testing methodologies.607
605 International Consortium for Health Outcomes
Measurement (ICHOM) in the Localized Prostate
Cancer Standard Set. https://www.ichom.org/
medical-conditions/localized-prostate-cancer/.
606 Measures Application Partnership ‘‘2018
measures Under Consideration Spreadsheet.’’
Available at: https://www.qualityforum.org/
WorkArea/linkit.aspx?LinkIdentifier=id&
ItemID=88813.
607 MAP 2019 Considerations for Implementing
Measures, Final Report. Available at: https://
www.qualityforum.org/Publications/2019/02/
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Specifically, the MAP discussed the
differences between surgical procedures
(for example, open, closed, minimally
invasive, robotic, among others) and
recommended that non-open procedures
be grouped separately.608 The MAP also
suggested the measure be risk-adjusted
because of the concern of different rates
of complications related to how the
surgery is performed.609
In response to the concern raised by
the MAP regarding the grouping of
surgical procedures, we note that the
measure is intended to calculate one
overall facility rate for accountability
purposes. However, given the guidance
from the MAP, the steward has notified
CMS that each hospital’s performance
will be stratified by prostatectomy
procedure type (open versus not open)
to add meaning for consumers and for
hospital quality improvement. In
response to the MAP’s question of riskadjustment, we note that riskadjustment is limited for cancer patients
when using claims data (for example,
cancer stage not captured in claims
data). Despite this, we reiterate that the
steward conducted a mock riskadjustment testing protocol and
observed that risk-adjusting the measure
did not demonstrate any statistically
significant differences. As such, the
steward chose not to include the riskadjustment methodology for the
measure.
Currently, we are unaware of an
alternative quality measure assessing
this measurement topic that is
appropriate for the PCHQR Program.
This measure is not endorsed by the
NQF, and in our environmental scan of
the NQF measures portfolio, we have
not been able to identify a feasible and
practical endorsed measure that
addresses surgical procedures for
localized prostate cancer. We believe
this measure meets the requirement
under section 1866(k)(3)(B) of the Act,
which provides that in the case of a
specified area or medical topic
determined appropriate by the Secretary
for which a feasible and practical
measure has not been endorsed by the
entity with a contract under section
1890(a) of the Act, the Secretary may
specify a measure that is not so
endorsed as long as due consideration is
given to measures that have been
endorsed or adopted by a consensus
organization identified by the Secretary.
In addition, we note this measure aligns
with recent initiatives to increase the
number of outcome measures in quality
reporting programs. Lastly, this measure
also aligns with the ‘‘Make Care Safer by
Reducing Harm Caused in the Delivery
of Care’’ domain of our Meaningful
Measures Initiative,610 and would fill an
existing gap area of patient-focused
episode of care in the PCHQR Program.
dysfunction during the year after
prostate-directed surgery, which is one
of the standard treatments for localized
prostate cancer. Further, this measure
has the potential to improve patient
outcomes and decrease costs associated
with managing adverse events. By
identifying facilities where adverse
outcomes associated with prostatectomy
are more common, this measure would
help to highlight opportunities for
quality improvement that address
unwarranted variation. This will
facilitate improved compliance with
guidelines from the American Urology
Association (AUA) and other
professional societies that call for
minimizing the potential for therapyrelated adverse outcomes.611
Lastly, this measure could be utilized
as a tool to foster quality improvement
and optimize outcomes for patients with
localized prostate cancer. For the
reasons outlined above, we are
proposing to adopt the Surgical
Treatment Complications for Localized
Prostate Cancer measure for the FY 2022
program year and subsequent years.
(8) Proposed Adoption of the Surgical
Treatment Complications for Localized
Prostate Cancer Measure
c. Summary of Previously Finalized and
Proposed PCHQR Program Measures for
the FY 2022 Program Year and
Subsequent Years
We believe this measure would be a
valuable addition to the PCHQR
Program because it is a high impact (as
prostate cancer is a prevalent disease)
outcome measure and it addresses
reduction in harm. This is a hospital/
facility-level, claims-based measure that
analyzes variation in the occurrence of
incontinence and/or erectile
The table below summarizes the
PCHQR Program measure set for the FY
2022 program year if we finalized our
proposal to remove the External Beam
Radiotherapy (EBRT) for Bone
Metastases measure and our proposal to
adopt the proposed Surgical Treatment
Complications for Localized Prostate
Cancer measure.
FY 2022 PCHQR PROGRAM MEASURE SET IF PROPOSALS TO REMOVE ONE MEASURE AND ADOPT ONE MEASURE ARE
FINALIZED
Short name
NQF No.
Measure name
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Safety and Healthcare-Associated Infection (HAI)
CAUTI ............................
CLABSI ..........................
HCP ...............................
0138
0139
0431
Colon and Abdominal
Hysterectomy SSI.
0753
MRSA .............................
1716
CDI .................................
1717
Catheter-associated Urinary Tract Infection (CAUTI) Outcome Measure.
Central Line-associated Bloodstream Infection (CLABSI) Outcome Measure.
National Healthcare Safety Network (NHSN) Influenza Vaccination Coverage Among Healthcare
Personnel.
American College of Surgeons—Centers for Disease Control and Prevention (ACS–CDC) Harmonized Procedure Specific Surgical Site Infection (SSI) Outcome Measure [currently includes
SSIs following Colon Surgery and Abdominal Hysterectomy Surgery].
National Healthcare Safety Network (NHSN) Facility-wide Inpatient Hospital-onset
Methicillin-resistant Staphylococcus aureus Bacteremia Outcome Measure.
National Healthcare Safety Network (NHSN) Facility-wide Inpatient Hospital-onset Clostridium
difficile Infection (CDI) Outcome Measure.
Clinical Process/Oncology Care Measures
EOL-Chemo ...................
EOL-Hospice ..................
0210
0215
MAP_2019_Considerations_for_Implementing_
Measures_Final_Report_-_Hospitals.aspx.
608 Ibid.
609 Ibid.
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Proportion of Patients Who Died from Cancer Receiving Chemotherapy in the Last 14 Days of Life.
Proportion of Patients Who Died from Cancer Not Admitted to Hospice.
610 Overview of CMS ‘‘Meaningful Measures’’
Initiative. Available at: https://www.cms.gov/
Newsroom/MediaReleaseDatabase/Press-releases/
2017-Press-releases-items/2017-10-30.html.
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611 Prostate Cancer Clinical Guidelines. Available
at: https://www.auanet.org/guidelines/clinicallylocalized-prostate-cancer-new-(aua/astro/suoguideline-2017.
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FY 2022 PCHQR PROGRAM MEASURE SET IF PROPOSALS TO REMOVE ONE MEASURE AND ADOPT ONE MEASURE ARE
FINALIZED—Continued
Short name
NQF No.
N/A .................................
0383
Measure name
Oncology: Plan of Care for Pain—Medical Oncology and Radiation Oncology.
Intermediate Clinical Outcome Measures
EOL–ICU ........................
EOL–3DH .......................
0213
0216
Proportion of Patients Who Died from Cancer Admitted to the ICU in the Last 30 Days of Life.
Proportion of Patients Who Died from Cancer Admitted to Hospice for Less Than Three Days.
Patient Engagement/Experience of Care
HCAHPS ........................
0166
Hospital Consumer Assessment of Healthcare Providers and Systems.
Claims Based Outcome Measures
N/A .................................
N/A
N/A .................................
N/A* ................................
3188
N/A
Admissions and Emergency Department (ED) Visits for Patients Receiving Outpatient Chemotherapy.
30-Day Unplanned Readmissions for Cancer Patients.
Surgical Treatment Complications for Localized Prostate Cancer Measure.
* Measure proposed for adoption for the FY 2022 program year and subsequent years.
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6. Possible New Quality Measure Topics
for Future Years
a. Background
As discussed in section I.A.2. of the
preamble of the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41147 through
41148), we have begun analyzing our
quality reporting and quality payment
programs’ measures using the
framework we developed for the
Meaningful Measures Initiative. We
have also discussed future quality
measure topics and quality measure
domain areas in the FY 2015 IPPS/
LTCH PPS final rule (79 FR 50280), the
FY 2016 IPPS/LTCH PPS final rule (80
FR 4979), the FY 2017 IPPS/LTCH PPS
final rule (81 FR 25211), the FY 2018
IPPS/LTCH PPS final rule (82 FR 38421
through 38423), and the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41618
through 41621).
In this proposed rule, we are again
seeking public comment on the topics
we should consider for quality
measurement in the PCHQR Program.
We are particularly interested in public
comments on measures that could
balance the need to assess pain
management against efforts to ensure
that providers are not incentivized to
overprescribe opioids to patients in the
PCH setting. We also are seeking public
comment on potential future measures
that could assess alternative pain
management methodologies for cancer
patients.
b. Overview of Pain Management Issues
and Request for Comments on Pain
Management Measures and
Measurement Concepts for the Cancer
Patient Population
As discussed earlier, we are proposing
to remove the current pain management
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questions from the version of the
HCAHPS Survey implemented in the
PCHQR Program beginning with
October 1, 2019 discharges in order to
avoid any potential unintended
consequences related to the perception
that providers may be incentivized to
overprescribe opioids to cancer patients.
The opioid epidemic is a national crisis,
and we are interested in the feasibility
of adopting quality measures that
examine a PCH’s utilization of pain
management strategies other than opioid
prescriptions when furnishing care to its
patients. We recognize that unintended
opioid overdose fatalities have reached
epidemic proportions in the last 20
years and are a major public health
concern in the United States.612 As
such, reducing the number of
unintended opioid overdoses is a
priority for HHS. Concurrent
prescriptions of opioids or opioids and
benzodiazepines put patients at greater
risk of unintended opioid overdose due
to increased risk of respiratory
depression.613 614 In addition, an
analysis of more than 1 million hospital
admissions in the United States found
that over 43 percent of all patients with
nonsurgical admissions were exposed to
multiple opioids during their
612 Rudd, R., Aleshire, N., Zibbell, J., et al.
‘‘Increases in Drug and Opioid Overdose Deaths—
United States, 2000–2014.’’ MMWR, Jan 2016.
64(50);1378–82. Available at: https://www.cdc.gov/
mmwr/preview/mmwrhtml/mm6450a3.htm.
613 Dowell, D., Haegerich, T., Chou, R. ‘‘CDC
Guideline for Prescribing Opioids for Chronic
Pain—United States, 2016.’’ MMWR Recomm Rep
2016;65. Available at: https://www.cdc.gov/media/
dpk/2016/dpk-opioid-prescription-guidelines.html.
614 Jena, A., et al. ‘‘Opioid prescribing by multiple
providers in Medicare: retrospective observational
study of insurance claims.’’ BMJ. 2014; 348:g1393
doi: 10.1136/bmj.g1393. Available at: https://
www.bmj.com/content/348/bmj.g1393.
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hospitalization.615 As such, we believe
that it is imperative to not inadvertently
support the over-prescription of opioids
by promoting opioids as a primary pain
management remedy for cancer patients.
In conjunction with that, we also
recognize the need to be responsive to
the unique needs of the cancer patient
cohort by continually examining the
quality measurement landscape for
quality measures that balance pain
management with efforts to address the
opioid epidemic.
We recognize the importance of
including quality measures that
adequately assess cancer patient pain
and quality measures that assess a
PCH’s use of alternative pain
management methodologies. We believe
that these types of measures can assess
critical components of cancer care.
Studies examining the frequency and
quality of cancer pain management
show room for improvement in these
areas—for example, a systematic review
revealed that, despite a 25-percent
decrease in under-treatment of cancer
pain between 2007 and 2013,
approximately one-third of patients
living with cancer still have pain that is
inadequately treated.616 Further,
postsurgical complications related to
inadequate pain management negatively
affect patient welfare and hospital
performance because of extended
lengths of stay and readmissions, both
615 Herzig, S., Rothberg, M., Cheung, M., et al.
‘‘Opioid utilization and opioid-related adverse
events in nonsurgical patients in U.S. hospitals.’’
Nov 2013. DOI: 10.1002/jhm.2102. Available at:
https://onlinelibrary.wiley.com/doi/10.1002/
jhm.2102/abstract.
616 Optimal Pain Management for Patients with
Cancer in the Modern Era. Available at: https://
onlinelibrary.wiley.com/doi/full/10.3322/
caac.21453.
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of which increase the cost of care.617
This raises concern in the context of the
patient safety issues related to pain
management (that is, a patient’s
physical safety during the
administration of sedatives and
complications associated with catheter
administration).618 In addition, patients
who have not been treated adequately
for pain management may be reluctant
to seek medical care for other health
problems.619
On August 7, 2018, the Alliance of
Dedicated Cancer Centers,620 which is a
consortium of cancer hospitals that
includes among its members 10 of the
11 participating PCHs for the PCHQR
Program, convened a group of expert
stakeholders to discuss and provide
recommendations regarding best
practices for the future of pain
measurement among cancer patients,
within the context of the opioid crisis in
the United States. Participants included
cancer patient advocates, clinicians,
researchers, and health care quality
professionals. The participants
discussed the pros and cons of various
methods to collect and report
performance measures related to cancer
pain and cancer pain management. The
participants acknowledged the
importance of addressing the national
opioid crisis. However, for cancer
patients specifically, the participants
unanimously supported ongoing painrelated quality measurement. Further,
the participants indicated that the
relatively high prevalence of pain
symptoms in the cancer patient
population,621 particularly in patients
with advanced disease or metastatic
cancer, underscores the need for
feasible, valid, and reliable pain
measures. They also added that pain
assessment offers clinicians the greatest
utility when the information collected
can be used to identify personalized
pain management goals for patients.
Further, we are aware of the existence
of other cancer-specific, non-survey,
patient experience assessment tools that
evaluate cancer patient pain and may be
more appropriate than the HCAHPS
Survey pain questions which we are
proposing to remove in this proposed
rule. As such, we believe there should
617 Patient Safety and Quality: An Evidence-Based
Handbook for Nurses. Available at: https://
www.ncbi.nlm.nih.gov/books/NBK2658/.
618 Ibid.
619 Ibid.
620 Alliance of Dedicate Cancer Centers website:
https://www.adcc.org/.
621 National Quality Forum. Patient Reported
Outcomes (PROs) in Performance Measurement.
Available at: https://www.qualityforum.org/
Publications/2012/12/Patient-Reported_Outcomes_
in_Performance_Measurement.aspx. Published
December 2012.
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be consideration given to the use of
pain-related patient experience items for
cancer patients, with a shifting focus
toward Patient-Reported Outcome
(PRO)-Performance Measures (PRO–
PMs) in the mid and longer term (for
example, 3 years, 5 years). Specifically,
a growing body of research
demonstrates the benefits of integration
of PROs into oncology practice,
including improved patient outcomes
and survival.622 623
Accordingly, we are seeking public
comment on measures and
measurement concepts that can be
further developed that would assess
appropriate pain management in the
cancer patient population. Specific
topics could include measures that
assess cancer patient safety, patient and
family education, and patient
experience and engagement (specifically
PRO–PMs) in the context of cancer pain
management. We are inviting public
comment on the potential future
adoption of measures that assess posttreatment addiction prevention for
cancer patients. Lastly, we are inviting
public comment on existing measures or
measurement concepts that evaluate
pain management for cancer patients,
and do not involve opioid use.
7. Maintenance of Technical
Specifications for Quality Measures
We maintain technical specifications
for the PCHQR Program measures, and
we periodically update those
specifications. The specifications may
be found on the QualityNet website at:
https://qualitynet.org/dcs/Content
Server?c=Page&pagename=
QnetPublic%2FPage%2FQnetTier2&
cid=1228774479863.
We also use a subregulatory process to
make nonsubstantive updates to
measures used for the PCHQR Program
(79 FR 50281).
8. Public Display Requirements
a. Background
Under section 1866(k)(4) of the Act,
we are required to establish procedures
for making the data submitted under the
PCHQR Program available to the public.
Such procedures must ensure that a
PCH has the opportunity to review the
data that are to be made public with
respect to the PCH prior to such data
being made public. Section 1866(k)(4) of
the Act also provides that the Secretary
622 Basch E, Deal AM, Dueck AC, et al. Overall
Survival Results of a Trial Assessing PatientReported Outcomes for Symptom Monitoring
During Routine Cancer Treatment. JAMA. 2017;
318(2):197–198. doi:10.1001/jama.2017.7156.
623 Denis, F et al. Patient-Reported Outcomes,
Mobile Technology, and Response Burden. 2018
ASCO Annual Meeting. Abstract No: 6500.
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must report quality measures of process,
structure, outcome, patients’ perspective
on care, efficiency, and costs of care that
relate to services furnished in such
hospitals on the CMS website.
In the FY 2017 IPPS/LTCH PPS final
rule (81 FR 57191 through 57192), we
finalized that although we would
continue to use rulemaking to establish
what year we first publicly report data
on each measure, we would publish the
data as soon as feasible during that year.
We also stated that our intent is to make
the data available on at least a yearly
basis, and that the time period for PCHs
to review their data before the data are
made public would be approximately 30
days in length. We announce the exact
data review and public reporting
timeframes on a CMS website and/or on
our applicable Listservs.
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41623) and the CY 2019
OPPS/ASC final rule with comment
period (83 FR 59149 through 59153), we
finalized our public display
requirements for the FY 2021 program
year.
We recognize the importance of being
transparent with stakeholders and
keeping them abreast of any changes
that arise with the PCHQR Program
measure set. As such, we are making
two proposals in this proposed rule
regarding the timetable for the public
display of data for specific PCHQR
Program measures.
b. Proposed Public Display of the
Admissions and Emergency Department
(ED) Visits for Patients Receiving
Outpatient Chemotherapy Measure
Beginning With CY 2020
We are proposing to begin public
reporting of the Admissions and
Emergency Department (ED) Visits for
Patients Receiving Outpatient
Chemotherapy measure in CY 2020. In
the FY 2017 IPPS/LTCH PPS final rule
(81 FR 57187), we stated that we would
publicly report the risk-standardized
admission rate (RSAR) and riskstandardized ED visit rate (RSEDR) for
the Admissions and Emergency
Department (ED) Visits for the Patients
Receiving Outpatient Chemotherapy
measure for all participating PCHs with
25 or more eligible patients per
measurement period. We stated that this
threshold allowed us to maintain a
reliability of at least 0.4 for publicly
reported data (as measured by the
interclass correlation coefficient (ICC).
We also noted that if a PCH did not
meet the 25-eligible patient threshold,
we would include a footnote on the
Hospital Compare website indicating
that the number of cases is too small to
reliably measure that PCH’s rate, but
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that these patients and PCHs would still
be included when calculating the
national rates for both the RSAR and
RSEDR (81 FR 57187). To prepare PCHs
for the public reporting of this measure,
we also indicated that we would
conduct a confidential national
reporting (dry run) of measure results.
The objectives of the confidential
national reporting were to: (1) Educate
PCHs and other stakeholders about the
measure; (2) allow PCHs to review their
measure results and data prior to public
reporting; (3) answer questions from
PCHs and other stakeholders; (4) test the
production and reporting process; and
(5) identify potential technical changes
to the measure specifications that might
be needed.
We recently completed the
confidential national reporting for this
measure and have assessed the
preliminary results to ensure data
accuracy and completeness. Further, we
confidentially reported results for the
measure to the participating PCHs in
October 2018, based on Medicare claims
data that were collected on
chemotherapy treatments performed
from July 1, 2016–June 30, 2017. To
execute this confidential reporting, we
utilized facility-specific reports (FSRs),
which allow facilities to preview
measure results and patient data prior to
public reporting. The FSRs included the
following elements: Measure
performance results; national results;
detailed patient-level data used to
calculate measure results; and a
summary of each facility’s patient-mix.
To ensure continuity in the observed
measure performance results, we intend
to complete a subsequent round of
confidential national reporting in the
spring of 2019, using Medicare claims
data from July 1, 2017 through June 30,
2018.
Given the success of our first round of
confidential reporting and the
associated timeline of our subsequent
round of confidential reporting, we are
proposing to begin publicly reporting
performance data on the Admissions
and Emergency Department (ED) Visits
for Patients Receiving Outpatient
Chemotherapy measure in CY 2020. We
believe that this proposed timeline
allows for more accurate assessment of
measure results and allows both CMS
and the participating PCHs adequate
time to review all the confidential
reporting results.
c. Public Display of Centers for Disease
Control and Prevention (CDC) National
Healthcare Safety Network (NHSN)
Measures
(1) Proposed Public Display of the Colon
and Abdominal Hysterectomy SSI,
MRSA, CDI and HCP Measures in CY
2019
At present, all PCHs are reporting the
CDC NHSN Healthcare-Associated
Infection (HAI) Colon and Abdominal
Hysterectomy SSI, MRSA, CDI, and HCP
data to the National Healthcare Safety
Network (NHSN) for purposes of the
PCHQR Program. We finalized in the FY
2019 IPPS/LTCH PPS final rule (83 FR
41622) that we would provide
stakeholders with performance data for
these measures as soon as practicable
(that is, we will publicly report it on the
Hospital Compare website via the next
available Hospital Compare release). In
addition, we noted that the CDC
announced that HAI data reported to the
NHSN for 2015 will be used as the new
baseline, serving as a new ‘‘reference
point’’ for comparing progress.624
Currently, these rebaselining efforts—
specifically, generation and
implementation of new predictive
models used to calculate SIRs—are
complete. As such, we are proposing to
publicly report data for the Colon and
Abdominal Hysterectomy SSI, MRSA,
CDI, and HCP measures beginning with
the October 2019 Hospital Compare
release.
(2) Continued Deferral of Public Display
of the CAUTI and CLABSI Measures
In the CY 2019 OPPS/ASC final rule
with comment period (83 FR 59149
through 59153), we finalized that we
would not remove the CatheterAssociated Urinary Tract Infection
(CAUTI) Outcome Measure (PCH–5/
NQF #0138) and the Central LineAssociated Bloodstream Infection
(CLABSI) Outcome Measure (PCH–4/
NQF #0139) from the PCHQR measure
set. We also noted that we will continue
to defer public reporting for the CAUTI
and CLABSI measures (83 FR 59153).
We are continuing to work alongside
the CDC to evaluate the performance
data for the updated, risk-adjusted
versions of the CAUTI and CLABSI
measures so that we can draw
conclusions about their statistical
significance in accordance with current
risk adjustment methods defined by
CDC. In order to allow adequate time for
data collection by the CDC, submission
of those data to CMS, and our review of
the data for accuracy and completeness,
we believe that the earliest we will be
able to publicly display information on
the revised versions of the CAUTI and
CLABSI measures will be CY 2022.
Therefore, we will continue to defer
public reporting of the CAUTI and
CLABSI measures and intend to provide
stakeholders with performance data on
the measures as soon as practicable.
d. Summary of Previously Finalized and
Proposed Public Display Requirements
for the PCHQR Program
Our previously finalized and
proposed public display requirements
for the PCHQR Program are shown in
the following table:
PREVIOUSLY FINALIZED AND PROPOSED PUBLIC DISPLAY REQUIREMENTS FOR THE PCHQR PROGRAM
[Summary of previously adopted and newly proposed public display requirements]
Measures
Public reporting
HCAHPS (NQF #0166) * ............................................................................................................................................
Oncology: Plan of Care for Pain—Medical Oncology and Radiation Oncology (NQF #0383) .................................
External Beam Radiotherapy for Bone Metastases (EBRT) (NQF #1822) ** ...........................................................
American College of Surgeons—Centers for Disease Control and Prevention (ACS–CDC) Harmonized Procedure Specific Surgical Site Infection (SSI) Outcome Measure [currently includes SSIs following Colon Surgery
and Abdominal Hysterectomy Surgery] (NQF #0753).
• National Healthcare Safety Network (NHSN) Facility-wide Inpatient Hospital-onset Methicillin-resistant Staphylococcus aureus Bacteremia Outcome Measure (NQF #1716).
• National Healthcare Safety Network (NHSN) Facility-wide Inpatient Hospital-onset Clostridium difficile Infection
(CDI) Outcome Measure (NQF #1717).
• National Healthcare Safety Network (NHSN) Influenza Vaccination Coverage Among Healthcare Personnel
(NQF #0431).
2016 and subsequent years.
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•
•
•
•
624 Centers for Disease Control and Prevention.
‘‘Paving Path Forward: 2015 Rebase line.’’ Available
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at: https://www.cdc.gov/nhsn/2015rebaseline/
index.html.
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2017 and subsequent years.
October of CY 2019.
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PREVIOUSLY FINALIZED AND PROPOSED PUBLIC DISPLAY REQUIREMENTS FOR THE PCHQR PROGRAM—Continued
[Summary of previously adopted and newly proposed public display requirements]
Measures
Public reporting
• Admissions and Emergency Department (ED) Visits for Patients Receiving Outpatient Chemotherapy .................
• CAUTI (NQF #0138) ..................................................................................................................................................
• CLABSI (NQF #0139) ................................................................................................................................................
CY 2020.
Deferred until CY 2022.
* In section VIII.B.2.b. of the preamble of this this proposed rule, we are proposing that beginning with October 2018 discharges, publicly reported data will not include responses Pain Management questions.
** In section VIII.B.4. of the preamble of this this proposed rule, we are proposing to remove this measure, beginning with the FY 2022 program year.
9. Form, Manner, and Timing of Data
Submission
a. Background
Data submission requirements and
deadlines for the PCHQR Program are
posted on the QualityNet website at:
https://www.qualitynet.org/dcs/Content
Server?c=Page&pagename=QnetPublic
%2FPage%2FQnetTier3&cid=122877
2864228.
b. Proposed Confidential National
Reporting for Certain Existing PCHQR
Measures
We are proposing to conduct a
confidential national reporting for data
collection of the following measures in
the PCHQR measure set:
• Proportion of patients who died
from cancer receiving chemotherapy in
the last 14 days of life (NQF #0210);
• Proportion of patients who died
from cancer admitted to the ICU in the
last 30 days of life (NQF #0213);
• Proportion of patients who died
from cancer not admitted to hospice
(NQF #0215);
• Proportion of patients who died
from cancer admitted to hospice for less
than 3 days (NQF #0216); and
• 30-Day Unplanned Readmissions
for Cancer Patients measure (NQF
#3188).
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(1) Background
We initially adopted the four end-oflife care measures in the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38414
through 38420) for inclusion in the
PCHQR Program beginning with the FY
2020 program year. We also finalized
that the initial data collection period
would be from July 1, 2017 through June
30, 2018 (82 FR 38424). After we
adopted the measures, the American
Society of Clinical Oncology (ASCO),
which is the measure steward, updated
their technical specifications. We
believe that these updates are not
substantive and that we do not need to
use the rulemaking process to
incorporate them. We also note that
there has been no change in the
measures’ data source. Specifically, the
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measures will continue to be calculated
using Medicare claims data.
We initially adopted the 30-Day
Unplanned Readmissions for Cancer
Patients measure (NQF #3188) in the FY
2019 IPPS/LTCH PPS final rule (83 FR
41614 through 41616). This is also a
claims-based measure; adopted for
implementation beginning with the FY
2021 program year and with an initial
data collection period of October 1,
2018 through September 30, 2019 (83
FR 41616).
(2) Proposed Confidential National
Reporting for Data Collection
To prepare PCHs for public reporting,
we are proposing to conduct two
confidential reporting periods of
measure results prior to public
reporting. Consistent with previous
confidential national reporting efforts
for measures in the PCHQR Program, the
objectives of the confidential national
reporting are to: (1) Educate PCHs and
other stakeholders about the measures;
(2) allow PCHs to review their measure
results and data prior to public
reporting; (3) answer questions from
PCHs and other stakeholders; (4) test the
production and reporting process; and
(5) identify potential additional
technical changes to the measure
specifications that might be needed. We
believe these confidential national
reporting activities will enable hospitals
to gain data collection and reporting
experience familiarity with these
refined measures for their efforts to
improve quality and better understand
the measure specifications and
associated data. Confidential national
reporting is important because it affords
CMS an opportunity to examine a
measure’s performance prior to publicly
sharing data with stakeholders and is a
method of ensuring that the publicly
reported measure performance results
are as accurate as possible. Confidential
national reporting will also allow both
CMS and participating PCHs adequate
time to review all the performance
results for the respective measures. This
will mitigate the possibility of CMS
having to suppress inaccurate and/or
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inadequate measure data, because we
will have had an opportunity to preview
it over a broader span of time than the
standard 30-day preview period
associated with public reporting.
For the group end-of-life care
measures, we are proposing to conduct
confidential national reporting using
Medicare claims data collected from
July 1, 2019 through June 30, 2020. For
the 30-Day Unplanned Readmissions for
Cancer Patients measure, we are
proposing to conduct confidential
national reporting using Medicare
claims data collected from October 1,
2019 through September 30, 2020. We
plan to include measure results from the
confidential national reporting in the
facility-specific feedback reports (FSRs)
that we provide to PCHs. The FSRs will
include the following elements:
Measure performance results, national
results (based on the performance of the
11 PCHs), detailed patient-level data
used to calculate measure results and a
summary of each PCH’s patient-mix.
10. Extraordinary Circumstances
Exceptions (ECE) Policy Under the
PCHQR Program
We refer readers to the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41623
through 41624), for a discussion of the
Extraordinary Circumstances Exceptions
(ECE) policy under the PCHQR Program.
In this proposed rule, we are not
proposing any changes to this policy.
C. Long-Term Care Hospital Quality
Reporting Program (LTCH QRP)
1. Background
The Long-Term Care Hospital Quality
Reporting Program (LTCH QRP) is
authorized by section 1886(m)(5) of the
Act, and it applies to all hospitals
certified by Medicare as long-term care
hospitals (LTCHs). Under the LTCH
QRP, the Secretary must reduce by 2
percentage points the annual update to
the LTCH PPS standard Federal rate for
discharges for an LTCH during a fiscal
year if the LTCH has not complied with
the LTCH QRP requirements specified
for that fiscal year. For more
information on the requirements we
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have adopted for the LTCH QRP, we
refer readers to the FY 2012 IPPS/LTCH
PPS final rule (76 FR 51743 through
51744), the FY 2013 IPPS/LTCH PPS
final rule (77 FR 53614), the FY 2014
IPPS/LTCH PPS final rule (78 FR
50853), the FY 2015 IPPS/LTCH PPS
final rule (79 FR 50286), the FY 2016
IPPS/LTCH PPS final rule (80 FR 49723
through 49725), the FY 2017 IPPS/LTCH
PPS final rule (81 FR 57193), the FY
2018 IPPS/LTCH PPS final rule (82 FR
38425 through 38426), and the FY 2019
IPPS/LTCH PPS final rule (83 FR 41624
through 41634).
2. General Considerations Used for the
Selection of Measures for the LTCH QRP
For a detailed discussion of the
considerations we historically used for
19511
the selection of LTCH QRP quality,
resource use, and other measures, we
refer readers to the FY 2016 IPPS/LTCH
PPS final rule (80 FR 49728).
3. Quality Measures Currently Adopted
for the FY 2021 LTCH QRP
The LTCH QRP currently has 15
measures for the FY 2021 LTCH QRP,
which are set out in the following table:
QUALITY MEASURES CURRENTLY ADOPTED FOR THE FY 2021 LTCH QRP
Short name
Measure name and data source
LTCH CARE Data Set
Pressure Ulcer/Injury ............................
Application of Falls ...............................
Functional Assessment ........................
Application of Functional Assessment
Change in Mobility ................................
DRR ......................................................
Compliance with SBT ...........................
Ventilator Liberation .............................
Changes in Skin Integrity Post-Acute Care: Pressure Ulcer/Injury.
Application of Percent of Residents Experiencing One or More Falls with Major Injury (Long Stay) (NQF
#0674).
Percent of Long-Term Care Hospital (LTCH) Patients with an Admission and Discharge Functional Assessment and a Care Plan That Addresses Function (NQF #2631).
Application of Percent of Long-Term Care Hospital (LTCH) Patients with an Admission and Discharge
Functional Assessment and a Care Plan That Addresses Function (NQF #2631).
Functional Outcome Measure: Change in Mobility Among Long-Term Care Hospital (LTCH) Patients
Requiring Ventilator Support (NQF #2632).
Drug Regimen Review Conducted With Follow-Up for Identified Issues–Post Acute Care (PAC) LongTerm Care Hospital (LTCH) Quality Reporting Program (QRP).
Compliance with Spontaneous Breathing Trial (SBT) by Day 2 of the LTCH Stay.
Ventilator Liberation Rate.
NHSN
CAUTI ...................................................
CLABSI .................................................
CDI .......................................................
HCP Influenza Vaccine ........................
National Healthcare Safety Network (NHSN) Catheter-Associated Urinary Tract Infection (CAUTI) Outcome Measure (NQF #0138).
National Healthcare Safety Network (NHSN) Central Line-associated Bloodstream Infection (CLABSI)
Outcome Measure (NQF #0139).
National Healthcare Safety Network (NHSN) Facility-wide Inpatient Hospital-onset Clostridium difficile
Infection (CDI) Outcome Measure (NQF #1717).
Influenza Vaccination Coverage among Healthcare Personnel (NQF #0431).
Claims-Based
MSPB LTCH .........................................
DTC ......................................................
PPR ......................................................
Medicare Spending Per Beneficiary (MSPB)–Post Acute Care (PAC) Long-Term Care Hospital (LTCH)
Quality Reporting Program (QRP).
Discharge to Community—Post Acute Care (PAC) Long-Term Care Hospital (LTCH) Quality Reporting
Program (QRP).
Potentially Preventable 30-Day Post-Discharge Readmission Measure for Long-Term Care Hospital
(LTCH) Quality Reporting Program (QRP).
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4. LTCH QRP Quality Measure
Proposals Beginning With the FY 2022
LTCH QRP
In this proposed rule, we are
proposing to adopt two process
measures for the LTCH QRP that would
satisfy section 1899B(c)(1)(E)(ii) of the
Act, which requires that the quality
measures specified by the Secretary
include measures with respect to the
quality measure domain titled
‘‘Accurately communicating the
existence of and providing for the
transfer of health information and care
preferences of an individual to the
individual, family caregiver of the
individual, and providers of services
furnishing items and services to the
individual when the individual
transitions from a post-acute care (PAC)
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provider to another applicable setting,
including a different PAC provider, a
hospital, a critical access hospital, or the
home of the individual.’’ Given the
length of this domain title, hereafter, we
will refer to this quality measure
domain as ‘‘Transfer of Health
Information.’’
The two measures we are proposing to
adopt are: (1) Transfer of Health
Information to the Provider–Post-Acute
Care (PAC); and (2) Transfer of Health
Information to the Patient–Post-Acute
Care (PAC). Both of these proposed
measures support our Meaningful
Measures priority of promoting effective
communication and coordination of
care, specifically the Meaningful
Measure area of the transfer of health
information and interoperability.
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In addition to the two measure
proposals, we are proposing to update
the specifications for the Discharge to
Community—Post Acute Care (PAC)
LTCH QRP measure to exclude baseline
nursing facility (NF) residents from the
measure.
a. Proposed Transfer of Health
Information to the Provider—Post-Acute
Care (PAC) Measure
The proposed Transfer of Health
Information to the Provider–Post-Acute
Care (PAC) Measure is a process-based
measure that assesses whether or not a
current reconciled medication list is
given to the subsequent provider when
a patient is discharged or transferred
from his or her current PAC setting.
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(1) Background
In 2013, 22.3 percent of all acute
hospital discharges were discharged to
PAC settings, including 11 percent who
were discharged to home under the care
of a home health agency, and 9 percent
who were discharged to SNFs.625 The
proportion of patients being discharged
from an acute care hospital to a PAC
setting was greater among beneficiaries
enrolled in Medicare fee-for-service
(FFS). Among Medicare FFS patients
discharged from an acute hospital, 42
percent went directly to PAC settings.
Of that 42 percent, 20 percent were
discharged to a SNF, 18 percent were
discharged to a home health agency
(HHA), 3 percent were discharged to an
IRF, and 1 percent were discharged to
an LTCH.626 Of the Medicare FFS
beneficiaries with an LTCH stay in FYs
2016 and 2017, an estimated 9 percent
were discharged or transferred to an
acute care hospital, 18 percent
discharged home with home health
services, 38 percent discharged or
transferred to a SNF, and 10 percent
discharged or transferred to another
PAC setting (for example, an IRF, a
hospice, or another LTCH).627
The transfer and/or exchange of
health information from one provider to
another can be done verbally (for
example, clinician-to-clinician
communication in-person or by
telephone), paper-based (for example,
faxed or printed copies of records), and
via electronic communication (for
example, through a health information
exchange (HIE) network using an
electronic health/medical record (EHR/
EMR), and/or secure messaging). Health
information, such as medication
information, that is incomplete or
missing increases the likelihood of a
patient or resident safety risk, and is
often life-threatening.628 629 630 631 632 633
625 Tian, W. ‘‘An all-payer view of hospital
discharge to post-acute care,’’ May 2016. Available
at: https://www.hcup-us.ahrq.gov/reports/statbriefs/
sb205-Hospital-Discharge-Postacute-Care.jsp.
626 Ibid.
627 RTI International analysis of Medicare claims
data for index stays in LTCH 2016/2017. (RTI
program reference: MM150).
628 Kwan, J.L., Lo, L., Sampson, M., & Shojania,
K.G., ‘‘Medication reconciliation during transitions
of care as a patient safety strategy: a systematic
review,’’ Annals of Internal Medicine, 2013, Vol.
158(5), pp. 397–403.
629 Boockvar, K.S., Blum, S., Kugler, A., Livote,
E., Mergenhagen, K.A., Nebeker, J.R., & Yeh, J.,
‘‘Effect of admission medication reconciliation on
adverse drug events from admission medication
changes,’’ Archives of Internal Medicine, 2011, Vol.
171(9), pp. 860–861.
630 Bell, C.M., Brener, S.S., Gunraj, N., Huo, C.,
Bierman, A.S., Scales, D.C., & Urbach, D.R.,
‘‘Association of ICU or hospital admission with
unintentional discontinuation of medications for
chronic diseases,’’ JAMA, 2011, Vol. 306(8), pp.
840–847.
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Poor communication and coordination
across health care settings contributes to
patient complications, hospital
readmissions, emergency department
visits, and medication
errors.634 635 636 637 638 639 640 641 642 643
Communication has been cited as the
third most frequent root cause in
sentinel events, which The Joint
Commission defines 644 as a patient
safety event that results in death,
permanent harm, or severe temporary
harm. Failed or ineffective patient
631 Basey, A.J., Krska, J., Kennedy, T.D., &
Mackridge, A.J., ‘‘Prescribing errors on admission to
hospital and their potential impact: a mixedmethods study,’’ BMJ Quality & Safety, 2014, Vol.
23(1), pp. 17–25.
632 Desai, R., Williams, C.E., Greene, S.B., Pierson,
S., & Hansen, R.A., ‘‘Medication errors during
patient transitions into nursing homes:
characteristics and association with patient harm,’’
The American Journal of Geriatric
Pharmacotherapy, 2011, Vol. 9(6), pp. 413–422.
633 Boling, P.A., ‘‘Care transitions and home
health care,’’ Clinical Geriatric Medicine, 2009, Vol.
25(1), pp. 135–48.
634 Barnsteiner, J.H., ‘‘Medication Reconciliation:
Transfer of medication information across
settings—keeping it free from error,’’ The American
Journal of Nursing, 2005, Vol. 105(3), pp. 31–36.
635 Arbaje, A.I., Kansagara, D.L., Salanitro, A.H.,
Englander, H.L., Kripalani, S., Jencks, S.F., &
Lindquist, L.A., ‘‘Regardless of age: incorporating
principles from geriatric medicine to improve care
transitions for patients with complex needs,’’
Journal of General Internal Medicine, 2014, Vol.
29(6), pp. 932–939.
636 Jencks, S.F., Williams, M.V., & Coleman, E.A.,
‘‘Rehospitalizations among patients in the Medicare
fee-for-service program,’’ New England Journal of
Medicine, 2009, Vol. 360(14), pp. 1418–1428.
637 Institute of Medicine. ‘‘Preventing medication
errors: quality chasm series,’’ Washington, DC: The
National Academies Press 2007. Available at:
https://www.nap.edu/read/11623/chapter/1.
638 Kitson, N.A., Price, M., Lau, F.Y., & Showler,
G., ‘‘Developing a medication communication
framework across continuums of care using the
Circle of Care Modeling approach,’’ BMC Health
Services Research, 2013, Vol. 13(1), pp. 1–10.
639 Mor, V., Intrator, O., Feng, Z., & Grabowski,
D.C., ‘‘The revolving door of rehospitalization from
skilled nursing facilities,’’ Health Affairs, 2010, Vol.
29(1), pp. 57–64.
640 Institute of Medicine. ‘‘Preventing medication
errors: quality chasm series,’’ Washington, DC: The
National Academies Press 2007. Available at:
https://www.nap.edu/read/11623/chapter/1.
641 Kitson, N.A., Price, M., Lau, F.Y., & Showler,
G., ‘‘Developing a medication communication
framework across continuums of care using the
Circle of Care Modeling approach,’’ BMC Health
Services Research, 2013, Vol. 13(1), pp. 1–10.
642 Forster, A.J., Murff, H.J., Peterson, J.F.,
Gandhi, T.K., & Bates, D.W., ‘‘The incidence and
severity of adverse events affecting patients after
discharge from the hospital.’’ Annals of Internal
Medicine, 2003, 138(3), pp. 161–167.
643 King, B.J., Gilmore-Bykovskyi, A.L., Roiland,
R.A., Polnaszek, B.E., Bowers, B.J., & Kind, A.J.
‘‘The consequences of poor communication during
transitions from hospital to skilled nursing facility:
a qualitative study,’’ Journal of the American
Geriatrics Society, 2013, Vol. 61(7), 1095–1102.
644 The Joint Commission, ‘‘Sentinel Event
Policy’’ available at: https://
www.jointcommission.org/sentinel_event_policy_
and_procedures/.
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handoffs are estimated to play a role in
20 percent of serious preventable
adverse events.645 When care transitions
are enhanced through care coordination
activities, such as expedited patient
information flow, these activities can
reduce duplication of care services and
costs of care, resolve conflicting care
plans, and prevent medical
errors.646 647 648 649 650
Care transitions across health care
settings have been characterized as
complex, costly, and potentially
hazardous, and may increase the risk for
multiple adverse outcomes.651 652 The
rising incidence of preventable adverse
events, complications, and hospital
readmissions have drawn attention to
the importance of the timely transfer of
health information and care preferences
at the time of transition. Failures of care
coordination, including poor
communication of information, were
estimated to cost the U.S. health care
system between $25 billion and $45
645 The Joint Commission. ‘‘Sentinel Event Data
Root Causes by Event Type 2004–2015.’’ 2016.
Available at: https://www.jointcommission.org/
assets/1/23/jconline_Mar_2_2016.pdf.
646 Mor, V., Intrator, O., Feng, Z., & Grabowski,
D.C., ‘‘The revolving door of rehospitalization from
skilled nursing facilities,’’ Health Affairs, 2010, Vol.
29(1), pp. 57–64.
647 Institute of Medicine, ‘‘Preventing medication
errors: quality chasm series,’’ Washington, DC: The
National Academies Press, 2007. Available at:
https://www.nap.edu/read/11623/chapter/1.
648 Starmer, A.J., Sectish, T.C., Simon, D.W.,
Keohane, C., McSweeney, M.E., Chung, E.Y., Yoon,
C.S., Lipsitz, S.R., Wassner, A.J., Harper, M.B., &
Landrigan, C.P., ‘‘Rates of medical errors and
preventable adverse events among hospitalized
children following implementation of a resident
handoff bundle,’’ JAMA, 2013, Vol. 310(21), pp.
2262–2270.
649 Pronovost, P., M.M.E. Johns, S. Palmer, R.C.
Bono, D.B. Fridsma, A. Gettinger, J., Goldman, W.
Johnson, M. Karney, C. Samitt, R.D. Sriram, A.
Zenooz, and Y.C. Wang, Editors. Procuring
Interoperability: Achieving High-Quality,
Connected, and Person-Centered Care. Washington,
DC, 2018. National Academy of Medicine. Available
at: https://nam.edu/wp-content/uploads/2018/10/
Procuring-Interoperability_web.pdf.
650 Balaban R.B., Weissman J.S., Samuel P.A., &
Woolhandler, S., ‘‘Redefining and redesigning
hospital discharge to enhance patient care: a
randomized controlled study,’’ J Gen Intern Med,
2008, Vol. 23(8), pp. 1228–33.
651 Arbaje, A.I., Kansagara, D.L., Salanitro, A.H.,
Englander, H.L., Kripalani, S., Jencks, S.F., &
Lindquist, L.A., ‘‘Regardless of age: incorporating
principles from geriatric medicine to improve care
transitions for patients with complex needs,’’
Journal of General Internal Medicine, 2014, Vol.
29(6), pp. 932–939.
652 Simmons, S., Schnelle, J., Slagle, J., Sathe,
N.A., Stevenson, D., Carlo, M., & McPheeters, M.L.,
‘‘Resident safety practices in nursing home
settings.’’ Technical Brief No. 24 (Prepared by the
Vanderbilt Evidence-based Practice Center under
Contract No. 290–2015–00003–I.) AHRQ
Publication No. 16–EHC022–EF. Rockville, MD:
Agency for Healthcare Research and Quality. May
2016. Available at: https://www.ncbi.nlm.nih.gov/
books/NBK384624/.
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billion in wasteful spending in 2011.653
The communication of health
information and patient care preferences
is critical to ensuring safe and effective
transitions from one health care setting
to another.654 655
Patients in PAC settings often have
complicated medication regimens and
require efficient and effective
communication and coordination of
care between settings, including
detailed transfer of medication
information.656 657 658 Individuals in PAC
settings may be vulnerable to adverse
health outcomes due to insufficient
medication information on the part of
their health care providers, and the
higher likelihood for multiple comorbid
chronic conditions, polypharmacy, and
complicated transitions between care
settings.659 660 Preventable adverse drug
events (ADEs) may occur after hospital
discharge in a variety of settings
including PAC.661 A 2014 Office of
653 Berwick, D.M. & Hackbarth, A.D. ‘‘Eliminating
Waste in US Health Care,’’ JAMA, 2012, Vol.
307(14), pp. 1513–1516.
654 McDonald, K.M., Sundaram, V., Bravata, D.M.,
Lewis, R., Lin, N., Kraft, S.A. & Owens, D.K. Care
Coordination. Vol. 7 of: Shojania K.G., McDonald
K.M., Wachter R.M., Owens D.K., editors. ‘‘Closing
the quality gap: A critical analysis of quality
improvement strategies.’’ Technical Review 9
(Prepared by the Stanford University-UCSF
Evidence-based Practice Center under contract 290–
02–0017). AHRQ Publication No. 04(07)-0051–7.
Rockville, MD: Agency for Healthcare Research and
Quality. June 2006. Available at: https://
www.ncbi.nlm.nih.gov/books/NBK44015/.
655 Lattimer, C., ‘‘When it comes to transitions in
patient care, effective communication can make all
the difference,’’ Generations, 2011, Vol. 35(1), pp.
69–72.
656 Starmer A.J, Spector N.D., Srivastava R., West,
D.C., Rosenbluth, G., Allen, A.D., Noble, E.L., &
Landrigen, C.P., ‘‘Changes in medical errors after
implementation of a handoff program,’’ N Engl J
Med, 2014, Vol. 37(1), pp. 1803–1812.
657 Kruse, C.S. Marquez, G., Nelson, D., &
Polomares, O., ‘‘The use of health information
exchange to augment patient handoff in long-term
care: a systematic review,’’ Applied Clinical
Informatics, 2018, Vol. 9(4), pp. 752–771.
658 Brody, A.A., Gibson, B., Tresner-Kirsch, D.,
Kramer, H., Thraen, I., Coarr, M.E., & Rupper, R.,
‘‘High prevalence of medication discrepancies
between home health referrals and Centers for
Medicare and Medicaid Services home health
certification and plan of care and their potential to
affect safety of vulnerable elderly adults,’’ Journal
of the American Geriatrics Society, 2016, Vol.
64(11), pp. e166–e170.
659 Chhabra, P.T., Rattinger, G.B., Dutcher, S.K.,
Hare, M.E., Parsons, K., L., & Zuckerman, I.H.,
‘‘Medication reconciliation during the transition to
and from long-term care settings: a systematic
review,’’ Res Social Adm Pharm, 2012, Vol. 8(1),
pp. 60–75.
660 Health and Human Services Office of
Inspector General. Adverse Events in Long-TermCare Hospitals: National Incidence Among
Medicare Beneficiaries. (OEI–06–14–00530). 2018.
Available at: https://oig.hhs.gov/oei/reports/oei-0614-00530.asp.
661 Battles J., Azam I., Grady M., & Reback K.,
‘‘Advances in patient safety and medical liability,’’
AHRQ Publication No. 17–0017–EF. Rockville, MD:
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Inspector General report found that 21
percent of Medicare patients in LTCHs
experienced adverse events, with 31
percent of those events being
medication related. Over half of the
adverse events and temporary harm
events were clearly or likely
preventable.662 Patient stays in LTCHs
present more opportunities for harm
events than other settings because the
stays are longer. Medication errors and
one-fifth of ADEs occur during
transitions between settings, including
admission to or discharge from a
hospital to home or a PAC setting, or
transfer between hospitals.663 664
Patients in PAC settings are often
taking multiple medications.
Consequently, PAC providers regularly
are in the position of starting complex
new medication regimens with little
knowledge of the patients or their
medication history upon admission.
Furthermore, inter-facility
communication barriers delay resolving
medication discrepancies during
transitions of care.665 Medication
discrepancies are common,666 and
found to occur in 86 percent of all
transitions, increasing the likelihood of
ADEs.667 668 669 Up to 90 percent of
Agency for Healthcare Research and Quality,
August 2017. Available at: https://www.ahrq.gov/
sites/default/files/publications/files/advancescomplete_3.pdf.
662 Health and Human Services Office of
Inspector General. Adverse Events in Long-TermCare Hospitals: National Incidence Among
Medicare Beneficiaries. (OEI–06–14–00530). 2018.
Available at: https://oig.hhs.gov/oei/reports/oei-0614-00530.asp.
663 Barnsteiner, J.H., ‘‘Medication Reconciliation:
Transfer of medication information across
settings—keeping it free from error,’’ The American
Journal of Nursing, 2005, Vol. 105(3), pp. 31–36.
664 Gleason, K.M., Groszek, J.M., Sullivan, C.,
Rooney, D., Barnard, C., Noskin, G.A.,
‘‘Reconciliation of discrepancies in medication
histories and admission orders of newly
hospitalized patients,’’ American Journal of Health
System Pharmacy, 2004, Vol. 61(16), pp. 1689–
1694.
665 Patterson M., Foust J.B., Bollinger, S.,
Coleman, C., Nguyen, D., ‘‘Inter-facility
communication barriers delay resolving medication
discrepancies during transitions of care,’’ Research
in Social & Administrative Pharmacy (2018), doi:
10.1016/j.sapharm.2018.05.124.
666 Manias, E., Annaikis, N., Considine, J.,
Weerasuriya, R., & Kusljic, S. ‘‘Patient-, medicationand environment-related factors affecting
medication discrepancies in older patients,’’
Collegian, 2017, Vol. 24, pp. 571–577.
667 Tjia, J., Bonner, A., Briesacher, B.A., McGee,
S., Terrill, E., Miller, K., ‘‘Medication discrepancies
upon hospital to skilled nursing facility
transitions,’’ J Gen Intern Med, 2009, Vol. 24(5), pp.
630–635.
668 Sinvani, L.D., Beizer, J., Akerman, M.,
Pekmezaris, R., Nouryan, C., Lutsky, L., Cal, C.,
Dlugacz, Y., Masick, K., Wolf-Klein, G.,‘‘Medication
reconciliation in continuum of care transitions: a
moving target,’’ J Am Med Dir Assoc, 2013, Vol.
14(9), 668–672.
669 Coleman E.A., Parry C., Chalmers S., & Min,
S.J., ‘‘The Care Transitions Intervention: results of
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patients experience at least one
medication discrepancy in the transition
from hospital to home care, and
discrepancies occur within all
therapeutic classes of medications.670 671
Transfer of a medication list between
providers is necessary for medication
reconciliation interventions, which have
been shown to be a cost-effective way to
avoid ADEs by reducing errors,672 673 674
especially when medications are
reviewed by a pharmacist using
electronic medical records.675
(2) Stakeholder and Technical Expert
Panel (TEP) Input
The proposed measure was developed
after consideration of feedback we
received from stakeholders and four
TEPs convened by our contractors.
Further, the proposed measure was
developed after evaluation of data
collected during two pilot tests we
conducted in accordance with the CMS
Measures Management System
Blueprint.
Our measure development contractors
constituted a TEP which met on
September 27, 2016,676 January 27,
a randomized controlled trial,’’ Arch Intern Med,
2006, Vol. 166, pp. 1822–28.
670 Corbett C.L., Setter S.M., Neumiller J.J., &
Wood, l.D., ‘‘Nurse identified hospital to home
medication discrepancies: implications for
improving transitional care,’’ Geriatr Nurs, 2011,
Vol. 31(3), pp. 188–96.
671 Setter S.M., Corbett C.F., Neumiller J.J., Gates,
B. J., Sclar, D.A., & Sonnett, T.E., ‘‘Effectiveness of
a pharmacist-nurse intervention on resolving
medication discrepancies in older patients
transitioning from hospital to home care: impact of
a pharmacy/nursing intervention,’’ Am J Health
Syst Pharm, 2009, Vol. 66, pp. 2027–31.
672 Boockvar, K.S., Blum, S., Kugler, A., Livote,
E., Mergenhagen, K.A., Nebeker, J.R., & Yeh, J.,
‘‘Effect of admission medication reconciliation on
adverse drug events from admission medication
changes,’’ Archives of Internal Medicine, 2011, Vol.
171(9), pp. 860–861.
673 Kwan, J.L., Lo, L., Sampson, M., & Shojania,
K.G., ‘‘Medication reconciliation during transitions
of care as a patient safety strategy: a systematic
review,’’ Annals of Internal Medicine, 2013, Vol.
158(5), pp. 397–403.
674 Chhabra, P.T., Rattinger, G.B., Dutcher, S.K.,
Hare, M.E., Parsons, K., L., & Zuckerman, I.H.,
‘‘Medication reconciliation during the transition to
and from long-term care settings: a systematic
review,’’ Res Social Adm Pharm, 2012, Vol. 8(1),
pp. 60–75.
675 Agrawal A, Wu WY. ‘‘Reducing medication
errors and improving systems reliability using an
electronic medication reconciliation system,’’ The
Joint Commission Journal on Quality and Patient
Safety, 2009, Vol. 35(2), pp. 106–114.
676 Technical Expert Panel Summary Report:
Development of two quality measures to satisfy the
Improving Medicare Post-Acute Care
Transformation Act of 2014 (IMPACT Act) Domain
of Transfer of health Information and Care
Preferences When an Individual Transitions to
Skilled Nursing Facilities (SNFs), Inpatient
Rehabilitation Facilities (IRFs), Long Term Care
Hospitals (LTCHs) and Home Health Agencies
(HHAs). Available at: https://www.cms.gov/
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2017, and August 3, 2017 677 to provide
input on a prior version of this measure.
Based on this input, we updated the
measure concept in late 2017 to include
the transfer of a specific component of
health information—medication
information. Our measure development
contractors reconvened this TEP on
April 20, 2018 for the purpose of
obtaining expert input on the proposed
measure, including the measure’s
reliability, components of face validity,
and feasibility of being implemented
across PAC settings. Overall, the TEP
was supportive of the proposed
measure, affirming that the measure
provides an opportunity to improve the
transfer of medication information. A
summary of the April 20, 2018 TEP
proceedings titled ‘‘Transfer of Health
Information TEP Meeting 4—June 2018’’
is available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
Our measure development contractors
solicited stakeholder feedback on the
proposed measure by requesting
comment on the CMS Measures
Management System Blueprint website,
and accepted comments that were
submitted from March 19, 2018 to May
3, 2018. The comments received
expressed overall support for the
measure. Several commenters suggested
ways to improve the measure, primarily
related to what types of information
should be included at transfer. We
incorporated this input into
development of the proposed measure.
The summary report for the March 19 to
May 3, 2018 public comment period
titled ‘‘IMPACT—Medication Profile
Transferred Public Comment Summary
Report’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Medicare/Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-Quality-Initiatives/
Downloads/Transfer-of-Health-Information-TEP_
Summary_Report_Final-June-2017.pdf.
677 Technical Expert Panel Summary Report:
Development of two quality measures to satisfy the
Improving Medicare Post-Acute Care
Transformation Act of 2014 (IMPACT Act) Domain
of Transfer of health Information and Care
Preferences When an Individual Transitions to
Skilled Nursing Facilities (SNFs), Inpatient
Rehabilitation Facilities (IRFs), Long Term Care
Hospitals (LTCHs) and Home Health Agencies
(HHAs). Available at: https://www.cms.gov/
Medicare/Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-Quality-Initiatives/
Downloads/Transfer-of-Health-Information-TEPMeetings-2-3-Summary-Report_Final_Feb2018.pdf.
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(3) Pilot Testing
The proposed measure was tested
between June and August 2018 in a pilot
test that involved 24 PAC facilities/
agencies, including five IRFs, six SNFs,
six LTCHs, and seven HHAs. The 24
pilot sites submitted a total of 801
records. Analysis of agreement between
coders within each participating facility
(266 qualifying pairs) indicated a 93percent agreement for this measure.
Overall, pilot testing enabled us to
verify its reliability, components of face
validity, and feasibility of being
implemented across PAC settings.
Further, more than half of the sites that
participated in the pilot test stated
during the debriefing interviews that the
measure could distinguish facilities or
agencies with higher quality medication
information transfer from those with
lower quality medication information
transfer at discharge. The pilot test
summary report titled ‘‘Transfer of
Health Information 2018 Pilot Test
Summary Report’’ is available at:
https://www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
(4) Measure Applications Partnership
(MAP) Review and Related Measures
We included the proposed measure in
the LTCH QRP section of the 2018
Measures Under Consideration (MUC)
list. The MAP conditionally supported
this measure pending NQF
endorsement, noting that the measure
can promote the transfer of important
medication information. The MAP also
suggested that CMS consider a measure
that can be adapted to capture bidirectional information exchange, and
recommended that the medication
information transferred include
important information about
supplements and opioids. More
information about the MAP’s
recommendations for this measure is
available at: https://
www.qualityforum.org/Publications/
2019/02/MAP_2019_Considerations_
for_Implementing_Measures_Final_
Report_-_PAC-LTC.aspx.
As part of the measure development
and selection process, we also identified
one NQF-endorsed quality measure
similar to the proposed measure, titled
Documentation of Current Medications
in the Medical Record (NQF #0419,
CMS eCQM ID: CMS68v8). This
measure was adopted as one of the
recommended adult core clinical quality
measures for eligible professionals for
the EHR Incentive Program beginning in
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2014 and was also adopted under the
Merit-based Incentive Payment System
(MIPS) quality performance category
beginning in 2017. The measure is
calculated based on the percentage of
visits for patients aged 18 years and
older for which the eligible professional
or eligible clinician attests to
documenting a list of current
medications using all resources
immediately available on the date of the
encounter.
The proposed Transfer of Health
Information to the Provider–Post-Acute
Care (PAC) measure addresses the
transfer of information whereas the
NQF-endorsed measure #0419 assesses
the documentation of medications, but
not the transfer of such information.
This is important as the proposed
measure assesses for the transfer of
medication information for the
proposed measure calculation. Further,
the proposed measure utilizes
standardized patient assessment data
elements (SPADEs), which is a
requirement for measures specified
under the Transfer of Health
Information measure domain under
section 1899B(c)(1)(E) of the Act,
whereas NQF #0419 does not.
After review of the NQF-endorsed
measure, we determined that the
proposed Transfer of Health Information
to the Provider—Post-Acute Care (PAC)
measure better addresses the Transfer of
Health Information measure domain,
which requires that at least some of the
data used to calculate the measure be
collected as standardized patient
assessment data through the post-acute
care assessment instruments. Section
1886(m)(5)(D)(i) of the Act requires that
any measure specified by the Secretary
be endorsed by the entity with a
contract under section 1890(a) of the
Act, which is currently the National
Quality Form (NQF). However, when a
feasible and practical measure has not
been NQF endorsed for a specified area
or medical topic determined appropriate
by the Secretary, section
1886(m)(5)(D)(ii) of the Act allows the
Secretary to specify a measure that is
not NQF endorsed as long as due
consideration is given to the measures
that have been endorsed or adopted by
a consensus organization identified by
the Secretary. For the reasons discussed
above, we believe that there is currently
no feasible NQF-endorsed measure that
we could adopt under section
1886(m)(5)(D)(ii) of the Act. However,
we note that we intend to submit the
proposed measure to the NQF for
consideration of endorsement when
feasible.
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The proposed Transfer of Health
Information to the Provider—Post-Acute
Care (PAC) quality measure is
calculated as the proportion of patient
stays with a discharge assessment
indicating that a current reconciled
medication list was provided to the
subsequent provider at the time of
discharge. The proposed measure
denominator is the total number of
LTCH patient stays, regardless of payer,
ending in discharge to a ‘‘subsequent
provider,’’ which is defined as a shortterm general acute-care hospital,
intermediate care (intellectual and
developmental disabilities providers),
home under care of an organized home
health service organization or hospice,
hospice in an institutional facility, a
SNF, another LTCH, an IRF, an
inpatient psychiatric facility, or a CAH.
These health care providers were
selected for inclusion in the
denominator because they are identified
as subsequent providers on the
discharge destination item that is
currently included on the LTCH
Continuity Assessment Record and
Evaluation Data Set (LTCH CARE Data
Set or LCDS). The proposed measure
numerator is the number of LTCH
patient stays with an LCDS discharge
assessment indicating a current
reconciled medication list was provided
to the subsequent provider at the time
of discharge. For additional technical
information about this proposed
measure, we refer readers to the
document titled, ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html. The data source for the
proposed quality measure is the LCDS
assessment instrument for LTCH
patients.
For more information about the data
submission requirements we are
proposing for this measure, we refer
readers to section VIII.C.8.d. of the
preamble of this proposed rule.
b. Proposed Transfer of Health
Information to the Patient—Post-Acute
Care (PAC) Measure
Beginning with the FY 2022 LTCH
QRP, we are proposing to adopt the
Transfer of Health Information to the
Patient—Post-Acute Care (PAC)
measure, a measure that satisfies the
IMPACT Act domain of Transfer of
Health Information, with data collection
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for discharges beginning October 1,
2020. This process-based measure
assesses whether or not a current
reconciled medication list was provided
to the patient, family, or caregiver when
the patient was discharged from a PAC
setting to a private home/apartment, a
board and care home, assisted living, a
group home, transitional living or home
under care of an organized home health
service organization, or a hospice.
(1) Background
In 2013, 22.3 percent of all acute
hospital discharges were discharged to
PAC settings, including 11 percent who
were discharged to home under the care
of a home health agency.678 Of the
Medicare FFS beneficiaries with an
LTCH stay in fiscal years 2016 and
2017, an estimated 18 percent were
discharged home with home health
services, nine percent were discharged
home with self-care, and two percent
were discharged with home hospice
services.679
The communication of health
information, such as a reconciled
medication list, is critical to ensuring
safe and effective patient transitions
from health care settings to home and/
or other community settings. Incomplete
or missing health information, such as
medication information, increases the
likelihood of a patient safety risk, often
life-threatening.680 681 682 683 684
Individuals who use PAC care services
are particularly vulnerable to adverse
health outcomes due to their higher
678 Tian, W. ‘‘An all-payer view of hospital
discharge to postacute care,’’ May 2016. Available
at: https://www.hcup-us.ahrq.gov/reports/statbriefs/
sb205-Hospital-Discharge-Postacute-Care.jsp.
679 RTI International analysis of Medicare claims
data for index stays in LTCH 2016/2017. (RTI
program reference: MM150).
680 Kwan, J.L., Lo, L., Sampson, M., & Shojania,
K.G. ‘‘Medication reconciliation during transitions
of care as a patient safety strategy: A systematic
review,’’ Annals of Internal Medicine, 2013, Vol.
158(5), pp. 397–403.
681 Boockvar, K.S., Blum, S., Kugler, A., Livote,
E., Mergenhagen, K.A., Nebeker, J.R., & Yeh, J.
‘‘Effect of admission medication reconciliation on
adverse drug events from admission medication
changes,’’ Archives of Internal Medicine, 2011, Vol.
171(9), pp. 860–861.
682 Bell, C.M., Brener, S.S., Gunraj, N., Huo, C.,
Bierman, A.S., Scales, D.C., & Urbach, D.R.
‘‘Association of ICU or hospital admission with
unintentional discontinuation of medications for
chronic diseases,’’ JAMA, 2011, Vol. 306(8), pp.
840–847.
683 Basey, A.J., Krska, J., Kennedy, T.D., &
Mackridge, A.J. ‘‘Prescribing errors on admission to
hospital and their potential impact: A mixedmethods study,’’ BMJ Quality & Safety, 2014, Vol.
23(1), pp. 17–25.
684 Desai, R., Williams, C.E., Greene, S.B., Pierson,
S., & Hansen, R.A. ‘‘Medication errors during
patient transitions into nursing homes:
Characteristics and association with patient harm,’’
The American Journal of Geriatric
Pharmacotherapy, 2011, Vol. 9(6), pp. 413–422.
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19515
likelihood of having multiple comorbid
chronic conditions, polypharmacy, and
complicated transitions between care
settings.685 686 Upon discharge to home,
individuals in PAC settings may be
faced with numerous medication
changes, new medication regimes, and
follow-up details.687 688 689 The efficient
and effective communication and
coordination of medication information
may be critical to prevent potentially
deadly adverse effects. When care
coordination activities enhance care
transitions, these activities can reduce
duplication of care services and costs of
care, resolve conflicting care plans, and
prevent medical errors.690 691
Finally, the transfer of a patient’s
discharge medication information to the
patient, family, or caregiver is common
practice and supported by discharge
planning requirements for participation
in Medicare and Medicaid
programs.692 693 Most PAC EHR systems
685 Brody, A.A., Gibson, B., Tresner-Kirsch, D.,
Kramer, H., Thraen, I., Coarr, M.E., & Rupper, R.
‘‘High prevalence of medication discrepancies
between home health referrals and Centers for
Medicare and Medicaid Services home health
certification and plan of care and their potential to
affect safety of vulnerable elderly adults,’’ Journal
of the American Geriatrics Society, 2016, Vol.
64(11), pp. e166–e170.
686 Chhabra, P.T., Rattinger, G.B., Dutcher, S.K.
Hare, M.E., Parsons, K.L., & Zuckerman, I.H.
‘‘Medication reconciliation during the transition to
and from long-term care settings: A systematic
review,’’ Res Social Adm Pharm, 2012, Vol. 8(1),
pp. 60–75.
687 Brody, A.A., Gibson, B., Tresner-Kirsch, D.,
Kramer, H., Thraen, I., Coarr, M.E., & Rupper, R.
‘‘High prevalence of medication discrepancies
between home health referrals and Centers for
Medicare and Medicaid Services home health
certification and plan of care and their potential to
affect safety of vulnerable elderly adults,’’ Journal
of the American Geriatrics Society, 2016, Vol.
64(11), pp. e166–e170.
688 Bell, C.M., Brener, S.S., Gunraj, N., Huo, C.,
Bierman, A.S., Scales, D.C., & Urbach, D.R.
‘‘Association of ICU or hospital admission with
unintentional discontinuation of medications for
chronic diseases,’’ JAMA, 2011, Vol. 306(8), pp.
840–847.
689 Sheehan, O.C., Kharrazi, H., Carl, K.J., Leff, B.,
Wolff, J.L., Roth, D.L., Gabbard, J., & Boyd, C.M.
‘‘Helping older adults improve their medication
experience (HOME) by addressing medication
regimen complexity in home healthcare,’’ Home
Healthcare Now. 2018, Vol. 36(1), pp. 10–19.
690 Mor, V., Intrator, O., Feng, Z., & Grabowski,
D.C. ‘‘The revolving door of rehospitalization from
skilled nursing facilities,’’ Health Affairs, 2010, Vol.
29(1), pp. 57–64.
691 Starmer, A.J., Sectish, T.C., Simon, D.W.,
Keohane, C., McSweeney, M.E., Chung, E.Y., Yoon,
C.S., Lipsitz, S.R., Wassner, A.J., Harper, M.B., &
Landrigan, C.P. ‘‘Rates of medical errors and
preventable adverse events among hospitalized
children following implementation of a resident
handoff bundle,’’ JAMA, 2013, Vol. 310(21), pp.
2262–2270.
692 CMS, ‘‘Revision to state operations manual
(SOM), Hospital Appendix A—Interpretive
Guidelines for 42 CFR 482.43, Discharge Planning’’
May 17, 2013. Available at: https://www.cms.gov/
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generate a discharge medication list to
promote patient participation in
medication management, which has
been shown to be potentially useful for
improving patient outcomes and
transitional care.694
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(2) Stakeholder and TEP Input
The proposed measure was developed
after consideration of feedback we
received from stakeholders and four
TEPs convened by our contractors.
Further, the proposed measure was
developed after evaluation of data
collected during two pilot tests we
conducted in accordance with the CMS
Measures Management System
Blueprint.
Our measure development contractors
constituted a TEP which met on
September 27, 2016,695 January 27,
2017, and August 3, 2017 696 to provide
input on a prior version of this measure.
Based on this input, we updated the
measure concept in late 2017 to include
the transfer of a specific component of
health information—medication
information. Our measure development
contractors reconvened this TEP on
April 20, 2018 to seek expert input on
the measure. Overall, the TEP members
supported the proposed measure,
affirming that the measure provides an
Medicare/Provider-Enrollment-and-Certification/
SurveyCertificationGenInfo/Downloads/Surveyand-Cert-Letter-13-32.pdf.
693 The State Operations Manual Guidance to
Surveyors for Long Term Care Facilities (Guidance
§ 483.21(c)(1) Rev. 11–22–17) for discharge
planning process. Available at: https://
www.cms.gov/Regulations-and-Guidance/
Guidance/Manuals/downloads/som107ap_pp_
guidelines_ltcf.pdf.
694 Toles, M., Colon-Emeric, C., Naylor, M.D.,
Asafu-Adjei, J., Hanson, L.C. ‘‘Connect-home:
Transitional care of skilled nursing facility patients
and their caregivers,’’ Am Geriatr Soc., 2017, Vol.
65(10), pp. 2322–2328.
695 Technical Expert Panel Summary Report:
Development of two quality measures to satisfy the
Improving Medicare Post-Acute Care
Transformation Act of 2014 (IMPACT Act) Domain
of Transfer of health Information and Care
Preferences When an Individual Transitions to
Skilled Nursing Facilities (SNFs), Inpatient
Rehabilitation Facilities (IRFs), Long Term Care
Hospitals (LTCHs) and Home Health Agencies
(HHAs). Available at: https://www.cms.gov/
Medicare/Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-Quality-Initiatives/
Downloads/Transfer-of-Health-Information-TEP_
Summary_Report_Final-June-2017.pdf.
696 Technical Expert Panel Summary Report:
Development of two quality measures to satisfy the
Improving Medicare Post-Acute Care
Transformation Act of 2014 (IMPACT Act) Domain
of Transfer of health Information and Care
Preferences When an Individual Transitions to
Skilled Nursing Facilities (SNFs), Inpatient
Rehabilitation Facilities (IRFs), Long Term Care
Hospitals (LTCHs) and Home Health Agencies
(HHAs). Available at: https://www.cms.gov/
Medicare/Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-Quality-Initiatives/
Downloads/Transfer-of-Health-Information-TEPMeetings-2-3-Summary-Report_Final_Feb2018.pdf.
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opportunity to improve the transfer of
medication information. Most of the
TEP members believed that the measure
could improve the transfer of
medication information to patients,
families, and caregivers. Several TEP
members emphasized the importance of
transferring information to patients and
their caregivers in a clear manner using
plain language. A summary of the April
20, 2018 TEP proceedings titled
‘‘Transfer of Health Information TEP
Meeting 4—June 2018’’ is available at:
https://www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Our measure development contractors
solicited stakeholder feedback on the
proposed measure by requesting
comment on the CMS Measures
Management System Blueprint website,
and accepted comments that were
submitted from March 19, 2018 to May
3, 2018. Several commenters noted the
importance of ensuring that the
instruction provided to patients and
caregivers is clear and understandable
to promote transparent access to
medical record information and meet
the goals of the IMPACT Act. The
summary report for the March 19 to May
3, 2018 public comment period titled
‘‘IMPACT—Medication Profile
Transferred Public Comment Summary
Report’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
(3) Pilot Testing
Between June and August 2018, we
held a pilot test involving 24 PAC
facilities/agencies, including five IRFs,
six SNFs, six LTCHs, and seven HHAs.
The 24 pilot sites submitted a total of
801 assessments. Analysis of agreement
between coders within each
participating facility (241 qualifying
pairs) indicated an 87-percent
agreement for this measure. Overall,
pilot testing enabled us to verify its
reliability, components of face validity,
and feasibility of being implemented
across PAC settings. Further, more than
half of the sites that participated in the
pilot test stated, during debriefing
interviews, that the measure could
distinguish facilities or agencies with
higher quality medication information
transfer from those with lower quality
medication information transfer at
discharge. The pilot test summary report
titled ‘‘Transfer of Health Information
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2018 Pilot Test Summary Report’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
(4) Measure Applications Partnership
(MAP) Review and Related Measures
We included the proposed measure in
the LTCH QRP section of the 2018 MUC
list. The MAP conditionally supported
this measure pending NQF
endorsement, noting that the measure
can promote the transfer of important
medication information to the patient.
The MAP recommended that providers
transmit medication information to
patients that is easy to understand
because health literacy can impact a
person’s ability to take medication as
directed. More information about the
MAP’s recommendations for this
measure is available at: https://
www.qualityforum.org/Publications/
2019/02/MAP_2019_Considerations_
for_Implementing_Measures_Final_
Report_-_PAC-LTC.aspx.
Section 1886(m)(5)(D)(i) of the Act,
requires that any measure specified by
the Secretary be endorsed by the entity
with a contract under section 1890(a) of
the Act, which is currently the NQF.
However, when a feasible and practical
measure has not been NQF endorsed for
a specified area or medical topic
determined appropriate by the
Secretary, section 1886(m)(5)(D)(ii) of
the Act allows the Secretary to specify
a measure that is not NQF endorsed as
long as due consideration is given to the
measures that have been endorsed or
adopted by a consensus organization
identified by the Secretary. Therefore, in
the absence of any NQF-endorsed
measures that address the proposed
Transfer of Health Information to the
Patient—Post-Acute Care (PAC), which
requires that at least some of the data
used to calculate the measure be
collected as standardized patient
assessment data through the post-acute
care assessment instruments, we believe
that there is currently no feasible NQFendorsed measure that we could adopt
under section 1886(m)(5)(D)(ii) of the
Act. However, we note that we intend
to submit the proposed measure to the
NQF for consideration of endorsement
when feasible.
(5) Quality Measure Calculation
The calculation of the proposed
Transfer of Health Information to the
Patient—Post-Acute Care (PAC) measure
would be based on the proportion of
patient stays with a discharge
assessment indicating that a current
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reconciled medication list was provided
to the patient, family, or caregiver at the
time of discharge.
The proposed measure denominator is
the total number of LTCH patient stays,
regardless of payer, ending in discharge
to a private home/apartment, a board
and care home, assisted living, a group
home, transitional living or home under
care of an organized home health
service organization, or a hospice. These
locations were selected for inclusion in
the denominator because they are
identified as home locations on the
discharge destination item that is
currently included on the LCDS. The
proposed measure numerator is the
number of LTCH patient stays with an
LCDS discharge assessment indicating a
current reconciled medication list was
provided to the patient, family, or
caregiver at the time of discharge. For
technical information about this
proposed measure, we refer readers to
the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html. Data for the proposed
quality measure would be calculated
using data from the LCDS assessment
instrument for LTCH patients.
For more information about the data
submission requirements we are
proposing for this measure, we refer
readers to section VIII.C.8.d. of the
preamble of this proposed rule.
c. Proposed Update to the Discharge to
Community—Post Acute Care (PAC)
Long-Term Care Hospital (LTCH)
Quality Reporting Program (QRP)
Measure
We are proposing to update the
specifications for the Discharge to
Community—PAC LTCH QRP measure
to exclude baseline nursing facility (NF)
residents from the measure. This
measure reports an LTCH’s riskstandardized rate of Medicare FFS
patients who are discharged to the
community following an LTCH stay, do
not have an unplanned readmission to
an acute care hospital or LTCH in the 31
days following discharge to community,
and who remain alive during the 31
days following discharge to community.
We adopted this measure in the FY 2017
IPPS/LTCH PPS final rule (81 FR 57207
through 57215).
In the FY 2017 IPPS/LTCH PPS final
rule (81 FR 57211), we addressed public
comments recommending exclusion of
LTCH patients who were baseline NF
residents, as these patients lived in a NF
prior to their LTCH stay and may not be
expected to return to the community
following their LTCH stay. In the FY
2018 IPPS/LTCH PPS final rule (82 FR
38449), we addressed public comments
expressing support for a potential future
modification of the measure that would
exclude baseline NF residents;
commenters stated that the exclusion
would result in the measure more
accurately portraying quality of care
provided by LTCHs, while controlling
for factors outside of LTCH control.
We assessed the impact of excluding
baseline NF residents from the measure
using CY 2015 and CY 2016 data and
found that this exclusion impacted both
patient- and facility-level discharge to
community rates. We defined baseline
NF residents as LTCH patients who had
a long-term NF stay in the 180 days
preceding their hospitalization and
LTCH stay, with no intervening
community discharge between the NF
stay and qualifying hospitalization for
measure inclusion. Baseline NF
residents represented 9.2 percent of the
measure population after all measure
exclusions were applied. Observed
patient-level discharge to community
rates were significantly lower for
baseline NF residents (1.44 percent)
compared with non-NF residents (23.89
percent). The national observed patientlevel discharge to community rate was
21.82 percent when baseline NF
19517
residents were included in the measure,
increasing to 23.89 percent when they
were excluded from the measure. After
excluding baseline NF residents, 39.2
percent of LTCHs had an increase in
their risk-standardized discharge to
community rate that exceeded the
increase in the national observed
patient-level discharge to community
rate.
Based on public comments received
and our impact analysis, we are
proposing to exclude baseline NF
residents from the Discharge to
Community—PAC LTCH QRP measure
beginning with the FY 2020 LTCH QRP,
with baseline NF residents defined as
LTCH patients who had a long-term NF
stay in the 180 days preceding their
hospitalization and LTCH stay, with no
intervening community discharge
between the NF stay and
hospitalization.
For additional technical information
regarding the Discharge to
Community—PAC LTCH QRP measure,
including technical information about
the proposed exclusion, we refer readers
to the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
5. LTCH QRP Quality Measures,
Measure Concepts, and Standardized
Patient Assessment Data Elements
Under Consideration for Future Years:
Request for Information
We are seeking input on the
importance, relevance, appropriateness,
and applicability of each of the
measures, standardized patient
assessment data elements (SPADEs),
and concepts under consideration listed
in the table below for future years in the
LTCH QRP.
FUTURE MEASURES, MEASURE CONCEPTS, AND STANDARDIZED PATIENT ASSESSMENT DATA ELEMENTS (SPADES)
UNDER CONSIDERATION FOR THE LTCH QRP
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Quality Measures and Measure Concepts
Functional mobility outcomes.
Sepsis.
Opioid use and frequency.
Exchange of electronic health information and interoperability.
Nutritional status.
Standardized Patient Assessment Data Elements (SPADEs)
Cognitive complexity, such as executive function and memory.
Dementia.
Bladder and bowel continence including appliance use and episodes of incontinence.
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FUTURE MEASURES, MEASURE CONCEPTS, AND STANDARDIZED PATIENT ASSESSMENT DATA ELEMENTS (SPADES)
UNDER CONSIDERATION FOR THE LTCH QRP—Continued
Care preferences, advance care directives, and goals of care.
Caregiver Status.
Veteran Status.
Health disparities and risk factors, including education, sex and gender identity, and sexual orientation.
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While we will not be responding to
specific comments submitted in
response to this Request for Information
in the FY 2020 IPPS/LTCH PPS final
rule, we intend to use this input to
inform our future measure and SPADE
development efforts.
6. Proposed Standardized Patient
Assessment Data Reporting Beginning
With the FY 2022 LTCH QRP
Section 1886(m)(5)(F)(ii) of the Act
requires that, for fiscal year 2019 and
each subsequent year, LTCHs must
report standardized patient assessment
data (SPADE), required under section
1899B(b)(1) of the Act. Section
1899B(a)(1)(C) of the Act requires, in
part, the Secretary to modify the PAC
assessment instruments in order for
PAC providers, including LTCHs, to
submit SPADEs under the Medicare
program. Section 1899B(b)(1)(A) of the
Act requires PAC providers to submit
SPADEs under applicable reporting
provisions (which, for LTCHs, is the
LTCH QRP) with respect to the
admissions and discharges of an
individual (and more frequently as the
Secretary deems appropriate), and
section 1899B(b)(1)(B) of the Act defines
standardized patient assessment data as
data required for at least the quality
measures described in section
1899B(c)(1) of the Act and that is with
respect to the following categories: (1)
Functional status, such as mobility and
self-care at admission to a PAC provider
and before discharge from a PAC
provider; (2) cognitive function, such as
ability to express ideas and to
understand, and mental status, such as
depression and dementia; (3) special
services, treatments, and interventions,
such as need for ventilator use, dialysis,
chemotherapy, central line placement,
and total parenteral nutrition; (4)
medical conditions and comorbidities,
such as diabetes, congestive heart
failure, and pressure ulcers; (5)
impairments, such as incontinence and
an impaired ability to hear, see, or
swallow; and (6) other categories
deemed necessary and appropriate by
the Secretary.
In the FY 2018 IPPS/LTCH PPS
proposed rule (82 FR 20100 through
20116), we proposed to adopt SPADEs
that would satisfy the first five
categories. In the FY 2018 IPPS/LTCH
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PPS final rule, commenters expressed
support for our adoption of SPADEs in
general, including support for our
broader standardization goal and
support for the clinical usefulness of
specific proposed SPADEs. However,
we did not finalize the majority of our
SPADE proposals in recognition of the
concern raised by many commenters
that we were moving too fast to adopt
the SPADEs and modify our assessment
instruments in light of all of the other
requirements we were also adopting
under the IMPACT Act at that time (82
FR 38457 through 38458). In addition,
we noted our intention to conduct
extensive testing to ensure that the
standardized patient assessment data
elements we select are reliable, valid,
and appropriate for their intended use
(82 FR 38451 through 38452).
We did, however, finalize the
adoption of SPADEs for two of the
categories described in section
1899B(b)(1)(B) of the Act: (1) Functional
status: Data elements currently reported
by LTCHs to calculate the measure
Application of Percent of Long-Term
Care Hospital Patients with an
Admission and Discharge Functional
Assessment and a Care Plan That
Addresses Function (NQF #2631); and
(2) Medical conditions and
comorbidities: The data elements used
to calculate the pressure ulcer measures,
Percent of Residents or Patients with
Pressure Ulcers That Are New or
Worsened (Short Stay) (NQF #0678) and
the replacement measure, Changes in
Skin Integrity Post-Acute Care: Pressure
Ulcer/Injury. We stated that these data
elements were important for care
planning, known to be valid and
reliable, and already being reported by
LTCHs for the calculation of quality
measures (82 FR 38453 through 38454).
Since we issued the FY 2018 IPPS/
LTCH PPS final rule, LTCHs have had
an opportunity to familiarize themselves
with other new reporting requirements
that we have adopted under the
IMPACT Act. We have also conducted
further testing of the SPADEs, as
described more fully below, and believe
this testing supports the use of the
SPADEs in our PAC assessment
instruments. Therefore, we are now
proposing to adopt many of the same
SPADEs that we previously proposed to
adopt, along with other SPADEs.
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We are proposing that LTCHs would
be required to report these SPADEs
beginning with the FY 2022 LTCH QRP.
If finalized as proposed, LTCHs would
be required to report these data with
respect to LTCH admissions and
discharges that occur between October
1, 2020 and December 31, 2020 for the
FY 2022 LTCH QRP. Beginning with the
FY 2023 LTCH QRP, we are proposing
that LTCHs must report data with
respect to admissions and discharges
that occur during the subsequent
calendar year (for example, CY 2021 for
the FY 2023 LTCH QRP, CY 2022 for the
FY 2024 LTCH QRP).
We are also proposing that LTCHs
that submit the Hearing, Vision, Race,
and Ethnicity SPADEs with respect to
admission only will be deemed to have
submitted those SPADEs with respect to
both admission and discharge, because
it is unlikely that the assessment of
those SPADEs at admission will differ
from the assessment of the same
SPADEs at discharge.
In selecting the proposed SPADEs
below, we considered the burden of
assessment-based data collection and
aimed to minimize additional burden by
evaluating whether any data that is
currently collected through one or more
PAC assessment instruments could be
collected as SPADE. In selecting the
proposed SPADEs below, we also took
into consideration the following factors
with respect to each data element:
(1) Overall clinical relevance;
(2) Interoperable exchange to facilitate
care coordination during transitions in
care;
(3) Ability to capture medical
complexity and risk factors that can
inform both payment and quality; and
(4) Scientific reliability and validity,
general consensus agreement for its
usability.
In identifying the SPADEs proposed
below, we also drew on input from
several sources, including TEPs held by
our data element contractor, public
input, and the results of a recent
National Beta Test of candidate data
elements conducted by our data element
contractor (hereafter ‘‘National Beta
Test’’).
The National Beta Test collected data
from 3,121 patients and residents across
143 LTCHs, SNFs, IRFs, and HHAs from
November 2017 to August 2018 to
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evaluate the feasibility, reliability, and
validity of the candidate data elements
across PAC settings. The National Beta
Test also gathered feedback on the
candidate data elements from staff who
administered the test protocol in order
to understand usability and workflow of
the candidate data elements. More
information on the methods, analysis
plan, and results for the National Beta
Test are available in the document
titled, ‘‘Development and Evaluation of
Candidate Standardized Patient
Assessment Data Elements: Findings
from the National Beta Test (Volume
2),’’ available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
Further, to inform the proposed
SPADEs, we took into account feedback
from stakeholders, as well as from
technical and clinical experts, including
feedback on whether the candidate data
elements would support the factors
described above. Where relevant, we
also took into account the results of the
Post-Acute Care Payment Reform
Demonstration (PAC PRD) that took
place from 2006 to 2012.
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7. Proposed Standardized Patient
Assessment Data by Category
a. Functional Status Data
We are proposing to adopt six
functional status data elements as
SPADEs under the category of
functional status under section
1899B(b)(1)(B)(i) of the Act. These six
data elements are: Car transfer; Walking
10 feet on uneven surfaces; 1-step
(curb); 4 steps; 12 steps; and Picking up
object. We are proposing to add these to
the LCDS as SPADEs under section
1899B(b)(1)(B)(i) of the Act. We adopted
these six mobility data elements into the
SNF, IRF, and HH QRPs as SPADEs
under their respective patient/resident
assessment instruments. In the FY 2018
IPPS/LTCH PPS final rule (82 FR 38429
through 38430), we finalized our
definition of ‘‘standardized patient
assessment data’’ as patient assessment
questions and response options that are
identical in all four PAC assessment
instruments, and to which identical
standards and definitions apply. In
order for these six mobility data
elements to be in all four PAC
assessment instruments, we are
proposing that they also meet the
definition of standardized patient
assessment data for functional status
under section 1899B(b)(1)(B)(i) of the
Act, and that the successful reporting of
such data under section 1886(m)(5)(F)(i)
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of the Act will also satisfy the
requirement to report standardized
patient assessment data under section
1886(m)(5)(F)(ii) of the Act.
The data elements listed above were
implemented in the IRF QRP and SNF
QRP when we adopted the quality
measures, Change in Mobility Score
(NQF #2634) and Discharge Mobility
Score (NQF #2636), into the IRF QRP in
the FY 2016 IRF PPS final rule (80 FR
47111 through 47120) and the SNF QRP
in the FY 2018 SNF PPS final rule (82
FR 36577 through 36593). In addition,
we implemented these six mobility data
elements in the HH setting. The CY
2018 HH PPS final rule (82 FR 51733
through 51734) finalized that these six
mobility data elements meet the
definition of standardized patient
assessment data for functional status
under section 1899B(b)(1)(B)(i) of the
Act.
The six mobility data elements are
currently collected in Section GG:
Functional Abilities and Goals located
in the current versions of the MDS,
OASIS, and the IRF–PAI assessment
instruments. For more information on
the six functional mobility data
elements, we refer readers to the
document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
We are proposing to adopt the
functional mobility data elements as
SPADEs for use in the LTCH QRP.
b. Cognitive Function and Mental Status
Data
A number of underlying conditions,
including dementia, stroke, traumatic
brain injury, side effects of medication,
metabolic and/or endocrine imbalances,
delirium, and depression, can affect
cognitive function and mental status in
PAC patient and resident
populations.697 The assessment of
cognitive function and mental status by
PAC providers is important because of
the high percentage of patients and
residents with these conditions,698 and
because these assessments provide
697 National Institute on Aging. (2014). Assessing
Cognitive Impairment in Older Patients. A Quick
Guide for Primary Care Physicians. Retrieved from:
https://www.nia.nih.gov/alzheimers/publication/
assessing-cognitive-impairment-older-patients.
698 Gage B., Morley M., Smith L., et al. (2012).
Post-Acute Care Payment Reform Demonstration
(Final report, Volume 4 of 4). Research Triangle
Park, NC: RTI International.
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opportunity for improving quality of
care.
Symptoms of dementia may improve
with pharmacotherapy, occupational
therapy, or physical activity,699 700 701
and promising treatments for severe
traumatic brain injury are currently
being tested.702 For older patients and
residents diagnosed with depression,
treatment options to reduce symptoms
and improve quality of life include
antidepressant medication and
psychotherapy,703 704 705 706 and targeted
services, such as therapeutic recreation,
exercise, and restorative nursing, to
increase opportunities for psychosocial
interaction.707
In alignment with our Meaningful
Measures Initiative, accurate assessment
of cognitive function and mental status
of patients and residents in PAC is
expected to make care safer by reducing
harm caused in the delivery of care;
promote effective prevention and
treatment of chronic disease; strengthen
person and family engagement as
partners in their care; and promote
effective communication and
coordination of care. For example,
standardized assessment of cognitive
function and mental status of patients
and residents in PAC will support
establishing a baseline for identifying
699 Casey D.A., Antimisiaris D., O’Brien J. (2010).
Drugs for Alzheimer’s Disease: Are They Effective?
Pharmacology & Therapeutics, 35, 208–11.
700 Graff M.J., Vernooij-Dassen M.J., Thijssen M.,
Dekker J., Hoefnagels W.H., Rikkert M.G.O. (2006).
Community Based Occupational Therapy for
Patients with Dementia and their Care Givers:
Randomised Controlled Trial. BMJ, 333(7580):
1196.
701 Bherer L., Erickson K.I., Liu-Ambrose T.
(2013). A Review of the Effects of Physical Activity
and Exercise on Cognitive and Brain Functions in
Older Adults. Journal of Aging Research, 657508.
702 Giacino J.T., Whyte J., Bagiella E., et al. (2012).
Placebo-controlled trial of amantadine for severe
traumatic brain injury. New England Journal of
Medicine, 366(9), 819–826.
703 Alexopoulos G.S., Katz I.R., Reynolds C.F. 3rd,
Carpenter D., Docherty J.P., Ross R.W. (2001).
Pharmacotherapy of depression in older patients: A
summary of the expert consensus guidelines.
Journal of Psychiatric Practice, 7(6), 361–376.
704 Arean P.A., Cook B.L. (2002). Psychotherapy
and combined psychotherapy/pharmacotherapy for
late life depression. Biological Psychiatry, 52(3),
293–303.
705 Hollon S.D., Jarrett R.B., Nierenberg A.A.,
Thase M.E., Trivedi M., Rush A.J. (2005).
Psychotherapy and medication in the treatment of
adult and geriatric depression: Which monotherapy
or combined treatment? Journal of Clinical
Psychiatry, 66(4), 455–468.
706 Wagenaar D, Colenda CC, Kreft M, Sawade J,
Gardiner J, Poverejan E. (2003). Treating depression
in nursing homes: Practice guidelines in the real
world. J Am Osteopath Assoc. 103(10), 465–469.
707 Crespy SD, Van Haitsma K, Kleban M, Hann
CJ. Reducing Depressive Symptoms in Nursing
Home Residents: Evaluation of the Pennsylvania
Depression Collaborative Quality Improvement
Program. J Healthc Qual. 2016. Vol. 38, No. 6, pp.
e76–e88.
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changes in cognitive function and
mental status (for example, delirium),
anticipating the patient’s or resident’s
ability to understand and participate in
treatments during a PAC stay, ensuring
patient and resident safety (for example,
risk of falls), and identifying appropriate
support needs at the time of discharge
or transfer. SPADEs will enable or
support clinical decision-making and
early clinical intervention; personcentered, high quality care through
facilitating better care continuity and
coordination; better data exchange and
interoperability between settings; and
longitudinal outcome analysis.
Therefore, reliable SPADEs assessing
cognitive function and mental status are
needed in order to initiate a
management program that can optimize
a patient’s or resident’s prognosis and
reduce the possibility of adverse events.
We describe each of the proposed
cognitive function and mental status
data SPADEs below.
amozie on DSK9F9SC42PROD with PROPOSALS2
• Brief Interview for Mental Status
(BIMS)
We are proposing that the data
elements that comprise the BIMS meet
the definition of standardized patient
assessment data with respect to
cognitive function and mental status
under section 1899B(b)(1)(B)(ii) of the
Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20100
through 20101), dementia and cognitive
impairment are associated with longterm functional dependence and,
consequently, poor quality of life and
increased health care costs and
mortality.708 This makes assessment of
mental status and early detection of
cognitive decline or impairment critical
in the PAC setting. The intensity of
routine nursing care is higher for
patients and residents with cognitive
impairment than those without, and
dementia is a significant variable in
predicting readmission after discharge
to the community from PAC
providers.709
The BIMS is a performance-based
cognitive assessment screening tool that
assesses repetition, recall with and
without prompting, and temporal
orientation. The data elements that
make up the BIMS are seven questions
on the repetition of three words,
708 Agu
¨ ero-Torres, H., Fratiglioni, L., Guo, Z.,
Viitanen, M., von Strauss, E., & Winblad, B. (1998).
‘‘Dementia is the major cause of functional
dependence in the elderly: 3-year follow-up data
from a population-based study.’’ Am J of Public
Health 88(10): 1452–1456.
709 RTI International. Proposed Measure
Specifications for Measures Proposed in the FY
2017 LTCH QRP NPRM. Research Triangle Park,
NC. 2016.
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temporal orientation, and recall that
result in a cognitive function score. The
BIMS was developed to be a brief,
objective screening tool, with a focus on
learning and memory. As a brief
screener, the BIMS was not designed to
diagnose dementia or cognitive
impairment, but rather to be a relatively
quick and easy to score assessment that
could identify cognitively impaired
patients as well as those who may be at
risk for cognitive decline and require
further assessment. It is currently in use
in two of the PAC assessments: The
MDS used by SNFs and the IRF–PAI
used by IRFs. For more information on
the BIMS, we refer readers to the
document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
The data elements that comprise the
BIMS were first proposed as SPADEs in
the FY 2018 IPPS/LTCH PPS proposed
rule (82 FR 20100 through 20101). In
that proposed rule, we stated that the
proposal was informed by input we
received through a call for input
published on the CMS Measures
Management System Blueprint website.
Input submitted from August 12 to
September 12, 2016 expressed support
for use of the BIMS, noting that it is
reliable, feasible to use across settings,
and will provide useful information
about patients and residents. We also
stated that those commenters had noted
that the data collected through the BIMS
will provide a clearer picture of patient
or resident complexity, help with the
care planning process, and be useful
during care transitions and when
coordinating across providers. A
summary report for the August 12 to
September 12, 2016 public comment
period titled ‘‘SPADE August 2016
Public Comment Summary Report’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the BIMS, with several commenters
noting the importance of routine
assessment of cognitive status and
supporting the use of the BIMS to
identify individuals with cognitive
impairment. However, commenters
expressed concerns about not having
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recent, comprehensive field testing of
the proposed data elements. In addition,
some commenters were critical of the
BIMS, citing burden of administering
the items and its limitation in assessing
mild cognitive impairment and
‘‘functional’’ cognition related to
executive function and everyday
decision-making.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the BIMS was included in the
National Beta Test of candidate data
elements conducted by our data element
contractor from November 2017 to
August 2018. Results of this test found
the BIMS to be feasible and reliable for
use with PAC patients and residents.
More information about the
performance of the BIMS in the National
Beta Test can be found in the document
titled ‘‘Proposed Specifications for
LTCH QRP Quality Measures and
Standardized Patient Assessment Data
Elements,’’ available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In, addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the proposed
standardized patient assessment data
elements, and the TEP supported the
assessment of patient or resident
cognitive status at both admission and
discharge. A summary of the September
17, 2018 TEP meeting titled ‘‘SPADE
Technical Expert Panel Summary (Third
Convening)’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our on-going
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
Some commenters expressed concern
that the BIMS, if used alone, may not be
sensitive enough to capture the range of
cognitive impairments, including mild
cognitive impairment. A summary of the
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public input received from the
November 27, 2018 stakeholder meeting
titled ‘‘Input on Standardized Patient
Assessment Data Elements (SPADEs)
Received After November 27, 2018
Stakeholder Meeting’’ is available at:
https://www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
We understand the concerns raised by
stakeholders that BIMS, if used alone,
may not be sensitive enough to capture
the range of cognitive impairments,
including functional cognition and MCI,
but note that the purpose of the BIMS
data elements as SPADEs is to screen for
cognitive impairment in a broad
population. We also acknowledge that
further cognitive tests may be required
based on a patient’s condition and will
take this feedback into consideration in
the development of future standardized
assessment data elements. However,
taking together the importance of
assessing for cognitive status,
stakeholder input, and strong test
results, we are proposing that the BIMS
data elements meet the definition of
standardized patient assessment data
with respect to cognitive function and
mental status under section
1899B(b)(1)(B)(ii) of the Act, and to
adopt the BIMS as standardized patient
assessment data for use in the LTCH
QRP.
amozie on DSK9F9SC42PROD with PROPOSALS2
• Confusion Assessment Method (CAM)
We are proposing that the data
elements that comprise the Confusion
Assessment Method (CAM) meet the
definition of standardized patient
assessment data with respect to
cognitive function and mental status
under section 1899B(b)(1)(B)(ii) of the
Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20101
through 20102), the CAM was
developed to identify the signs and
symptoms of delirium. It results in a
score that suggests whether a patient or
resident should be assigned a diagnosis
of delirium. Because patients and
residents with multiple comorbidities
receive services from PAC providers, it
is important to assess delirium, which is
associated with a high mortality rate
and prolonged duration of stay in
hospitalized older adults.710 Assessing
these signs and symptoms of delirium is
710 Fick, D.M., Steis, M.R., Waller, J.L., & Inouye,
S.K. (2013). ‘‘Delirium superimposed on dementia
is associated with prolonged length of stay and poor
outcomes in hospitalized older adults.’’ J of
Hospital Med 8(9): 500–505.
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clinically relevant for care planning by
PAC providers.
The CAM is a patient assessment that
screens for overall cognitive
impairment, as well as distinguishes
delirium or reversible confusion from
other types of cognitive impairment.
The CAM is currently in use in two of
the PAC assessments: A four-item
version of the CAM is used in the MDS
in SNFs, and a six-item version of the
CAM is used in the LCDS in LTCHs. We
are proposing to replace the version of
the CAM currently used in the LCDS
with the four-item version of the CAM
currently used in the MDS. The
proposed four-item version assesses
acute change in mental status,
inattention, disorganized thinking, and
altered level of consciousness. For more
information on the CAM, we refer
readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
The data elements that comprise the
CAM were first proposed as SPADEs in
the FY 2018 IPPS/LTCH PPS proposed
rule (82 FR 20101 through 20102). In
that proposed rule, we stated that the
proposal was informed by input we
received through a call for input
published on the CMS Measures
Management System Blueprint website.
Input submitted from August 12 to
September 12, 2016 expressed support
for use of the CAM, noting that it would
provide important information for care
planning and care coordination and,
therefore, contribute to quality
improvement. We also stated that those
commenters noted it is particularly
helpful in distinguishing delirium and
reversible confusion from other types of
cognitive impairment. A summary
report for the August 12 to September
12, 2016 public comment period titled
‘‘SPADE August 2016 Public Comment
Summary Report’’ is available at:
https://www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments (82 FR 20101
through 20102) in support of the CAM.
Commenters supported the continued
use of the CAM in the LCDS. However,
commenters expressed concerns about
PO 00000
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19521
not having recent, comprehensive field
testing of proposed data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the CAM was included in the
National Beta Test of candidate data
elements conducted by our data element
contractor from November 2017 to
August 2018. Results of this test found
the CAM to be feasible and reliable for
use with PAC patients and residents.
More information about the
performance of the CAM in the National
Beta Test can be found in the document
titled ‘‘Proposed Specifications for
LTCH QRP Quality Measures and
Standardized Patient Assessment Data
Elements,’’ available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018, for the purpose of
soliciting input on the proposed
standardized patient assessment data
elements. Although they did not
specifically discuss the CAM data
elements, the TEP supported the
assessment of patient or resident
cognitive status with respect to both
admission and discharge. A summary of
the September 17, 2018 TEP meeting
titled ‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
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IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for delirium, stakeholder
input, and strong test results, we are
proposing that the CAM data elements
meet the definition of standardized
patient assessment data with respect to
cognitive function and mental status
under section 1899B(b)(1)(B)(ii) of the
Act, and to adopt the CAM as
standardized patient assessment data for
use in the LTCH QRP.
amozie on DSK9F9SC42PROD with PROPOSALS2
• Patient Health Questionnaire–2 to 9
(PHQ–2 to 9)
We are proposing that the Patient
Health Questionnaire–2 to 9 (PHQ–2 to
9) data elements meet the definition of
standardized patient assessment data
with respect to cognitive function and
mental status under section
1899B(b)(1)(B)(ii) of the Act. The
proposed data elements are based on the
PHQ–2 mood interview, which focuses
on only the two cardinal symptoms of
depression, and the longer PHQ–9 mood
interview, which assesses presence and
frequency of nine signs and symptoms
of depression. The name of the data
element, the PHQ–2 to 9, refers to an
embedded a skip pattern that transitions
patients with a threshold level of
symptoms in the PHQ–2 to the longer
assessment of the PHQ–9. The skip
pattern is described further below.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20102
through 20103), depression is a common
and under-recognized mental health
condition. Assessments of depression
help PAC providers better understand
the needs of their patients and residents
by: Prompting further evaluation after
establishing a diagnosis of depression;
elucidating the patient’s or resident’s
ability to participate in therapies for
conditions other than depression during
their stay; and identifying appropriate
ongoing treatment and support needs at
the time of discharge.
The proposed PHQ–2 to 9 is based on
the PHQ–9 mood interview. The PHQ–
2 consists of questions about only the
first two symptoms addressed in the
PHQ–9: Depressed mood and anhedonia
(inability to feel pleasure), which are the
cardinal symptoms of depression. The
PHQ–2 has performed well as both a
screening tool for identifying
depression, to assess depression
severity, and to monitor patient mood
over time.711 712 If a patient
711 Li, C., Friedman, B., Conwell, Y., & Fiscella,
K. (2007). ‘‘Validity of the Patient Health
Questionnaire 2 (PHQ-2) in identifying major
depression in older people.’’ J of the A Geriatrics
Society, 55(4): 596–602.
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demonstrates signs of depressed mood
and anhedonia under the PHQ–2, then
the patient is administered the lengthier
PHQ–9. This skip pattern (also referred
to as a gateway) is designed to reduce
the length of the interview assessment
for patients who fail to report the
cardinal symptoms of depression. The
design of the PHQ–2 to 9 reduces the
burden that would be associated with
the full PHQ–9, while ensuring that
patients with indications of depressive
symptoms based on the PHQ–2 receive
the longer assessment.
Components of the proposed data
elements are currently used in the
OASIS for HHAs (PHQ–2) and the MDS
for SNFs (PHQ–9). For more information
on the PHQ–2 to 9, we refer readers to
the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
We proposed the PHQ–2 data
elements as SPADEs in the FY 2018
IPPS/LTCH PPS proposed rule (82 FR
20102 through 20103). In that proposed
rule we stated that the proposal was
informed by input we received from the
TEP convened by our data element
contractor on April 6 and 7, 2016. The
TEP members particularly noted that the
brevity of the PHQ–2 made it feasible to
administer with low burden for both
assessors and PAC patients or residents.
A summary of the April 6 and 7, 2016
TEP meeting titled ‘‘SPADE Technical
Expert Panel Summary (First
Convening)’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
That rule proposal was also informed
by public input that we received
through a call for input published on
the CMS Measures Management System
Blueprint website. Input was submitted
from August 12 to September 12, 2016
on three versions of the PHQ depression
screener: The PHQ–2; the PHQ–9; and
the PHQ–2 to 9 with the skip pattern
design. Many commenters were
supportive of the standardized
assessment of mood in PAC settings,
given the role that depression plays in
712 Lo
¨ we, B., Kroenke, K., & Gra¨fe, K. (2005).
‘‘Detecting and monitoring depression with a twoitem questionnaire (PHQ–2).’’ J of Psychosomatic
Research, 58(2): 163–171.
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Fmt 4701
Sfmt 4702
well-being. Several commenters
expressed support for an approach that
would use PHQ–2 as a gateway to the
longer PHQ–9 while still potentially
reducing burden on most patients and
residents, as well as test administrators,
and ensuring the administration of the
PHQ–9, which exhibits higher
specificity,713 for patients and residents
who showed signs and symptoms of
depression on the PHQ–2. A summary
report for the August 12 to September
12, 2016 public comment period titled
‘‘SPADE August 2016 Public Comment
Summary Report’’ is available at:
https://www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In response to our proposal to use the
PHQ–2 in the FY 2018 IPPS/LTCH PPS
proposed rule, we received comments
agreeing that it was important to
standardize the assessment of
depression in patients receiving PAC
services. Many commenters also raised
concerns about the ability of the PHQ–
2 to correctly identify all patients with
signs and symptoms of depression and
noted that the proposed PHQ–2 was not
supported by recent, comprehensive
field testing. In response to these
comments, we carried out additional
testing, and we provide our findings
below.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the PHQ–2 to 9 data elements were
included in the National Beta Test of
candidate data elements conducted by
our data element contractor from
November 2017 to August 2018. Results
of this test found the PHQ–2 to 9 to be
feasible and reliable for use with PAC
patients and residents. More
information about the performance of
the PHQ–2 to 9 in the National Beta Test
can be found in the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
713 Arroll B, Goodyear-Smith F, Crengle S, Gunn
J, Kerse N, Fishman T, et al. Validation of PHQ–2
and PHQ–9 to screen for major depression in the
primary care population. Annals of family
medicine. 2010;8(4):348–53. doi: 10.1370/afm.1139
pmid:20644190; PubMed Central PMCID:
PMC2906530.
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soliciting input on the PHQ–2 to 9. The
TEP was supportive of the PHQ–2 to 9
data element set as a screener for signs
and symptoms of depression. The TEP’s
discussion noted that symptoms
evaluated by the full PHQ–9 (for
example, concentration, sleep, appetite)
had relevance to care planning and the
overall well-being of the patient or
resident, but that the gateway approach
of the PHQ–2 to 9 would be appropriate
as a depression screening assessment, as
it depends on the well-validated PHQ–
2 and focuses on the cardinal symptoms
of depression. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our on-going
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for depression, stakeholder
input, and strong test results, in this
proposed rule, we are proposing that the
PHQ–2 to 9 data elements meet the
definition of standardized patient
assessment data with respect to
cognitive function and mental status
under section 1899B(b)(1)(B)(ii) of the
Act, and to adopt the PHQ–2 to 9 as
standardized patient assessment data for
use in the LTCH QRP.
c. Special Services, Treatments, and
Interventions Data
Special services, treatments, and
interventions performed in PAC can
have a major effect on an individual’s
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health status, self-image, and quality of
life. The assessment of these special
services, treatments, and interventions
in PAC is important to ensure the
continuing appropriateness of care for
the patients and residents receiving
them, and to support care transitions
from one PAC provider to another, an
acute care hospital, or discharge. In
alignment with our Meaningful
Measures Initiative, accurate assessment
of special services, treatments, and
interventions of patients and residents
served by PAC providers is expected to
make care safer by reducing harm
caused in the delivery of care; promote
effective prevention and treatment of
chronic disease; strengthen person and
family engagement as partners in their
care; and promote effective
communication and coordination of
care.
For example, standardized assessment
of special services, treatments, and
interventions used in PAC can promote
patient and resident safety through
appropriate care planning (for example,
mitigating risks such as infection or
pulmonary embolism associated with
central intravenous access), and
identifying life-sustaining treatments
that must be continued, such as
mechanical ventilation, dialysis,
suctioning, and chemotherapy, at the
time of discharge or transfer.
Standardized assessment of these data
elements will enable or support:
Clinical decision-making and early
clinical intervention; person-centered,
high quality care through, for example,
facilitating better care continuity and
coordination; better data exchange and
interoperability between settings; and
longitudinal outcome analysis.
Therefore, reliable data elements
assessing special services, treatments,
and interventions are needed to initiate
a management program that can
optimize a patient’s or resident’s
prognosis and reduce the possibility of
adverse events.
A TEP convened by our data element
contractor provided input on the
proposed data elements for special
services, treatments, and interventions.
In a meeting held on January 5 and 6,
2017, this TEP found that these data
elements are appropriate for
standardization because they would
provide useful clinical information to
inform care planning and care
coordination. The TEP affirmed that
assessment of these services and
interventions is standard clinical
practice, and that the collection of these
data by means of a list and checkbox
format would conform with common
workflow for PAC providers. A
summary of the January 5 and 6, 2017
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TEP meeting titled ‘‘SPADE Technical
Expert Panel Summary (Second
Convening)’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Comments on the category of special
services, treatments, and interventions
were also submitted by stakeholders
during the FY 2018 IPPS/LTCH PPS
proposed rule public comment period.
Although a few commenters noted the
burden that the data elements for
special services, treatments, and
interventions will place on assessors
and providers, we also received support
for these data elements, noting their
ability to inform care planning and care
coordination.
Information on data element
performance in the National Beta Test,
which collected data between November
2017 and August 2018, is reported
within each data element proposal
below. Clinical staff who participated in
the National Beta Test supported these
data elements because of their
importance in conveying patient or
resident significant health care needs,
complexity, and progress. However,
clinical staff also noted that, despite the
simple ‘‘check box’’ format of these data
element, they sometimes needed to
consult multiple information sources to
determine a patient’s or resident’s
treatments.
• Cancer Treatment: Chemotherapy (IV,
Oral, Other)
We are proposing that the
Chemotherapy (IV, Oral, Other) data
element meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20103
through 20104), chemotherapy is a type
of cancer treatment that uses drugs to
destroy cancer cells. It is sometimes
used when a patient has a malignancy
(cancer), which is a serious, often lifethreatening or life-limiting condition.
Both intravenous (IV) and oral
chemotherapy have serious side effects,
including nausea/vomiting, extreme
fatigue, risk of infection due to a
suppressed immune system, anemia,
and an increased risk of bleeding due to
low platelet counts. Oral chemotherapy
can be as potent as chemotherapy given
by IV, and can be significantly more
convenient and less resource-intensive
to administer. Because of the toxicity of
these agents, special care must be
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exercised in handling and transporting
chemotherapy drugs. IV chemotherapy
is administered either peripherally or
more commonly given via an indwelling
central line, which raises the risk of
bloodstream infections. Given the
significant burden of malignancy, the
resource intensity of administering
chemotherapy, and the side effects and
potential complications of these highlytoxic medications, assessing the receipt
of chemotherapy is important in the
PAC setting for care planning and
determining resource use. The need for
chemotherapy predicts resource
intensity, both because of the
complexity of administering these
potent, toxic drug combinations under
specific protocols, and because of what
the need for chemotherapy signals about
the patient’s underlying medical
condition. Furthermore, the resource
intensity of IV chemotherapy is higher
than for oral chemotherapy, as the
protocols for administration and the
care of the central line (if present) for IV
chemotherapy require significant
resources.
The Chemotherapy (IV, Oral, Other)
data element consists of a principal data
element (Chemotherapy) and three
response option sub-elements: IV
chemotherapy, which is generally
resource-intensive; Oral chemotherapy,
which is less invasive and generally
requires less intensive administration
protocols; and a third category, Other,
provided to enable the capture of other
less common chemotherapeutic
approaches. This third category is
potentially associated with higher risks
and is more resource intensive due to
chemotherapy delivery by other routes
(for example, intraventricular or
intrathecal). If the assessor indicates
that the patient is receiving
chemotherapy on the principal
Chemotherapy data element, the
assessor would then indicate by which
route or routes (for example, IV, Oral,
Other) the chemotherapy is
administered.
A single Chemotherapy data element
that does not include the proposed three
sub-elements is currently in use in the
MDS in SNFs. For more information on
the Chemotherapy (IV, Oral, Other) data
element, we refer readers to the
document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
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The Chemotherapy data element was
proposed as a SPADE in the FY 2018
IPPS/LTCH PPS proposed rule (82 FR
20103 through 20104). In that proposed
rule, we stated that the proposal was
informed by input we received through
a call for input published on the CMS
Measures Management System
Blueprint website. Input submitted from
August 12 to September 12, 2016
expressed support for the IV
Chemotherapy data element and
suggested it be included as standardized
patient assessment data. Commenters
stated that assessing the use of
chemotherapy services is relevant to
share across the care continuum to
facilitate care coordination and care
transitions and noted the validity of the
data element. Commenters also noted
the importance of capturing all types of
chemotherapy, regardless of route, and
stated that collecting data only on
patients and residents who received
chemotherapy by IV would limit the
usefulness of this standardized data
element. A summary report for the
August 12 to September 12, 2016 public
comment period titled ‘‘SPADE August
2016 Public Comment Summary
Report’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the special services, treatments, and
interventions data elements in general;
no additional comments were received
that were specific to the Chemotherapy
data element other than concerns about
not having recent, comprehensive field
testing of proposed data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Chemotherapy data element
was included in the National Beta Test
of candidate data elements conducted
by our data element contractor from
November 2017 to August 2018. Results
of this test found the Chemotherapy
data element to be feasible and reliable
for use with PAC patients and residents.
More information about the
performance of the Chemotherapy data
element in the National Beta Test can be
found in the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
PO 00000
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IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions. Although
the TEP members did not specifically
discuss the Chemotherapy data
elements, the TEP supported the
assessment of the special services,
treatments, and interventions included
in the National Beta Test with respect to
both admission and discharge. A
summary of the September 17, 2018 TEP
meeting titled ‘‘SPADE Technical Expert
Panel Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for chemotherapy, stakeholder
input, and strong test results, we are
proposing that the Chemotherapy (IV,
Oral, Other) data element with a
principal data element and three subelements meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act,
and to adopt the Chemotherapy (IV,
Oral, Other) data element as
standardized patient assessment data for
use in the LTCH QRP.
• Cancer Treatment: Radiation
We are proposing that the Radiation
data element meets the definition of
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standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20104
through 20105), radiation is a type of
cancer treatment that uses high-energy
radioactivity to stop cancer by damaging
cancer cell DNA, but it can also damage
normal cells. Radiation is an important
therapy for particular types of cancer,
and the resource utilization is high,
with frequent radiation sessions
required, often daily for a period of
several weeks. Assessing whether a
patient or resident is receiving radiation
therapy is important to determine
resource utilization because PAC
patients and residents will need to be
transported to and from radiation
treatments, and monitored and treated
for side effects after receiving this
intervention. Therefore, assessing the
receipt of radiation therapy, which
would compete with other care
processes given the time burden, would
be important for care planning and care
coordination by PAC providers.
The proposed data element consists of
the single Radiation data element. The
Radiation data element is currently in
use in the MDS in SNFs. For more
information on the Radiation data
element, we refer readers to the
document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
The Radiation data element was first
proposed as a SPADE in the FY 2018
IPPS/LTCH PPS proposed rule (82 FR
20104 through 20105). In that proposed
rule, we stated that the proposal was
informed by input we received through
a call for input published on the CMS
Measures Management System
Blueprint website. Input submitted from
August 12 to September 12, 2016
expressed support for the Radiation data
element, noting its importance and
clinical usefulness for patients in PAC
settings, due to the side effects and
consequences of radiation treatment on
patients that need to be considered in
care planning and care transitions, the
feasibility of the item, and the potential
for it to improve quality. A summary
report for the August 12 to September
12, 2016 public comment period titled
‘‘SPADE August 2016 Public Comment
Summary Report’’ is available at:
https://www.cms.gov/Medicare/Quality-
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Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the special services, treatments, and
interventions data elements in general;
no additional comments were received
that were specific to the Radiation data
element other than concerns about not
having recent, comprehensive field
testing of proposed data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Radiation data element was
included in the National Beta Test of
candidate data elements conducted by
our data element contractor from
November 2017 to August 2018. Results
of this test found the Radiation data
element to be feasible and reliable for
use with PAC patients and residents.
More information about the
performance of the Radiation data
element in the National Beta Test can be
found in the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
PO 00000
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19525
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for radiation, stakeholder
input, and strong test results, we are
proposing that the Radiation data
element meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act,
and to adopt the Radiation data element
as standardized patient assessment data
for use in the LTCH QRP.
• Respiratory Treatment: Oxygen
Therapy (Intermittent, Continuous,
High-Concentration Oxygen Delivery
System)
We are proposing that the Oxygen
Therapy (Intermittent, Continuous,
High-Concentration Oxygen Delivery
System) data element meets the
definition of standardized patient
assessment data with respect to special
services, treatments, and interventions
under section 1899B(b)(1)(B)(iii) of the
Act.
In the FY 2018 IPPS/LTCH PPS
proposed rule (82 FR 20105), we
proposed a similar set of data elements
related to oxygen therapy. Oxygen
therapy provides a patient or resident
with extra oxygen when medical
conditions such as chronic obstructive
pulmonary disease, pneumonia, or
severe asthma prevent the patient or
resident from getting enough oxygen
from breathing. Oxygen administration
is a resource-intensive intervention, as it
requires specialized equipment such as
a source of oxygen, delivery systems (for
example, oxygen concentrator, liquid
oxygen containers, and high-pressure
systems), the patient interface (for
example, nasal cannula or mask), and
other accessories (for example,
regulators, filters, tubing). The data
element proposed here captures patient
or resident use of three types of oxygen
therapy (intermittent, continuous, and
high-concentration oxygen delivery
system), which reflects the intensity of
care needed, including the level of
monitoring and bedside care required.
Assessing the receipt of this service is
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important for care planning and
resource use for PAC providers.
The proposed data element, Oxygen
Therapy, consists of the principal
Oxygen Therapy data element and three
response option sub-elements:
Continuous (whether the oxygen was
delivered continuously, typically
defined as >=14 hours per day);
Intermittent; or High-concentration
oxygen delivery system. Based on
public comments and input from expert
advisors about the importance and
clinical usefulness of documenting the
extent of oxygen use, we added a third
sub-element, high-concentration oxygen
delivery system, to the sub-elements,
which previously included only
intermittent and continuous. If the
assessor indicates that the patient is
receiving oxygen therapy on the
principal oxygen therapy data element,
the assessor then would indicate the
type of oxygen the patient receives (for
example, Continuous, Intermittent,
High-concentration oxygen delivery
system).
These three proposed sub-elements
were developed based on similar data
elements that assess oxygen therapy,
currently in use in the MDS in SNFs
(‘‘Oxygen Therapy’’), previously used in
the OASIS–C2 (‘‘Oxygen (intermittent or
continuous)’’), and a data element tested
in the PAC PRD that focused on
intensive oxygen therapy (‘‘High O2
Concentration Delivery System with
FiO2 >40 percent’’). For more
information on the proposed Oxygen
Therapy (Continuous, Intermittent,
High-concentration oxygen delivery
system) data element, we refer readers
to the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
The Oxygen Therapy (Continuous,
Intermittent) data element was first
proposed as a SPADE in the FY 2018
IPPS/LTCH PPS proposed rule (82 FR
20105). In that proposed rule, we stated
that the proposal was informed by input
we received on the single data element,
Oxygen (inclusive of intermittent and
continuous oxygen use), through a call
for input published on the CMS
Measures Management System
Blueprint website. Input submitted from
August 12 to September 12, 2016
expressed the importance of the Oxygen
data element, noting feasibility of this
item in PAC, and the relevance of it to
facilitating care coordination and
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supporting care transitions, but
suggesting that the extent of oxygen use
be documented. A summary report for
the August 12 to September 12, 2016
public comment period titled ‘‘SPADE
August 2016 Public Comment Summary
Report’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the special services, treatments, and
interventions data elements in general,
which are summarized above. In
response to our proposal, we received
comments in support of the Oxygen
Therapy (Continuous, Intermittent) data
element. A commenter also requested
the addition of a third sub-element to
differentiate between receipt of highflow oxygen (6 or more liters per
minute) and regular oxygen, noting that
it is a form of respiratory support
commonly used on patients with acute
respiratory failure and, therefore, could
be used as an indicator of patient
severity in future analysis. We also
received public comments related to
concerns about not having recent,
comprehensive field testing of proposed
data elements. In response to public
comments, we added a third subelement to the Oxygen Therapy data
element and carried out additional
testing, which we provide our findings
below.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Oxygen Therapy data element
was included in the National Beta Test
of candidate data elements conducted
by our data element contractor from
November 2017 to August 2018. Results
of this test found the Oxygen Therapy
data element to be feasible and reliable
for use with PAC patients and residents.
More information about the
performance of the Oxygen Therapy
data element in the National Beta Test
can be found in the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
PO 00000
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Sfmt 4702
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for oxygen therapy,
stakeholder input, and strong test
results, we are proposing that the
Oxygen Therapy (Intermittent,
Continuous, High-concentration oxygen
delivery system) data element with a
principal data element and three subelements meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act,
and to adopt the Oxygen Therapy
(Intermittent, Continuous, Highconcentration oxygen delivery system)
data element as standardized patient
assessment data for use in the LTCH
QRP.
• Respiratory Treatment: Suctioning
(Scheduled, As Needed)
We are proposing that the Suctioning
(Scheduled, As needed) data element
meets the definition of standardized
patient assessment data with respect to
special services, treatments, and
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interventions under section
1899B(b)(1)(B)(iii) of the Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20105
through 20106), suctioning is a process
used to clear secretions from the airway
when a person cannot clear those
secretions on his or her own. It is done
by aspirating secretions through a
catheter connected to a suction source.
Types of suctioning include
oropharyngeal and nasopharyngeal
suctioning, nasotracheal suctioning, and
suctioning through an artificial airway
such as a tracheostomy tube.
Oropharyngeal and nasopharyngeal
suctioning are a key part of many
patients’ care plans, both to prevent the
accumulation of secretions than can
lead to aspiration pneumonias (a
common condition in patients with
inadequate gag reflexes), and to relieve
obstructions from mucus plugging
during an acute or chronic respiratory
infection, which often lead to
desaturations and increased respiratory
effort. Suctioning can be done on a
scheduled basis if the patient is judged
to clinically benefit from regular
interventions, or can be done as needed
when secretions become so prominent
that gurgling or choking is noted, or a
sudden desaturation occurs from a
mucus plug. As suctioning is generally
performed by a care provider rather than
independently, this intervention can be
quite resource intensive if it occurs
every hour, for example, rather than
once a shift. It also signifies an
underlying medical condition that
prevents the patient from clearing his/
her secretions effectively (such as after
a stroke, or during an acute respiratory
infection). Generally, suctioning is
necessary to ensure that the airway is
clear of secretions which can inhibit
successful oxygenation of the
individual. The intent of suctioning is to
maintain a patent airway, the loss of
which can lead to death, or
complications associated with hypoxia.
The Suctioning (Scheduled, As
needed) data element consists of a
principal data element, and two subelements: Scheduled; and As needed.
These sub-elements capture two types of
suctioning. Scheduled indicates
suctioning based on a specific
frequency, such as every hour. As
needed means suctioning only when
indicated. If the assessor indicates that
the patient is receiving suctioning on
the principal Suctioning data element,
the assessor would then indicate the
frequency (for example, Scheduled, As
needed). The proposed data element is
based on an item currently in use in the
MDS in SNFs which does not include
our proposed two sub-elements, as well
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as data elements tested in the PAC PRD
that focused on the frequency of
suctioning required for patients with
tracheostomies (‘‘Trach Tube with
Suctioning: Specify most intensive
frequency of suctioning during stay
[Every lh hours]’’). For more
information on the Suctioning data
element, we refer readers to the
document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
The Suctioning data elements were
first proposed as SPADEs in the FY
2018 IPPS/LTCH PPS proposed rule (82
FR 20105 through 20106). In that
proposed rule, we stated that the
proposal was informed by input we
received through a call for input
published on the CMS Measures
Management System Blueprint website.
Input submitted from August 12, to
September 12, 2016 expressed support
of the Suctioning data element currently
used in the MDS in SNFs. The input
noted the feasibility of this item in PAC,
and the relevance of this data element
to facilitating care coordination and
supporting care transitions. We also
received public comments suggesting
that we examine the frequency of
suctioning in order to better understand
the use of staff time, the impact on a
patient or resident’s capacity to speak
and swallow, and intensity of care
required. Based on these comments, we
decided to add two sub-elements
(Scheduled and As needed) to the
suctioning element. The proposed
Suctioning data element includes both
the principal Suctioning data element
that is included on the MDS in SNFs
and two sub-elements, Scheduled and
As needed. A summary report for the
August 12 to September 12, 2016 public
comment period titled ‘‘SPADE August
2016 Public Comment Summary
Report’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the special services, treatments, and
interventions data elements in general;
no additional comments were received
that were specific to the Suctioning data
element other than concerns about not
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having recent, comprehensive field
testing of proposed data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Suctioning data element was
included in the National Beta Test of
candidate data elements conducted by
our data element contractor from
November 2017 to August 2018. Results
of this test found the Suctioning data
element to be feasible and reliable for
use with PAC patients and residents.
More information about the
performance of the Suctioning data
element in the National Beta Test can be
found in the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicited
additional comments. General input on
the testing and item development
process and concerns about burden
were received from stakeholders during
this meeting and via email through
February 1, 2019. A summary of the
public input received from the
November 27, 2018 stakeholder meeting
titled ‘‘Input on Standardized Patient
Assessment Data Elements (SPADEs)
Received After November 27, 2018
Stakeholder Meeting’’ is available at:
https://www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-Quality-
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Initiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for suctioning, stakeholder
input, and strong test results, we are
proposing that the Suctioning
(Scheduled, As needed) data element
with a principal data element and two
sub-elements meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act,
and to adopt the Suctioning (Scheduled,
As needed) data element as
standardized patient assessment data for
use in the LTCH QRP.
• Respiratory Treatment: Tracheostomy
Care
We are proposing that the
Tracheostomy Care data element meets
the definition of standardized patient
assessment data with respect to special
services, treatments, and interventions
under section 1899B(b)(1)(B)(iii) of the
Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20106
through 20107), a tracheostomy
provides an air passage to help a patient
or resident breathe when the usual route
for breathing is obstructed or impaired.
Generally, in all of these cases,
suctioning is necessary to ensure that
the tracheostomy is clear of secretions,
which can inhibit successful
oxygenation of the individual. Often,
individuals with tracheostomies are also
receiving supplemental oxygenation.
The presence of a tracheostomy, albeit
permanent or temporary, warrants
careful monitoring and immediate
intervention if the tracheostomy
becomes occluded or if the device used
becomes dislodged. While in rare cases
the presence of a tracheostomy is not
associated with increased care demands
(and in some of those instances, the care
of the ostomy is performed by the
patient) in general the presence of such
as device is associated with increased
patient risk, and clinical care services
will necessarily include close
monitoring to ensure that no lifethreatening events occur as a result of
the tracheostomy. In addition,
tracheostomy care, which primarily
consists of cleansing, dressing changes,
and replacement of the tracheostomy
cannula (tube), is a critical part of the
care plan. Regular cleansing is
important to prevent infection such as
pneumonia and to prevent any
occlusions with which there are risks
for inadequate oxygenation.
The proposed data element consists of
the single Tracheostomy Care data
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element. The proposed data element is
currently in use in the MDS in SNFs
(‘‘Tracheostomy care’’). For more
information on the Tracheostomy Care
data element, we refer readers to the
document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
The Tracheostomy Care data element
was first proposed as a SPADE in the FY
2018 IPPS/LTCH PPS proposed rule (82
FR 20106 through 20107). In that
proposed rule, we stated that the
proposal was informed by input we
received through a call for input
published on the CMS Measures
Management System Blueprint website.
Input submitted from August 12 to
September 12, 2016 expressed support
of the Tracheostomy Care data element,
noting the feasibility of this item in
PAC, and the relevance of this data
element to facilitating care coordination
and supporting care transitions. A
summary report for the August 12 to
September 12, 2016 public comment
period titled ‘‘SPADE August 2016
Public Comment Summary Report’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
During the FY 2018 IPPS/LTCH PPS
proposed rule comment period, we
received public comments in support of
the special services, treatments, and
interventions data elements in general;
no additional comments were received
that were specific to the Tracheostomy
Care data element other than concerns
about not having recent, comprehensive
field testing of proposed data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Tracheostomy Care data
element was included in the National
Beta Test of candidate data elements
conducted by our data element
contractor from November 2017 to
August 2018. Results of this test found
the Tracheostomy Care data element to
be feasible and reliable for use with PAC
patients and residents. More
information about the performance of
the Tracheostomy Care data element in
the National Beta Test can be found in
the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
PO 00000
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Fmt 4701
Sfmt 4702
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for tracheostomy care,
stakeholder input, and strong test
results, we are proposing that the
Tracheostomy Care data element meets
the definition of standardized patient
assessment data with respect to special
services, treatments, and interventions
under section 1899B(b)(1)(B)(iii) of the
Act, and to adopt the Tracheostomy
Care data element as standardized
patient assessment data for use in the
LTCH QRP.
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• Respiratory Treatment: Non-Invasive
Mechanical Ventilator (BiPAP, CPAP)
We are proposing that the Noninvasive Mechanical Ventilator (Bilevel
Positive Airway Pressure [BiPAP],
Continuous Positive Airway Pressure
[CPAP]) data element meets the
definition of standardized patient
assessment data with respect to special
services, treatments, and interventions
under section 1899B(b)(1)(B)(iii) of the
Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20107),
BiPAP and CPAP are respiratory
support devices that prevent the airways
from closing by delivering slightly
pressurized air via electronic cycling
throughout the breathing cycle (BiPAP)
or through a mask continuously (CPAP).
Assessment of non-invasive mechanical
ventilation is important in care
planning, as both CPAP and BiPAP are
resource-intensive (although less so
than invasive mechanical ventilation)
and signify underlying medical
conditions about the patient or resident
who requires the use of this
intervention. Particularly when used in
settings of acute illness or progressive
respiratory decline, additional staff (for
example, respiratory therapists) are
required to monitor and adjust the
CPAP and BiPAP settings and the
patient or resident may require more
nursing resources.
The proposed data element, Noninvasive Mechanical Ventilator (BIPAP,
CPAP), consists of the principal Noninvasive Mechanical Ventilator data
element and two sub-elements: BiPAP
and CPAP. If the assessor indicates that
the patient is receiving non-invasive
mechanical ventilation on the principal
Non-invasive Mechanical Ventilator
data element, the assessor would then
indicate which type (that is, BIPAP,
CPAP). Data elements that assess noninvasive mechanical ventilation are
currently included on LCDS for the
LTCH setting (‘‘Non-invasive Ventilator
(BIPAP, CPAP)’’), and the MDS for the
SNF setting (‘‘Non-invasive Mechanical
Ventilator (BiPAP/CPAP)’’). We are
proposing to expand the existing ‘‘Noninvasive Ventilator (BiPAP, CPAP)’’ data
element on the LCDS, by retaining and
renaming the main data element to be
Non-invasive Mechanical Ventilator and
adding two sub-elements for BiPAP and
CPAP. For more information on the
Non-invasive Mechanical Ventilator
(BIPAP, CPAP) data element, we refer
readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
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Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
The Non-invasive Mechanical
Ventilator data element was first
proposed as SPADEs in the FY 2018
IPPS/LTCH PPS proposed rule (82 FR
20107). In that proposed rule, we stated
that the proposal was informed by input
we received through a call for input
published on the CMS Measures
Management System Blueprint website
on a single data element, BiPAP/CPAP,
that captures equivalent clinical
information but uses a different label, to
what is currently in use on the MDS in
SNFs and LCDS in LTCHs. Input
submitted from August 12 to September
12, 2016 expressed support of the data
element, noting the feasibility in PAC,
and the relevance to facilitating care
coordination and supporting care
transitions. In addition, there was
support in the public comment
responses for separating out BiPAP and
CPAP as distinct sub-elements, as they
are therapies used for different types of
patients and residents. A summary
report for the August 12 to September
12, 2016 public comment period titled
‘‘SPADE August 2016 Public Comment
Summary Report’’ is available at:
https://www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the special services, treatments, and
interventions data elements in general;
no additional comments were received
that were specific to the Non-invasive
Mechanical Ventilator data element
other than concerns about not having
recent, comprehensive field testing of
proposed data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Non-invasive Mechanical
Ventilator data element was included in
the National Beta Test of candidate data
elements conducted by our data element
contractor from November 2017 to
August 2018. Results of this test found
the Non-invasive Mechanical Ventilator
data element to be feasible and reliable
for use with PAC patients and residents.
More information about the
performance of the Non-invasive
Mechanical Ventilator data element in
the National Beta Test can be found in
the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
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19529
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for non-invasive mechanical
ventilation, stakeholder input, and
strong test results, we are proposing that
the Non-invasive Mechanical Ventilator
(BiPAP, CPAP) data element, with a
principal data element and two subelements, meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act,
and to adopt the Non-invasive
Mechanical Ventilator (BiPAP, CPAP)
data element as standardized patient
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• Respiratory Treatment: Invasive
Mechanical Ventilator
We are proposing that the Invasive
Mechanical Ventilator data element
meets the definition of standardized
patient assessment data with respect to
special services, treatments, and
interventions under section
1899B(b)(1)(B)(iii) of the Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20107
through 20108), invasive mechanical
ventilation includes ventilators and
respirators that ventilate the patient
through a tube that extends via the oral
airway into the pulmonary region or
through a surgical opening directly into
the trachea. Thus, assessment of
invasive mechanical ventilation is
important in care planning and risk
mitigation. Ventilation in this manner is
a resource-intensive therapy associated
with life-threatening conditions without
which the patient or resident would not
survive. However, ventilator use has
inherent risks requiring close
monitoring. Failure to adequately care
for the patient or resident who is
ventilator dependent can lead to
iatrogenic events such as death,
pneumonia and sepsis. Mechanical
ventilation further signifies the
complexity of the patient’s underlying
medical or surgical condition. Of note,
invasive mechanical ventilation is
associated with high daily and aggregate
costs.714
The proposed data element, Invasive
Mechanical Ventilator, consists of a
single data element. Data elements that
capture invasive mechanical ventilation
are currently in use in the MDS in SNFs
and LCDS in LTCHs. We are proposing
that this data element will be collected
at admission from the ‘‘Invasive
Mechanical Ventilation Support upon
Admission to the LTCH’’ data element
that is already included on the LCDS,
and through a new, added data element
at discharge. For more information on
the Invasive Mechanical Ventilator data
element, we refer readers to the
document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
714 Wunsch, H., Linde-Zwirble, W. T., Angus,
D.C., Hartman, M.E., Milbrandt, E. B., & Kahn, J.M.
(2010). ‘‘The epidemiology of mechanical
ventilation use in the United States.’’ Critical Care
Med 38(10): 1947–1953.
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IMPACT-Act-Downloads-andVideos.html.
The Invasive Mechanical Ventilator
data element was first proposed as a
SPADE in the FY 2018 IPPS/LTCH PPS
proposed rule (82 FR 20107 through
20108). In that proposed rule, we stated
that the proposal was informed by input
we received through a call for input
published on the CMS Measures
Management System Blueprint website
on data elements that assess invasive
ventilator use and weaning status that
were tested in the PAC PRD
(‘‘Ventilator—Weaning’’ and
‘‘Ventilator—Non-Weaning’’). Input
submitted from August 12 to September
12, 2016 expressed support for this data
element, highlighting the importance of
this information in supporting care
coordination and care transitions. Some
commenters expressed concern about
the appropriateness for standardization,
given the prevalence of ventilator
weaning across PAC providers; the
timing of administration; how weaning
is defined; and how weaning status
relates to quality of care. These public
comments guided our decision to
propose a single data element focused
on current use of invasive mechanical
ventilation only, which does not
attempt to capture weaning status. A
summary report for the August 12 to
September 12, 2016 public comment
period titled ‘‘SPADE August 2016
Public Comment Summary Report’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the Special Services, Treatments, and
Interventions data elements in general,
and support from one commenter on the
Invasive Mechanical Ventilator data
element. However, concerns were
expressed about not having recent,
comprehensive field testing of proposed
data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Invasive Mechanical Ventilator
data element was included in the
National Beta Test of candidate data
elements conducted by our data element
contractor from November 2017 to
August 2018. Results of this test found
the Invasive Mechanical Ventilator data
element to be feasible and reliable for
use with PAC patients and residents.
More information about the
performance of the Invasive Mechanical
Ventilator data element in the National
Beta Test can be found in the document
PO 00000
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titled ‘‘Proposed Specifications for
LTCH QRP Quality Measures and
Standardized Patient Assessment Data
Elements,’’ available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for invasive mechanical
ventilation, stakeholder input, and
strong test results, we are proposing that
the Invasive Mechanical Ventilator data
element that assesses the use of an
invasive mechanical ventilator meets
the definition of standardized patient
assessment data with respect to special
services, treatments, and interventions
under section 1899B(b)(1)(B)(iii) of the
Act, and to adopt the Invasive
Mechanical Ventilator data element as
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standardized patient assessment data for
use in the LTCH QRP.
• Intravenous (IV) Medications
(Antibiotics, Anticoagulants, Vasoactive
Medications, Other)
We are proposing that the IV
Medications (Antibiotics,
Anticoagulants, Vasoactive Medications,
Other) data element meets the definition
of standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act.
We proposed a similar set of data
elements related to IV medications in
the FY 2018 IPPS/LTCH PPS proposed
rule (82 FR 20108 through 20109). IV
medications are solutions of a specific
medication (for example, antibiotics,
anticoagulants) administered directly
into the venous circulation via a syringe
or intravenous catheter (tube). IV
medications are administered via
intravenous push, single, intermittent,
or continuous infusion through a tube
placed into the vein. Further, IV
medications are more resource intensive
to administer than oral medications, and
signify a higher patient complexity (and
often higher severity of illness).
The clinical indications for each of
the sub-elements of the IV Medications
data element (Antibiotics,
Anticoagulants, Vasoactive Medications,
and Other) are very different. IV
antibiotics are used for severe infections
when: The bioavailability of the oral
form of the medication would be
inadequate to kill the pathogen; an oral
form of the medication does not exist;
or the patient is unable to take the
medication by mouth. IV anticoagulants
refer to anti-clotting medications (that
is, ‘‘blood thinners’’). IV anticoagulants
are commonly used for hospitalized
patients who have deep venous
thrombosis, pulmonary embolism, or
myocardial infarction, as well as those
undergoing interventional cardiac
procedures. Vasoactive medications
refer to the IV administration of
vasoactive drugs, including
vasopressors, vasodilators, and
continuous medication for pulmonary
edema, which increase or decrease
blood pressure or heart rate. The
indications, risks, and benefits of each
of these classes of IV medications are
distinct, making it important to assess
each separately in PAC. Knowing
whether or not patients are receiving IV
medication and the type of medication
provided by each PAC provider will
improve quality of care.
The IV Medications (Antibiotics,
Anticoagulants, Vasoactive Medications,
and Other) data element we are
proposing consists of a principal data
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element (IV Medications) and four
response option sub-elements:
Antibiotics; Anticoagulants; Vasoactive
Medications; and Other. The Vasoactive
Medications sub-element was not
proposed in the FY 2018 IPPS/LTCH
PPS proposed rule (82 FR 20108
through 20109). We added the
Vasoactive Medications sub-element to
our proposal in order to harmonize the
proposed IV Mediciations element with
the data currently collected in the
LCDS.
If the assessor indicates that the
patient is receiving IV medications on
the principal IV Medications data
element, the assessor would then
indicate which types of medications (for
example, Antibiotics, Anticoagulants,
Vasoactive Medications, Other). An IV
Medications data element is currently in
use on the MDS in SNFs and there is a
related data element in OASIS that
collects information on Intravenous and
Infusion Therapies. The LCDS in LTCHs
currently collects data on IV Vasoactive
Medications. We are proposing to
modify the existing IV Vasoactive
Medications data element in the LCDS
to include additional sub-elements
included in the standardized form of the
IV Medications (Antibiotics,
Anticoagulation, Vasoactive
Medications, Other) data element and a
principal data element for IV
Medications. For more information on
the IV Medications (Antibiotics,
Anticoagulants, Vasoactive Medications,
Other) data element, we refer readers to
the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
An IV Medications data element was
first proposed as a SPADE in the FY
2018 IPPS/LTCH PPS proposed rule (82
FR 20108 through 20109). In that
proposed rule, we stated that the
proposal was informed by input we
received on Vasoactive Medications
through a call for input published on
the CMS Measures Management System
Blueprint website. Input submitted from
August 12 to September 12, 2016
supported this data element, with one
noting the importance of this data
element in supporting care transitions.
We also stated that these commenters
had criticized the need for collecting
specifically Vasoactive Medications,
giving feedback that the data element
was too narrowly focused. In addition,
public comment received indicated that
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19531
the clinical significance of vasoactive
medications administration alone was
not high enough in PAC to merit
mandated assessment, noting that
related and more useful information
could be captured in an item that
assessed all IV medication use. A
summary report for the August 12 to
September 12, 2016 public comment
period titled ‘‘SPADE August 2016
Public Comment Summary Report’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the Special Services, Treatments, and
Interventions data elements in general;
no additional comments were received
that were specific to the IV Medications
data element. However, general
concerns were expressed about not
having recent, comprehensive field
testing of proposed data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the IV Medications data element
was included in the National Beta Test
of candidate data elements conducted
by our data element contractor from
November 2017 to August 2018. Results
of this test found the IV Medications
data element to be feasible and reliable
for use with PAC patients and residents.
More information about the
performance of the IV Medications data
element in the National Beta Test can be
found in the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of-
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2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for IV medications,
stakeholder input, and strong test
results, we are proposing that the IV
Medications (Antibiotics,
Anticoagulation, Vasoactive
Medications, Other) data element with a
principal data element and four subelements meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act,
and to adopt the IV Medications
(Antibiotics, Anticoagulation,
Vasoactive Medications, Other) data
element as standardized patient
assessment data for use in the LTCH
QRP.
• Transfusions
We are proposing that the
Transfusions data element meets the
definition of standardized patient
assessment data with respect to special
services, treatments, and interventions
under section 1899B(b)(1)(B)(iii) of the
Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20109
through 20110), transfusion refers to
introducing blood or blood products
into the circulatory system of a person.
Blood transfusions are based on specific
protocols, with multiple safety checks
and monitoring required during and
after the infusion in case of adverse
events. Coordination with the provider’s
blood bank is necessary, as well as
documentation by clinical staff to
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ensure compliance with regulatory
requirements. In addition, the need for
transfusions signifies underlying patient
complexity that is likely to require care
coordination and patient monitoring,
and impacts planning for transitions of
care, as transfusions are not performed
by all PAC providers.
The proposed data element consists of
the single Transfusions data element. A
data element on transfusion is currently
in use in the MDS in SNFs
(‘‘Transfusions’’) and a data element
tested in the PAC PRD (‘‘Blood
Transfusions’’) was found feasible for
use in each of the four PAC settings. For
more information on the Transfusions
data element, we refer readers to the
document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
The Transfusions data element was
first proposed as a SPADE in the FY
2018 IPPS/LTCH PPS proposed rule (82
FR 20109 through 20110).
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the Special Services, Treatments, and
Interventions data elements in general.
In response to our proposal, we received
comments in support of the
Transfusions data element. A
commenter supported the inclusion of
the Transfusions data element because
transfusions are increasingly being
performed outside of the hospital setting
and reporting transfusions as a SPADE
will contribute to higher quality,
coordinated care for patients who rely
on these life-saving treatments.
However, concerns were expressed
about not having recent, comprehensive
field testing of proposed data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Transfusions data element was
included in the National Beta Test of
candidate data elements conducted by
our data element contractor from
November 2017 to August 2018. Results
of this test found the Transfusions data
element to be feasible and reliable for
use with PAC patients and residents.
More information about the
performance of the Transfusions data
element in the National Beta Test can be
found in the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
PO 00000
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Fmt 4701
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Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions. Although
the TEP did not specifically discuss the
Transfusions data element, the TEP
supported the assessment of the special
services, treatments, and interventions
included in the National Beta Test with
respect to both admission and
discharge. A summary of the September
17, 2018 TEP meeting titled ‘‘SPADE
Technical Expert Panel Summary (Third
Convening)’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for transfusions, stakeholder
input, and strong test results, we are
proposing that the Transfusions data
element that is currently in use in the
MDS in SNFs meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act,
and to adopt the Transfusion data
element as standardized patient
assessment data for use in the LTCH
QRP.
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• Dialysis (Hemodialysis, Peritoneal
Dialysis)
We are proposing that the Dialysis
(Hemodialysis, Peritoneal dialysis) data
element meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20110),
dialysis is a treatment primarily used to
provide replacement for lost kidney
function. Both forms of dialysis
(hemodialysis and peritoneal dialysis)
are resource intensive, not only during
the actual dialysis process but before,
during and following. Patients and
residents who need and undergo
dialysis procedures are at high risk for
physiologic and hemodynamic
instability from fluid shifts and
electrolyte disturbances as well as
infections that can lead to sepsis.
Further, patients or residents receiving
hemodialysis are often transported to a
different facility, or at a minimum, to a
different location in the same facility for
treatment. Close monitoring for fluid
shifts, blood pressure abnormalities, and
other adverse effects is required prior to,
during and following each dialysis
session. Nursing staff typically perform
peritoneal dialysis at the bedside, and as
with hemodialysis, close monitoring is
required.
The proposed data element, Dialysis
(Hemodialysis, Peritoneal dialysis)
consists of the principal Dialysis data
element and two response option subelements: Hemodialysis; and Peritoneal
dialysis. If the assessor indicates that
the patient is receiving dialysis on the
principal Dialysis data element, the
assessor would then indicate which
type (Hemodialysis or Peritoneal
dialysis). Dialysis data elements are
currently included on the MDS in SNFs
and the LCDS in LTCHs and assess the
overall use of dialysis. We are proposing
to expand the existing Dialysis data
element currently in the LCDS to
include sub-elements for Hemodialysis
and Peritoneal dialysis.
As the result of public feedback
described below, in this proposed rule,
we are proposing data elements that
include the principal Dialysis data
element and two sub-elements
(Hemodialysis and Peritoneal dialysis).
For more information on the Dialysis
data elements, we refer readers to the
document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-Assessment-
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Instruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
The Dialysis data element was first
proposed as a SPADE in the FY 2018
IPPS/LTCH PPS proposed rule (82 FR
20110). In that proposed rule, we stated
that the proposal was informed by input
we received on a singular Hemodialysis
data element through a call for input
published on the CMS Measures
Management System Blueprint website.
Input submitted from August 12 to
September 12, 2016 supported the
assessment of hemodialysis and
recommended that the data element be
expanded to include peritoneal dialysis.
We also noted that several commenters
had supported the singular
Hemodialysis data element, noting the
relevance of this information for sharing
across the care continuum to facilitate
care coordination and care transitions,
the potential for this data element to be
used to improve quality, and the
feasibility for use in PAC. In addition,
we received comment that the item
would be useful in improving patient
and resident transitions of care. We also
noted that several commenters had also
stated that peritoneal dialysis should be
included in a standardized data element
on dialysis and recommended collecting
information on peritoneal dialysis in
addition to hemodialysis. The rationale
for including peritoneal dialysis from
commenters included the fact that
patients and residents receiving
peritoneal dialysis will have different
needs at post-acute discharge compared
to those receiving hemodialysis or not
having any dialysis. Based on these
comments, the Hemodialysis data
element was expanded to include a
principal Dialysis data element and two
sub-elements, Hemodialysis and
Peritoneal dialysis. We are proposing
the version of the Dialysis element that
includes two types of dialysis. A
summary report for the August 12 to
September 12, 2016 public comment
period titled ‘‘SPADE August 2016
Public Comment Summary Report’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received comments in support of the
Special Services, Treatments, and
Interventions data elements in general.
No additional comments were received
that were specific to the Dialysis data
element. However, concerns were
expressed about not having recent,
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19533
comprehensive field testing of proposed
data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Dialysis data element was
included in the National Beta Test of
candidate data elements conducted by
our data element contractor from
November 2017 to August 2018. Results
of this test found the Dialysis data
element to be feasible and reliable for
use with PAC patients and residents.
More information about the
performance of the Dialysis data
elements in the National Beta Test can
be found in the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
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IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for dialysis, stakeholder input,
and strong test results, we are proposing
that the Dialysis (Hemodialysis,
Peritoneal dialysis) data element with a
principal data element and two subelements meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act,
and to adopt the Dialysis (Hemodialysis,
Peritoneal dialysis) data element as
standardized patient assessment data for
use in the LTCH QRP.
• Intravenous (IV) Access (Peripheral
IV, Midline, Central Line)
We are proposing that the IV Access
(Peripheral IV, Midline, Central line)
data element meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20110
through 20111), patients or residents
with central lines, including those
peripherally inserted or who have
subcutaneous central line ‘‘port’’ access,
always require vigilant nursing care to
keep patency of the lines and ensure
that such invasive lines remain free
from any potentially life-threatening
events such as infection, air embolism,
or bleeding from an open lumen.
Clinically complex patients and
residents are likely to be receiving
medications or nutrition intravenously.
The sub-elements included in the IV
Access data element distinguish
between peripheral access and different
types of central access. The rationale for
distinguishing between a peripheral IV
and central IV access is that central
lines confer higher risks associated with
life-threatening events such as
pulmonary embolism, infection, and
bleeding.
The proposed data element, IV Access
(Peripheral IV, Midline, Central line),
consists of the principal IV Access data
element and three response option subelements: Peripheral IV, Midline, and
Central line. The proposed IV Access
data element is not currently included
on any of the PAC assessment
instruments. For more information on
the IV Access (Peripheral IV, Midline,
Central line) data element, we refer
readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-Patient-
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Assessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
An IV Access data element was first
proposed as a SPADE in the FY 2018
IPPS/LTCH PPS proposed rule (82 FR
20110 through 20111). In that proposed
rule, we stated that the proposal was
informed by input we received on one
of the PAC PRD data elements, Central
Line Management, a type of IV access,
through a call for input published on
the CMS Measures Management System
Blueprint website. Input submitted from
August 12 to September 12, 2016
expressed support for the assessment of
central line management and
recommended that the data element be
broadened to also include other types of
IV access in addition to central lines.
Several commenters supported the data
element, noting feasibility and
importance for facilitating care
coordination and care transitions.
However, a few commenters
recommended that this data element be
broadened to include peripherally
inserted central catheters (‘‘PICC lines’’)
and midline IVs. Based on public
comment feedback and in consultation
with expert input, we expanded the
Central Line Management data element
to include more types of IV access (that
is, peripheral IV and midline). This
expanded version of IV Access is the
data element being proposed. A
summary report for the August 12 to
September 12, 2016 public comment
period titled ‘‘SPADE August 2016
Public Comment Summary Report’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the Special Services, Treatments, and
Interventions data elements in general.
No additional comments were received
that were specific to the IV Access data
element. However, concerns were
expressed about not having recent,
comprehensive field testing of proposed
data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the IV Access data element was
included in the National Beta Test of
candidate data elements conducted by
our data element contractor from
November 2017 to August 2018. Results
of this test found the IV Access data
element to be feasible and reliable for
use with PAC patients and residents.
More information about the
PO 00000
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Fmt 4701
Sfmt 4702
performance of the IV Access data
element in the National Beta Test can be
found in the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for IV access, stakeholder
input, and strong test results, we are
proposing that the IV access (Peripheral
IV, Midline, Central line) data element
with a principal data element and three
sub-elements meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act,
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and to adopt the IV access (Peripheral
IV, Midline, Central line) data element
as standardized patient assessment data
for use in the LTCH QRP.
• Nutritional Approach: Parenteral/IV
Feeding
We are proposing that the Parenteral/
IV Feeding data element meets the
definition of standardized patient
assessment data with respect to special
services, treatments, and interventions
under section 1899B(b)(1)(B)(iii) of the
Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20111
through 20112), parenteral nutrition/IV
feeding refers to a patient or resident
being fed intravenously using an
infusion pump, bypassing the usual
process of eating and digestion. The
need for IV/parenteral feeding indicates
a clinical complexity that prevents the
patient or resident from meeting his or
her nutritional needs enterally, and is
more resource intensive than other
forms of nutrition, as it often requires
monitoring of blood chemistries and
maintenance of a central line. Therefore,
assessing a patient’s or resident’s need
for parenteral feeding is important for
care planning and resource use. In
addition to the risks associated with
central and peripheral intravenous
access, total parenteral nutrition is
associated with significant risks such as
embolism and sepsis.
The proposed data element consists of
the single Parenteral/IV Feeding data
element. The proposed Parenteral/IV
Feeding data element is currently in use
in the MDS in SNFs, and equivalent or
related data elements are in use in the
LCDS, IRF–PAI, and OASIS. We are
proposing to replace the existing Total
Parenteral Nutrition data element in the
LCDS with the proposed Parenteral/IV
Feeding data element. For more
information on the Parenteral/IV
Feeding data element, we refer readers
to the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
The Parenteral/IV Feeding data
element was first proposed as a SPADE
in the FY 2018 IPPS/LTCH PPS
proposed rule (82 FR 20111 through
20112). In that proposed rule, we stated
that the proposal was informed by input
we received on Total Parenteral
Nutrition (an item with nearly the same
meaning as the proposed data element,
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17:51 May 02, 2019
Jkt 247001
but with the label used in the PAC
PRD), through a call for input published
on the CMS Measures Management
System Blueprint website. Input
submitted from August 12 to September
12, 2016, supported this data element,
noting its relevance to facilitating care
coordination and supporting care
transitions. After the public input
period, the Total Parenteral Nutrition
data element was renamed Parenteral/IV
Feeding, to be consistent with how this
data element is referred to in the MDS
in SNFs. A summary report for the
August 12 to September 12, 2016 public
comment period titled ‘‘SPADE August
2016 Public Comment Summary
Report’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received comments in support of the
Special Services, Treatments, and
Interventions data elements in general.
In response to our proposal, we received
public comments in support of the
Parenteral/IV Feeding data element.
Several commenters supported the
inclusion of nutrition data elements and
noted their importance in capturing
information on additional resources
necessary to treat patients with altered
dietary needs. However, one commenter
noted limitations of the proposed data
elements, such as not recording clinical
rationale for nutritional or diet needs.
We also received public comments
expressing concern about not having
recent, comprehensive field testing of
proposed data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Parenteral/IV Feeding data
element was included in the National
Beta Test of candidate data elements
conducted by our data element
contractor from November 2017 to
August 2018. Results of this test found
the Parenteral/IV Feeding data element
to be feasible and reliable for use with
PAC patients and residents. More
information about the performance of
the Parenteral/IV Feeding data element
in the National Beta Test can be found
in the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
PO 00000
Frm 00379
Fmt 4701
Sfmt 4702
19535
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for parenteral/IV feeding,
stakeholder input, and strong test
results, we are proposing that the
Parenteral/IV Feeding data element
meets the definition of standardized
patient assessment data with respect to
special services, treatments, and
interventions under section
1899B(b)(1)(B)(iii) of the Act, and to
adopt the Parenteral/IV Feeding data
element as standardized patient
assessment data for use in the LTCH
QRP.
• Nutritional Approach: Feeding Tube
We are proposing that the Feeding
Tube data element meets the definition
of standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act.
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As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20112),
the majority of patients admitted to
acute care hospitals experience
deterioration of their nutritional status
during their hospital stay, making
assessment of nutritional status and
method of feeding if unable to eat orally
very important in PAC. A feeding tube
can be inserted through the nose or the
skin on the abdomen to deliver liquid
nutrition into the stomach or small
intestine. Feeding tubes are resource
intensive and, therefore, are important
to assess for care planning and resource
use. Patients with severe malnutrition
are at higher risk for a variety of
complications.715 In PAC settings, there
are a variety of reasons that patients and
residents may not be able to eat orally
(including clinical or cognitive status).
The proposed data element consists of
the single Feeding Tube data element.
The Feeding Tube data element is
currently included in the MDS for SNFs,
and in the OASIS for HHAs, where it is
labeled Enteral Nutrition. A related data
element, collected in the IRF–PAI for
IRFs (Tube/Parenteral Feeding), assesses
use of both feeding tubes and parenteral
nutrition. For more information on the
Feeding Tube data element, we refer
readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
The Feeding Tube data element was
first proposed as a SPADE in the FY
2018 IPPS/LTCH PPS proposed rule (82
FR 20112). In that proposed rule, we
stated that the proposal was informed
by input we received through a call for
input published on the CMS Measures
Management System Blueprint website.
Input submitted from August 12 to
September 12, 2016 on an Enteral
Nutrition data element (which is the
same as the data element we are
proposing in this proposed rule, but is
used in the OASIS under a different
name) supported the data element,
noting the importance of assessing
enteral nutrition status for facilitating
care coordination and care transitions.
After the public comment period, the
Enteral Nutrition data element used in
public comment was renamed ‘‘Feeding
Tube’’, indicating the presence of an
715 Dempsey, D.T., Mullen, J.L., & Buzby, G.P.
(1988). ‘‘The link between nutritional status and
clinical outcome: can nutritional intervention
modify it?’’ Am J of Clinical Nutrition, 47(2): 352–
356.
VerDate Sep<11>2014
17:51 May 02, 2019
Jkt 247001
assistive device. A summary report for
the August 12 to September 12, 2016
public comment period titled ‘‘SPADE
August 2016 Public Comment Summary
Report’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the Special Services, Treatments, and
Interventions data elements in general.
In response to our proposal, we received
public comments in support of the
Feeding Tube data element. Several
commenters supported the inclusion of
nutrition data elements, noting their
importance when capturing dietary
needs. However, we also received
recommendations to increase the
specificity of the data element by using
more clinical terminology and assessing
clinical rationale for nutritional or
dietary needs as well as concerns about
not having recent, comprehensive field
testing of proposed data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Feeding Tube data element was
included in the National Beta Test of
candidate data elements conducted by
our data element contractor from
November 2017 to August 2018. Results
of this test found the Feeding Tube data
element to be feasible and reliable for
use with PAC patients and residents.
More information about the
performance of the Feeding Tube data
element in the National Beta Test can be
found in the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-Acute-
PO 00000
Frm 00380
Fmt 4701
Sfmt 4702
Care-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for feeding tubes, stakeholder
input, and strong test results, we are
proposing that the Feeding Tube data
element meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act,
and to adopt the Feeding Tube data
element as standardized patient
assessment data for use in the LTCH
QRP.
• Nutritional Approach: Mechanically
Altered Diet
We are proposing that the
Mechanically Altered Diet data element
meets the definition of standardized
patient assessment data with respect to
special services, treatments, and
interventions under section
1899B(b)(1)(B)(iii) of the Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20112
through 20113), the Mechanically
Altered Diet data element refers to food
that has been altered to make it easier
for the patient or resident to chew and
swallow, and this type of diet is used for
patients and residents who have
difficulty performing these functions.
Patients with severe malnutrition are at
higher risk for a variety of
complications.716
716 Dempsey, D.T., Mullen, J.L., & Buzby, G.P.
(1988). ‘‘The link between nutritional status and
clinical outcome: can nutritional intervention
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In PAC settings, there are a variety of
reasons that patients and residents may
have impairments related to oral
feedings, including clinical or cognitive
status. The provision of a mechanically
altered diet may be resource intensive,
and can signal difficulties associated
with swallowing/eating safety,
including dysphagia. In other cases, it
signifies the type of altered food source,
such as ground or puree, that will
enable the safe and thorough ingestion
of nutritional substances and ensure
safe and adequate delivery of
nourishment to the patient. Often,
patients on mechanically altered diets
also require additional nursing supports
such as individual feeding, or direct
observation, to ensure the safe
consumption of the food product.
Assessing whether a patient or resident
requires a mechanically altered diet is
therefore important for care planning
and resource identification.
The proposed data element consists of
the single Mechanically Altered Diet
data element. The proposed data
element for a mechanically altered diet
is currently included on the MDS for
SNFs. A related data element for
modified food consistency/supervision
is currently included on the IRF–PAI for
IRFs. Another related data element is
included in the OASIS for HHAs that
collects information about independent
eating that requires ‘‘a liquid, pureed or
ground meat diet.’’ For more
information on the Mechanically
Altered Diet data element, we refer
readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
The Mechanically Altered Diet data
element was first proposed as a SPADE
in the FY 2018 IPPS/LTCH PPS
proposed rule (82 FR 20112 through
20113).
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the Special Services, Treatments, and
Interventions data elements in general.
In response to our proposal, we received
comments in support of the
Mechanically Altered Diet data element.
Several commenters supported the
inclusion of nutrition data elements
noting their importance in capturing
information on additional resources
modify it?’’ Am J of Clinical Nutrition, 47(2): 352–
356.
VerDate Sep<11>2014
17:51 May 02, 2019
Jkt 247001
necessary to treat patients with altered
dietary needs. However, one commenter
noted limitations of the proposed data
elements, such as not recording clinical
rationale for nutritional or diet needs.
We received further concerns regarding
not having recent, comprehensive field
testing of proposed data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Mechanically Altered Diet data
element was included in the National
Beta Test of candidate data elements
conducted by our data element
contractor from November 2017 to
August 2018. Results of this test found
the Mechanically Altered Diet data
element to be feasible and reliable for
use with PAC patients and residents.
More information about the
performance of the Mechanically
Altered Diet data element in the
National Beta Test can be found in the
document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
PO 00000
Frm 00381
Fmt 4701
Sfmt 4702
19537
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for mechanically altered diet,
stakeholder input, and strong test
results, we are proposing that the
Mechanically Altered Diet data element
meets the definition of standardized
patient assessment data with respect to
special services, treatments, and
interventions under section
1899B(b)(1)(B)(iii) of the Act, and to
adopt the Mechanically Altered Diet
data element as standardized patient
assessment data for use in the LTCH
QRP.
• Nutritional Approach: Therapeutic
Diet
We are proposing that the Therapeutic
Diet data element meets the definition
of standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20113),
a therapeutic diet refers to meals
planned to increase, decrease, or
eliminate specific foods or nutrients in
a patient or resident’s diet, such as a
low-salt diet, for the purpose of treating
a medical condition. The use of
therapeutic diets among patients in PAC
provides insight on the clinical
complexity of these patients and their
multiple comorbidities. Therapeutic
diets are less resource intensive from
the bedside nursing perspective, but do
signify one or more underlying clinical
conditions that preclude the patient
from eating a regular diet. The
communication among PAC providers
about whether a patient is receiving a
particular therapeutic diet is critical to
ensure safe transitions of care.
The proposed data element consists of
the single Therapeutic Diet data
element. The Therapeutic Diet data
element is currently in use in the MDS
in SNFs. For more information on the
Therapeutic Diet data element, we refer
readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of-
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2014/IMPACT-Act-Downloads-andVideos.html.
The Therapeutic Diet data element
was first proposed as a SPADE in the FY
2018 IPPS/LTCH PPS proposed rule (82
FR 20113).
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the Special Services, Treatments, and
Interventions data elements in general.
Several commenters supported the
inclusion of nutrition data elements
noting their importance in capturing
information on additional resources
necessary to treat patients with altered
dietary needs. However, one commenter
noted limitations of the proposed data
elements, such as not recording clinical
rationale for nutritional or diet needs.
Other commenters recommended the
addition of specific terminology to these
data elements, as well as aligning the
definition of Therapeutic Diet with the
Academy of Nutrition and Dietetics’
definition. One commenter suggested
use of the term ‘‘medically altered diet’’
instead of ‘‘therapeutic diet.’’ We also
received comments related to concerns
about not having recent, comprehensive
field testing of proposed data elements.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Therapeutic Diet data element
was included in the National Beta Test
of candidate data elements conducted
by our data element contractor from
November 2017 to August 2018. Results
of this test found the Therapeutic Diet
data element to be feasible and reliable
for use with PAC patients and residents.
More information about the
performance of the Therapeutic Diet
data element in the National Beta Test
can be found in the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on
September 17, 2018 for the purpose of
soliciting input on the special services,
treatments, and interventions and the
TEP supported the assessment of the
special services, treatments, and
interventions included in the National
Beta Test with respect to both admission
and discharge. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-Patient-
VerDate Sep<11>2014
17:51 May 02, 2019
Jkt 247001
Assessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
A summary of the public input received
from the November 27, 2018 stakeholder
meeting titled ‘‘Input on Standardized
Patient Assessment Data Elements
(SPADEs) Received After November 27,
2018 Stakeholder Meeting’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for therapeutic diet,
stakeholder input, and strong test
results, we are proposing that the
Therapeutic Diet data element meets the
definition of standardized patient
assessment data with respect to special
services, treatments, and interventions
under section 1899B(b)(1)(B)(iii) of the
Act, and to adopt the Therapeutic Diet
data element as standardized patient
assessment data for use in the LTCH
QRP.
• High-Risk Drug Classes: Use and
Indication
We are proposing that the High-Risk
Drug Classes: Use and Indication data
element meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act.
Most patients receiving PAC services
depend on short- and long-term
medications to manage their medical
conditions. However, as a treatment,
medications are not without risk;
medications are in fact a leading cause
of adverse events. A study by the U.S.
Department of Health and Human
Services found that 31 percent of
adverse events that occurred in 2008
among hospitalized Medicare
beneficiaries were related to
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medication.717 Moreover, changes in a
patient’s condition, medications, and
transitions between care settings put
patients at risk of medication errors and
adverse drug events (ADEs). ADEs may
be caused by medication errors such as
drug omissions, errors in dosage, and
errors in dosing frequency.718
ADEs are known to occur across
different types of healthcare settings.
For example, the incidence of ADEs in
the outpatient setting has been
estimated at 1.15 ADEs per 100 personmonths,719 while the rate of ADEs in the
long-term care setting is approximately
9.80 ADEs per 100 resident-months.720
In the hospital setting, the incidence has
been estimated at 15 ADEs per 100
admissions.721 In addition,
approximately half of all hospitalrelated medication errors and 20 percent
of ADEs occur during transitions within,
admission to, transfer to, or discharge
from a hospital.722 723 724 ADEs are more
common among older adults, who make
up most patients receiving PAC
services. The rate of emergency
department visits for ADEs is three
times higher among adults 65 years of
age and older compared to that among
those younger than age 65.725
Understanding the types of
medication a patient is taking and the
717 U.S. Department of Health and Human
Services. Office of Inspector General. Daniel R.
Levinson Adverse Events in Hospitals: National
Incidence Among Medicare Beneficiaries. OEI–06–
09–00090. November 2010. Available at: https://
www.oig.hhs.gov/oei/reports/oei-06-09-00090.pdf.
718 Boockvar KS, Liu S, Goldstein N, Nebeker J,
Siu A, Fried T. Prescribing discrepancies likely to
cause adverse drug events after patient transfer.
Qual Saf Health Care. 2009;18(1):32–6.
719 Gandhi TK, Seger AC, Overhage JM, et al.
Outpatient adverse drug events identified by
screening electronic health records. J Patient Saf
2010;6:91–6.doi:10.1097/PTS.0b013e3181dcae06.
720 Gurwitz JH, Field TS, Judge J, Rochon P,
Harrold LR, Cadoret C, et al. The incidence of
adverse drug events in two large academic longterm care facilities. Am J Med. 2005; 118(3):251±8.
Epub 2005/03/05. Available at: https://doi.org/
10.1016/j.amjmed.2004.09.018 PMID: 15745723.
721 Hug BL, Witkowski DJ, Sox CM, Keohane CA,
Seger DL, Yoon C, Matheny ME, Bates DW.
Occurrence of adverse, often preventable, events in
community hospitals involving nephrotoxic drugs
or those excreted by the kidney. Kidney Int. 2009;
76:1192–1198. [PubMed: 19759525].
722 Barnsteiner JH. Medication reconciliation:
transfer of medication information across settingskeeping it free from error. J Infus Nurs. 2005;28(2
Suppl):31–36.
723 Rozich J, Roger, R. Medication safety: one
organization’s approach to the challenge. Journal of
Clinical Outcomes Management. 2001(8):27–34.
724 Gleason KM, Groszek JM, Sullivan C, Rooney
D, Barnard C, Noskin GA. Reconciliation of
discrepancies in medication histories and
admission orders of newly hospitalized patients.
Am J Health Syst Pharm. 2004;61(16):1689–1695.
725 Shehab N, Lovegrove MC, Geller AI, Rose KO,
Weidle NJ, Budnitz DS. US emergency department
visits for outpatient adverse drug events, 2013–
2014. JAMA. doi: 10.1001/jama.2016.16201.
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reason for its use are key facets of a
patient’s treatment with respect to
medication. Some classes of drugs are
associated with more risk than
others.726 We are proposing one HighRisk Drug Class data element with six
medication classes as sub-elements. The
six medication classes we are proposing
as response options for the High-Risk
Drug Classes: Use and Indication data
element are: Anticoagulants;
antiplatelets; hypoglycemics (including
insulin); opioids; antipsychotics; and
antibiotics. These drug classes are highrisk due to the adverse effects that may
result from use. In particular, bleeding
risk is associated with anticoagulants
and antiplatelets; 727 728 fluid retention,
heart failure, and lactic acidosis are
associated with hypoglycemics; 729
misuse is associated with opioids; 730
fractures and strokes are associated with
antipsychotics; 731 732 and various
adverse events such as central nervous
systems effects and gastrointestinal
intolerance are associated with
antimicrobials,733 the larger category of
medications that include antibiotics.
Moreover, some medications in five of
the six drug classes included in this
data element are included in the 2019
Updated Beers Criteria® list as
potentially inappropriate medications
for use in older adults.734 Finally,
although a complete medication list
should record several important
attributes of each medication (for
example, dosage, route, stop date),
amozie on DSK9F9SC42PROD with PROPOSALS2
726 Ibid.
727 Shoeb M, Fang MC. Assessing bleeding risk in
patients taking anticoagulants. J Thromb
Thrombolysis. 2013;35(3):312–319. doi: 10.1007/
s11239–013–0899–7.
728 Melkonian M, Jarzebowski W, Pautas E.
Bleeding risk of antiplatelet drugs compared with
oral anticoagulants in older patients with atrial
fibrillation: a systematic review and meta-analysis.
J Thromb Haemost. 2017;15:1500–1510. DOI:
10.1111/jth.13697.
729 Hamnvik OP, McMahon GT. Balancing Risk
and Benefit with Oral Hypoglycemic Drugs. The
Mount Sinai journal of medicine, New York. 2009;
76:234–243.
730 Naples JG, Gellad WF, Hanlon JT. The Role of
Opioid Analgesics in Geriatric Pain Management.
Clin Geriatr Med. 2016;32(4):725–735.
731 Rigler SK, Shireman TI, Cook-Wiens GJ,
Ellerbeck EF, Whittle JC, Mehr DR, Mahnken JD.
Fracture risk in nursing home residents initiating
antipsychotic medications. J Am Geriatr Soc. 2013;
61(5):715–722. [PubMed: 23590366].
732 Wang S, Linkletter C, Dore D et al. Age,
antipsychotics, and the risk of ischemic stroke in
the Veterans Health Administration. Stroke
2012;43:28–31. doi:10.1161/
STROKEAHA.111.617191.
733 Faulkner CM, Cox HL, Williamson JC. Unique
aspects of antimicrobial use in older adults. Clin
Infect Dis. 2005;40(7):997–1004.
734 American Geriatrics Society 2015 Beers
Criteria Update Expert Panel. American Geriatrics
Society. Updated Beers Criteria for Potentially
Inappropriate Medication Use in Older Adults. J
Am Geriatr Soc 2015; 63:2227–2246.
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recording an indication for the drug is
of crucial importance.735
The High-Risk Drug Classes: Use and
Indication data element requires an
assessor to record whether or not a
patient is taking any medications within
six drug classes. The six response
options for this data element are highrisk drug classes with particular
relevance to PAC patients and residents,
as identified by our data element
contractor. The six data response
options are Anticoagulants,
Antiplatelets, Hypoglycemics, Opioids,
Antipsychotics, and Antibiotics. For
each drug class, the assessor is asked to
indicate if the patient is taking any
medications within the class, and, for
drug classes in which medications were
being taken, whether indications for all
drugs in the class are noted in the
medical record. For example, for the
response option Anticoagulants, if the
assessor indicates that the patient is
taking anticoagulant medication, the
assessor would then indicate if an
indication is recorded in the medication
record for the anticoagulant(s).
The High-Risk Drug Classes: Use and
Indication data element that is being
proposed as a SPADE was developed as
part of a larger set of data elements to
assess medication reconciliation, the
process of obtaining a patient’s multiple
medication lists and reconciling any
discrepancies. For more information on
the High-Risk Drug Classes: Use and
Indication data element, we refer
readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We sought public input on the
relevance of conducting assessments on
medication reconciliation and
specifically on the proposed High-Risk
Drug Classes: Use and Indication data
element. Our data element contractor
presented data elements related to
medication reconciliation to the TEP
convened on April 6 and 7, 2016. The
TEP supported a focus on high-risk
drugs, because of higher potential for
harm to patients and residents, and
were in favor of a data element to
capture whether or not indications for
medications were recorded in the
medical record. A summary of the April
6 and 7, 2016 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (First Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html. Medication reconciliation
data elements were also discussed at a
second TEP meeting on January 5 and
6, 2017, convened by our data element
contractor. At this meeting, the TEP
agreed about the importance of
evaluating the medication reconciliation
process, but disagreed about how this
could be accomplished through
standardized assessment. The TEP also
disagreed about the usability and
appropriateness of using the Beers
Criteria to identify high-risk
medications.736 A summary of the
January 5 and 6, 2017 TEP meeting
titled ‘‘SPADE Technical Expert Panel
Summary (Second Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also solicited public input on data
elements related to medication
reconciliation during a public input
period from April 26 to June 26, 2017.
Several commenters expressed support
for the medication reconciliation data
elements that were put on display,
noting the importance of medication
reconciliation in preventing medication
errors and stated that the items seemed
feasible and clinically useful. A few
commenters were critical of the choice
of 10 drug classes posted during that
comment period, arguing that ADEs are
not limited to high-risk drugs, and
raised issues related to training
assessors to correctly complete a valid
assessment of medication reconciliation.
A summary report for the April 26 to
June 26, 2017 public comment period
titled ‘‘SPADE May–June 2017 Public
Comment Summary Report’’ is available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
The High-Risk Drug Classes: Use and
Indication data element was included in
the National Beta Test of candidate data
elements conducted by our data element
contractor from November 2017 to
735 Li Y, Salmasian H, Harpaz R, Chase H,
Friedman C. Determining the reasons for
medication prescriptions in the EHR using
knowledge and natural language processing. AMIA
Annu Symp Proc. 2011;2011:768–76.
736 American Geriatrics Society 2015 Beers
Criteria Update Expert Panel. American Geriatrics
Society. Updated Beers Criteria for Potentially
Inappropriate Medication Use in Older Adults. J
Am Geriatr Soc 2015; 63:2227–2246.
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August 2018. Results of this test found
the High-Risk Drug Classes: Use and
Indication data element to be feasible
and reliable for use with PAC patients
and residents. More information about
the performance of the High-Risk Drug
Classes: Use and Indication data
element in the National Beta Test can be
found in the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In, addition, our contractor convened
a TEP on September 17, 2018 for the
purpose of soliciting input on the
standardized patient assessment data
elements. The TEP acknowledged the
challenges of assessing medication
safety, but was supportive of some of
the data elements focused on
medication reconciliation that were
tested in the National Beta Test. The
TEP was especially supportive of the
focus on the six high-risk drug classes
and using these classes to assess
whether the indication for a drug is
recorded. A summary of the September
17, 2018 TEP meeting titled ‘‘SPADE
Technical Expert Panel Summary (Third
Convening)’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. These
activities provided updates on the fieldtesting work and solicited feedback on
data elements considered for
standardization, including the HighRisk Drug Classes: Use and Indication
data element. One stakeholder group
was critical of the six drug classes
included as response options in the
High-Risk Drug Classes: Use and
Indication data element, noting that
potentially risky medications (for
example, muscle relaxants) are not
included in this list; that there may be
important differences between drugs
within classes (for example, more recent
versus older style antidepressants); and
that drug allergy information is not
captured. Finally, on November 27,
2018, our data element contractor
hosted a public meeting of stakeholders
to present the results of the National
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Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
In addition, one commenter questioned
whether the time to complete the HighRisk Drug Classes: Use and Indication
data element would differ across
settings. A summary of the public input
received from the November 27, 2018
stakeholder meeting titled ‘‘Input on
Standardized Patient Assessment Data
Elements (SPADEs) Received After
November 27, 2018 Stakeholder
Meeting’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for the use and having
indications recorded for high-risk drugs,
stakeholder input, and strong test
results, we are proposing that the HighRisk Drug Classes: Use and Indication
data element meets the definition of
standardized patient assessment data
with respect to special services,
treatments, and interventions under
section 1899B(b)(1)(B)(iii) of the Act,
and to adopt the High-Risk Drug
Classes: Use and Indication data
element as standardized patient
assessment data for use in the LTCH
QRP.
d. Medical Condition and Comorbidity
Data
Assessing medical conditions and
comorbidities is critically important for
care planning and safety for patients
and residents receiving PAC services,
and the standardized assessment of
selected medical conditions and
comorbidities across PAC providers is
important for managing care transitions
and understanding medical complexity.
Below we discuss our proposals for
data elements related to the medical
condition of pain as standardized
patient assessment data. Appropriate
pain management begins with a
standardized assessment, and thereafter
establishing and implementing an
overall plan of care that is personcentered, multi-modal, and includes the
treatment team and the patient.
Assessing and documenting the effect of
pain on sleep, participation in therapy,
and other activities may provide
information on undiagnosed conditions
and comorbidities and the level of care
required, and do so more objectively
than subjective numerical scores. With
that, we assess that taken separately and
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together, these proposed data elements
are essential for care planning,
consistency across transitions of care,
and identifying medical complexities
including undiagnosed conditions. We
also conclude that it is the standard of
care to always consider the risks and
benefits associated with a personalized
care plan, including the risks of any
pharmacological therapy, especially
opioids.737 We also conclude that in
addition to assessing and appropriately
treating pain through the optimum mix
of pharmacologic, non-pharmacologic,
and alternative therapies, while being
cognizant of current prescribing
guidelines, clinicians in partnership
with patients are best able to mitigate
factors that contribute to the current
opioid crisis.738 739 740
In alignment with our Meaningful
Measures Initiative, accurate assessment
of medical conditions and comorbidities
of patients and residents in PAC is
expected to make care safer by reducing
harm caused in the delivery of care;
promote effective prevention and
treatment of chronic disease; strengthen
person and family engagement as
partners in their care; and promote
effective communication and
coordination of care. The SPADEs will
enable or support clinical decisionmaking and early clinical intervention;
person-centered, high quality care
through: Facilitating better care
continuity and coordination; better data
exchange and interoperability between
settings; and longitudinal outcome
analysis. Therefore, reliable data
elements assessing medical conditions
and comorbidities are needed in order
to initiate a management program that
can optimize a patient or resident’s
prognosis and reduce the possibility of
adverse events.
737 Department of Health and Human Services:
Pain Management Best Practices Inter-Agency Task
Force. Draft Report on Pain Management Best
Practices: Updates, Gaps, Inconsistencies, and
Recommendations. Accessed April 1, 2019. https://
www.hhs.gov/sites/default/files/final-pmtf-draftreport-on-pain-management%20-best-practices2018-12-12-html-ready-clean.pdf.
738 Department of Health and Human Services:
Pain Management Best Practices Inter-Agency Task
Force. Draft Report on Pain Management Best
Practices: Updates, Gaps, Inconsistencies, and
Recommendations. Accessed April 1, 2019. https://
www.hhs.gov/sites/default/files/final-pmtf-draftreport-on-pain-management%20-best-practices2018-12-12-html-ready-clean.pdf.
739 Fishman SM, Carr DB, Hogans B, et al. Scope
and Nature of Pain- and Analgesia-Related Content
of the United States Medical Licensing Examination
(USMLE). Pain Med Malden Mass. 2018;19(3):449–
459. doi:10.1093/pm/pnx336.
740 Fishman SM, Young HM, Lucas Arwood E, et
al. Core competencies for pain management: results
of an interprofessional consensus summit. Pain
Med Malden Mass. 2013;14(7):971–981.
doi:10.1111/pme.12107.
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We are inviting comment that apply
specifically to the standardized patient
assessment data for the category of
medical conditions and comorbidities,
specifically on:
amozie on DSK9F9SC42PROD with PROPOSALS2
• Pain Interference (Pain Effect on
Sleep, Pain Interference With Therapy
Activities, and Pain Interference With
Day-to-Day Activities)
In acknowledgement of the opioid
crisis, we specifically are seeking
comment on whether or not we should
add these pain items in light of those
concerns. Commenters should address
to what extent the collection of the
SPADES described below through
patient queries might encourage
providers to prescribe opioids.
We are proposing that a set of three
data elements on the topic of Pain
Interference (Pain Effect on Sleep, Pain
Interference with Therapy Activities,
and Pain Interference with Day-to-Day
Activities) meet the definition of
standardized patient assessment data
with respect to medical condition and
comorbidity data under section
1899B(b)(1)(B)(iv) of the Act.
The practice of pain management
began to undergo significant changes in
the 1990s because the inadequate, nonstandardized, non-evidence-based
assessment and treatment of pain
became a public health issue.741 In pain
management, a critical part of providing
comprehensive care is performance of a
thorough initial evaluation, including
assessment of both the medical and any
biopsychosocial factors causing or
contributing to the pain, with a
treatment plan to address the causes of
pain and to manage pain that persists
over time.742 Quality pain management,
based on current guidelines and
evidence-based practices, can minimize
unnecessary opioid prescribing both by
offering alternatives or supplemental
treatment to opioids and by clearly
stating when they may be appropriate,
and how to utilize risk-benefit analysis
for opioid and non-opioid treatment
modalities.743
741 Institute of Medicine. Relieving Pain in
America: A Blueprint for Transforming Prevention,
Care, Education, and Research. Washington (DC):
National Academies Press (US); 2011. https://
www.ncbi.nlm.nih.gov/books/NBK91497/.
742 Department of Health and Human Services:
Pain Management Best Practices Inter-Agency Task
Force. Draft Report on Pain Management Best
Practices: Updates, Gaps, Inconsistencies, and
Recommendations. Accessed April 1, 2019. https://
www.hhs.gov/sites/default/files/final-pmtf-draftreport-on-pain-management%20-best-practices2018-12-12-html-ready-clean.pdf.
743 National Academies. Pain Management and
the Opioid Epidemic: Balancing Societal and
Individual Benefits and Risks of Prescription Opioid
Use. Washington DC: National Academies of
Sciences, Engineering, and Medicine.; 2017.
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Pain is not a surprising symptom in
PAC patients and residents, where
healing, recovery, and rehabilitation
often require regaining mobility and
other functions after an acute event.
Standardized assessment of pain that
interferes with function is an important
first step towards appropriate pain
management in PAC settings. The
National Pain Strategy called for refined
assessment items on the topic of pain,
and describes the need for these
improved measures to be implemented
in PAC assessments.744 Further, the
focus on pain interference, as opposed
to pain intensity or pain frequency, was
supported by the TEP convened by our
data element contractor as an
appropriate and actionable metric for
assessing pain. A summary of the
September 17, 2018 TEP meeting titled
‘‘SPADE Technical Expert Panel
Summary (Third Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We appreciate the important concerns
related to the misuse and overuse of
opioids in the treatment of pain and to
that end we note that in this proposed
rule we have also proposed a SPADE
that assesses for the use of, as well as
importantly the indication for that use
of, high risk drugs, including opioids.
Further, in the FY 2017 IPPS/LTCH PPS
final rule (81 FR 57193), we adopted the
Drug Regimen Review Conducted With
Follow-Up for Identified Issues–Post
Acute Care (PAC) Long-Term Care
Hospital (LTCH) Quality Reporting
Program (QRP) measure which assesses
whether PAC providers were responsive
to potential or actual clinically
significant medication issue(s), which
includes issues associated with use and
misuse of opioids for pain management,
when such issues were identified.
We also note that the proposed
SPADE related to pain assessment are
not associated with any particular
approach to management. Since the use
of opioids is associated with serious
complications, particularly in the
elderly,745 746 747 an array of successful
744 National Pain Strategy: A Comprehensive
Population-Health Level Strategy for Pain.
Available at: https://iprcc.nih.gov/sites/default/
files/HHSNational_Pain_Strategy_508C.pdf.
745 Chau, D.L., Walker, V., Pai, L., & Cho, L.M.
(2008). Opiates and elderly: use and side effects.
Clinical interventions in aging, 3(2), 273–8.
746 Fine, P.G. (2009). Chronic Pain Management
in Older Adults: Special Considerations. Journal of
Pain and Symptom Management, 38(2): S4–S14.
747 Solomon, D.H., Rassen, J.A., Glynn, R.J.,
Garneau, K., Levin, R., Lee, J., & Schneeweiss, S..
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19541
non-pharmacologic and non-opioid
approaches to pain management may be
considered. PAC providers have
historically used a range of pain
management strategies, including nonsteroidal anti-inflammatory drugs, ice,
transcutaneous electrical nerve
stimulation (TENS) therapy, supportive
devices, acupuncture, and the like. In
addition, non-pharmacological
interventions for pain management
include, but are not limited to,
biofeedback, application of heat/cold,
massage, physical therapy, nerve block,
stretching and strengthening exercises,
chiropractic, electrical stimulation,
radiotherapy, and ultrasound.748 749 750
We believe that standardized
assessment of pain interference will
support PAC clinicians in applying bestpractices in pain management for
chronic and acute pain, consistent with
current clinical guidelines. For example,
the standardized assessment of both
opioids and pain interference would
support providers in successfully
tapering patients/residents who arrive
in the PAC setting with long-term
opioid use off of opioids onto nonpharmacologic treatments and nonopioid medications, as recommended by
the Society for Post-Acute and LongTerm Care Medicine,751 and consistent
with HHS’ 5-Point Strategy To Combat
the Opioid Crisis 752 which includes
‘‘Better Pain Management.’’
The Pain Interference data element set
consists of three data elements: Pain
Effect on Sleep, Pain Interference with
Therapy Activities, and Pain
Interference with Day-to-Day Activities.
Pain Effect on Sleep assesses the
frequency with which pain effects a
patient’s sleep. Pain Interference with
Therapy Activities assesses the
frequency with which pain interferes
with a patient’s ability to participate in
therapies. Pain Interference with Day-toDay Activities assesses the extent to
(2010). Archives Internal Medicine, 170(22):1979–
1986.
748 Byrd L. Managing chronic pain in older adults:
a long-term care perspective. Annals of Long-Term
Care: Clinical Care and Aging. 2013;21(12):34–40.
749 Kligler, B., Bair, M.J., Banerjea, R. et al. (2018).
Clinical Policy Recommendations from the VHA
State-of-the-Art Conference on NonPharmacological Approaches to Chronic
Musculoskeletal Pain. Journal of General Internal
Medicine, 33(Suppl 1): 16. https://doi.org/10.1007/
s11606-018-4323-z.
750 Chou, R., Deyo, R., Friedly, J., et al. (2017).
Nonpharmacologic Therapies for Low Back Pain: A
Systematic Review for an American College of
Physicians Clinical Practice Guideline. Annals of
Internal Medicine, 166(7):493–505.
751 Society for Post-Acute and Long-Term Care
Medicine (AMDA). (2018). Opioids in Nursing
Homes: Position Statement. Available at: https://
paltc.org/opioids%20in%20nursing%20homes.
752 https://www.hhs.gov/opioids/about-theepidemic/hhs-response/.
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which pain interferes with a patient’s
ability to participate in day-to-day
activities excluding therapy.
A similar data element on the effect
of pain on activities is currently
included in the OASIS. A similar data
element on the effect on sleep is
currently included in the MDS
instrument. For more information on the
Pain Interference data elements, we
refer readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We sought public input on the
relevance of conducting assessments on
pain and specifically on the larger set of
Pain Interview data elements included
in the National Beta Test. The proposed
data elements were supported by
comments from the TEP meeting held
by our data element contractor on April
7 to 8, 2016. The TEP affirmed the
feasibility and clinical utility of pain as
a concept in a standardized assessment.
The TEP agreed that data elements on
pain interference with ability to
participate in therapies versus other
activities should be addressed. Further,
during a more recent convening of the
same TEP on September 17, 2018, the
TEP supported the interview-based pain
data elements included in the National
Beta Test. The TEP members were
particularly supportive of the items that
focused on how pain interferes with
activities (that is, Pain Interference data
elements), because understanding the
extent to which pain interferes with
function would enable clinicians to
determine the need for appropriate pain
treatment. A summary of the September
17, 2018 TEP meeting titled ‘‘SPADE
Technical Expert Panel Summary (Third
Convening)’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
We held a public input period in 2016
to solicit feedback on the
standardization of pain and several
other items that were under
development in prior efforts. From the
prior public comment period, we
included several pain data elements
(Pain Effect on Sleep; Pain
Interference—Therapy Activities; Pain
Interference—Other Activities) in a
second call for public input, open from
April 26 to June 26, 2017. The items we
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sought comment on were modified from
all stakeholder and test efforts.
Commenters provided general
comments about pain assessment in
general in addition to feedback on the
specific pain items. A few commenters
shared their support for assessing pain,
the potential for pain assessment to
improve the quality of care, and for the
validity and reliability of the data
elements. Commenters affirmed that the
item of pain and the effect on sleep
would be suitable for PAC settings.
Commenters’ main concerns included
redundancy with existing data elements,
feasibility and utility for cross-setting
use, and the applicability of interviewbased items to patients and residents
with cognitive or communication
impairments, and deficits. A summary
report for the April 26 to June 26, 2017
public comment period titled ‘‘SPADE
May–June 2017 Public Comment
Summary Report’’ is available at:
https://www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
The Pain Interference data elements
were included in the National Beta Test
of candidate data elements conducted
by our data element contractor from
November 2017 to August 2018. Results
of this test found the Pain Interference
data elements to be feasible and reliable
for use with PAC patients and residents.
More information about the
performance of the Pain Interference
data elements in the National Beta Test
can be found in the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
In addition, one commenter expressed
strong support for the Pain data
elements and was encouraged by the
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fact that this portion of the assessment
goes beyond merely measuring the
presence of pain. A summary of the
public input received from the
November 27, 2018 stakeholder meeting
titled ‘‘Input on Standardized Patient
Assessment Data Elements (SPADEs)
Received After November 27, 2018
Stakeholder Meeting’’ is available at:
https://www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for the effect of pain on
function, stakeholder input, and strong
test results, we are proposing that the
three data elements (Pain Effect on
Sleep, Pain Interference with Therapy
Activities, and Pain Interference with
Day-to-Day Activities) that comprise the
set of Pain Interference data elements
meet the definition of standardized
patient assessment data with respect to
medical conditions and comorbidities
under section 1899B(b)(1)(B)(iv) of the
Act, and to adopt the Pain Interference
data elements as standardized patient
assessment data for use in the LTCH
QRP.
e. Impairment Data
Hearing and vision impairments are
conditions that, if unaddressed, affect
activities of daily living,
communication, physical functioning,
rehabilitation outcomes, and overall
quality of life. Sensory limitations can
lead to confusion in new settings,
increase isolation, contribute to mood
disorders, and impede accurate
assessment of other medical conditions.
Failure to appropriately assess,
accommodate, and treat these
conditions increases the likelihood that
patients will require more intensive and
prolonged treatment. Onset of these
conditions can be gradual, so
individualized assessment with accurate
screening tools and follow-up
evaluations are essential to determining
which patients need hearing- or visionspecific medical attention or assistive
devices and accommodations, including
auxiliary aids and/or services, and to
ensure that person-directed care plans
are developed to accommodate a
patient’s or resident’s needs. Accurate
diagnosis and management of hearing or
vision impairment would likely
improve rehabilitation outcomes and
care transitions, including transition
from institutional-based care to the
community. Accurate assessment of
hearing and vision impairment would
be expected to lead to appropriate
treatment, accommodations, including
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the provision of auxiliary aids and
services during the stay, and ensure that
patients continue to have their vision
and hearing needs met when they leave
the facility.
In alignment with our Meaningful
Measures Initiative, we expect accurate
individualized assessment, treatment,
and accommodation of hearing and
vision impairments of patients and
residents in PAC to make care safer by
reducing harm caused in the delivery of
care; promote effective prevention and
treatment of chronic disease; strengthen
person and family engagement as
partners in their care; and promote
effective communication and
coordination of care. For example,
standardized assessment of hearing and
vision impairments used in PAC will
support ensuring patient safety (for
example, risk of falls), identifying
accommodations needed during the
stay, and appropriate support needs at
the time of discharge or transfer.
Standardized assessment of these data
elements will enable or support clinical
decision-making and early clinical
intervention; person-centered, high
quality care (for example, facilitating
better care continuity and coordination);
better data exchange and
interoperability between settings; and
longitudinal outcome analysis.
Therefore, reliable data elements
assessing hearing and vision
impairments are needed to initiate a
management program that can optimize
a patient or resident’s prognosis and
reduce the possibility of adverse events.
amozie on DSK9F9SC42PROD with PROPOSALS2
• Hearing
We are proposing that the Hearing
data element meets the definition of
standardized patient assessment data
with respect to impairments data under
section 1899B(b)(1)(B)(v) of the Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20114
through 20115), accurate assessment of
hearing impairment is important in the
PAC setting for care planning and
resource use. Hearing impairment has
been associated with lower quality of
life, including poorer physical, mental,
and social functioning, and emotional
health.753 754 Treatment and
accommodation of hearing impairment
led to improved health outcomes,
including but not limited to quality of
753 Dalton DS, Cruickshanks KJ, Klein BE, Klein
R, Wiley TL, Nondahl DM. The impact of hearing
loss on quality of life in older adults. Gerontologist.
2003;43(5):661–668.
754 Hawkins K, Bottone FG, Jr., Ozminkowski RJ,
et al. The prevalence of hearing impairment and its
burden on the quality of life among adults with
Medicare Supplement Insurance. Qual Life Res.
2012;21(7):1135–1147.
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life.755 For example, hearing loss in
elderly individuals has been associated
with depression and cognitive
impairment,756 757 758 higher rates of
incident cognitive impairment and
cognitive decline,759 and less time in
occupational therapy.760 Accurate
assessment of hearing impairment is
important in the PAC setting for care
planning and defining resource use.
The proposed data element consists of
the single Hearing data element. This
data consists of one question that
assesses level of hearing impairment.
This data element is currently in use in
the MDS in SNFs. For more information
on the Hearing data element, we refer
readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
The Hearing data element was first
proposed as a SPADE in the FY 2018
IPPS/LTCH PPS proposed rule (82 FR
20114 through 20115). In that proposed
rule, we stated that the proposal was
informed by input we received on the
PAC PRD form of the data element
(‘‘Ability to Hear’’) through a call for
input published on the CMS Measures
Management System Blueprint website.
Input submitted from August 12 to
September 12, 2016 recommended that
hearing, vision, and communication
assessments be administered at the
beginning of patient assessment process.
A summary report for the August 12 to
September 12, 2016 public comment
period titled ‘‘SPADE August 2016
Public Comment Summary Report’’ is
755 Horn KL, McMahon NB, McMahon DC, Lewis
JS, Barker M, Gherini S. Functional use of the
Nucleus 22-channel cochlear implant in the elderly.
The Laryngoscope. 1991;101(3):284–288.
756 Sprinzl GM, Riechelmann H. Current trends in
treating hearing loss in elderly people: A review of
the technology and treatment options—a minireview. Gerontology. 2010;56(3):351–358.
757 Lin FR, Thorpe R, Gordon-Salant S, Ferrucci
L. Hearing Loss Prevalence and Risk Factors Among
Older Adults in the United States. The Journals of
Gerontology Series A: Biological Sciences and
Medical Sciences. 2011;66A(5):582–590.
758 Hawkins K, Bottone FG, Jr., Ozminkowski RJ,
et al. The prevalence of hearing impairment and its
burden on the quality of life among adults with
Medicare Supplement Insurance. Qual Life Res.
2012;21(7):1135–1147.
759 Lin FR, Metter EJ, O’Brien RJ, Resnick SM,
Zonderman AB, Ferrucci L. Hearing Loss and
Incident Dementia. Arch Neurol. 2011;68(2):214–
220.
760 Cimarolli VR, Jung S. Intensity of
Occupational Therapy Utilization in Nursing Home
Residents: The Role of Sensory Impairments. J Am
Med Dir Assoc. 2016;17(10):939–942.
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available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received public comments in support of
the Hearing data element as well as
concerns about not having recent,
comprehensive field testing of proposed
data elements. Commenters were
supportive of adopting the Hearing data
element for standardized cross-setting
use, noting that it would help address
the needs of patient and residents with
disabilities and that failing to identify
impairments during the initial
assessment can result in inaccurate
diagnoses of impaired language or
cognition and can invalidate other
information obtained from patient
assessment.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
rule, the Hearing data element was
included in the National Beta Test of
candidate data elements conducted by
our data element contractor from
November 2017 to August 2018. Results
of this test found the Hearing data
element to be feasible and reliable for
use with PAC patients and residents.
More information about the
performance of the Hearing data
element in the National Beta Test can be
found in the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on January 5
and 6, 2017 for the purpose of soliciting
input on all the SPADEs, including the
Hearing data element. The TEP affirmed
the importance of standardized
assessment of hearing impairment in
PAC patients and residents. A summary
of the January 5 and 6, 2017 TEP
meeting titled ‘‘SPADE Technical Expert
Panel Summary (Second Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
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SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
In addition, a commenter expressed
support for the Hearing data element
and suggested administration at the
beginning of the patient assessment to
maximize utility. A summary of the
public input received from the
November 27, 2018 stakeholder meeting
titled ‘‘Input on Standardized Patient
Assessment Data Elements (SPADEs)
Received After November 27, 2018
Stakeholder Meeting’’ is available at:
https://www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for hearing, stakeholder input,
and strong test results, we are proposing
that the Hearing data element meets the
definition of standardized patient
assessment data with respect to
impairments under section
1899B(b)(1)(B)(v) of the Act, and to
adopt the Hearing data element as
standardized patient assessment data for
use in the LTCH QRP.
amozie on DSK9F9SC42PROD with PROPOSALS2
• Vision
We are proposing that the Vision data
element meets the definition of
standardized patient assessment data
with respect to impairments under
section 1899B(b)(1)(B)(v) of the Act.
As described in the FY 2018 IPPS/
LTCH PPS proposed rule (82 FR 20115
through 20116), evaluation of an
individual’s ability to see is important
for assessing for risks such as falls and
provides opportunities for improvement
through treatment and the provision of
accommodations, including auxiliary
aids and services, which can safeguard
patients and improve their overall
quality of life. Further, vision
impairment is often a treatable risk
factor associated with adverse events
and poor quality of life. For example,
individuals with visual impairment are
more likely to experience falls and hip
fracture, have less mobility, and report
depressive
symptoms.761 762 763 764 765 766 767
761 Colon-Emeric CS, Biggs DP, Schenck AP, Lyles
KW. Risk factors for hip fracture in skilled nursing
facilities: who should be evaluated? Osteoporos Int.
2003;14(6):484–489.
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Individualized initial screening can lead
to life-improving interventions such as
accommodations, including the
provision of auxiliary aids and services,
during the stay and/or treatments that
can improve vision and prevent or slow
further vision loss. In addition, vision
impairment is often a treatable risk
factor associated with adverse events
which can be prevented and
accommodated during the stay.
Accurate assessment of vision
impairment is important in the LTCH
setting for care planning and defining
resource use.
The proposed data element consists of
the single Vision data element (Ability
To See in Adequate Light) that consists
of one question with five response
categories. The Vision data element that
we are proposing for standardization
was tested as part of the development of
the MDS and is currently in use in that
assessment in SNFs. Similar data
elements, but with different wording
and fewer response option categories,
are in use in the OASIS. For more
information on the Vision data element,
we refer readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Quality Measures and Standardized
Patient Assessment Data Elements,’’
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
The Vision data element was first
proposed as a SPADE in the FY 2018
IPPS/LTCH PPS proposed rule (82 FR
20115 through 20116). In that proposed
rule, we stated that the proposal was
informed by input we received on the
Ability to See in Adequate Light data
element (version tested in the PAC PRD
with three response categories) through
a call for input published on the CMS
762 Freeman EE, Munoz B, Rubin G, West SK.
Visual field loss increases the risk of falls in older
adults: the Salisbury eye evaluation. Invest
Ophthalmol Vis Sci. 2007;48(10):4445–4450.
763 Keepnews D, Capitman JA, Rosati RJ.
Measuring patient-level clinical outcomes of home
health care. J Nurs Scholarsh. 2004;36(1):79–85.
764 Nguyen HT, Black SA, Ray LA, Espino DV,
Markides KS. Predictors of decline in MMSE scores
among older Mexican Americans. J Gerontol A Biol
Sci Med Sci. 2002;57(3):M181–185.
765 Prager AJ, Liebmann JM, Cioffi GA, Blumberg
DM. Self-reported Function, Health Resource Use,
and Total Health Care Costs Among Medicare
Beneficiaries With Glaucoma. JAMA
ophthalmology. 2016;134(4):357–365.
766 Rovner BW, Ganguli M. Depression and
disability associated with impaired vision: the
MoVies Project. J Am Geriatr Soc. 1998;46(5):617–
619.
767 Tinetti ME, Ginter SF. The nursing home lifespace diameter. A measure of extent and frequency
of mobility among nursing home residents. J Am
Geriatr Soc. 1990;38(12):1311–1315.
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Measures Management System
Blueprint website. Although the data
element on which we solicited input
differed from the proposed data
element, input submitted from August
12 to September 12, 2016 supported the
assessment of vision in PAC settings
and the useful information such a vision
data element would provide. The
commenters stated that the Ability to
See item would provide important
information that would facilitate care
coordination and care planning, and
consequently improve the quality of
care. Other commenters suggested it
would be helpful as an indicator of
resource use and noted that the item
would provide useful information about
the abilities of patients and residents to
care for themselves. Additional
commenters noted that the item could
feasibly be implemented across PAC
providers and that its kappa scores from
the PAC PRD support its validity. Some
commenters noted a preference for MDS
version of the Vision data element over
the form put forward in public
comment, citing the widespread use of
this data element. A summary report for
the August 12 to September 12, 2016
public comment period titled ‘‘SPADE
August 2016 Public Comment Summary
Report’’ is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In response to our proposal in the FY
2018 IPPS/LTCH PPS proposed rule, we
received comments in support of the
Vision data element as well as concerns
about not having recent, comprehensive
field testing of proposed data elements.
Commenters supported addressing the
needs of persons with disabilities and
noted the importance of the Vision data
element because unaddressed
impairments during the initial
assessment can result in inaccurate
diagnoses of impaired language or
cognition and can invalidate other
information obtained from the patient
assessment. Commenters recommended
that hearing, vision, and communication
assessments be administered at the
beginning of the patient assessment
process. One commenter expressed
concern that the Ability to See data
element would not capture all aspects of
functional vision—that is, the person’s
ability to use vision to complete daily
activities and participate in
environments—because it fails to assess
visual field and low contract visual
acuity.
Subsequent to receiving comments on
the FY 2018 IPPS/LTCH PPS proposed
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amozie on DSK9F9SC42PROD with PROPOSALS2
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rule, the Vision data element was
included in the National Beta Test of
candidate data elements conducted by
our data element contractor from
November 2017 to August 2018. Results
of this test found the Vision data
element to be feasible and reliable for
use with PAC patients and residents.
More information about the
performance of the Vision data element
in the National Beta Test can be found
in the document titled ‘‘Proposed
Specifications for LTCH QRP Quality
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In addition, our data element
contractor convened a TEP on January 5
and 6, 2017 for the purpose of soliciting
input on all the SPADEs, including the
Vision data element. The TEP affirmed
the importance of standardized
assessment of vision impairment in PAC
patients and residents. A summary of
the January 5 and 6, 2017 TEP meeting
titled ‘‘SPADE Technical Expert Panel
Summary (Second Convening)’’ is
available at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
We also held Special Open Door
Forums and small-group discussions
with PAC providers and other
stakeholders in 2018 for the purpose of
updating the public about our ongoing
SPADE development efforts. Finally, on
November 27, 2018, our data element
contractor hosted a public meeting of
stakeholders to present the results of the
National Beta Test and solicit additional
comments. General input on the testing
and item development process and
concerns about burden were received
from stakeholders during this meeting
and via email through February 1, 2019.
In addition, a commenter expressed
support for the Vision data element and
suggested administration at the
beginning of the patient assessment to
maximize utility. A summary of the
public input received from the
November 27, 2018 stakeholder meeting
titled ‘‘Input on Standardized Patient
Assessment Data Elements (SPADEs)
Received After November 27, 2018
Stakeholder Meeting’’ is available at:
https://www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
VerDate Sep<11>2014
17:51 May 02, 2019
Jkt 247001
IMPACT-Act-Downloads-andVideos.html.
Taking together the importance of
assessing for vision, stakeholder input,
and strong test results, we are proposing
that the Vision data element meets the
definition of standardized patient
assessment data with respect to
impairments under section
1899B(b)(1)(B)(v) of the Act, and to
adopt the Vision data element as
standardized patient assessment data for
use in the LTCH QRP.
f. Proposed New Category: Social
Determinants of Health
(1) Proposed Social Determinants of
Health Data Collection To Inform
Measures and Other Purposes
Subparagraph (A) of section 2(d)(2) of
the IMPACT Act requires CMS to assess
appropriate adjustments to quality
measures, resource measures, and other
measures, and to assess and implement
appropriate adjustments to payment
under Medicare, based on those
measures, after taking into account
studies conducted by ASPE on social
risk factors (described below) and other
information, and based on an
individual’s health status and other
factors. Subparagraph (C) of section
2(d)(2) of the IMPACT Act further
requires the Secretary to carry out
periodic analyses, at least every 3 years,
based on the factors referred to
subparagraph (A) so as to monitor
changes in possible relationships.
Subparagraph (B) of section 2(d)(2) of
the IMPACT Act requires CMS to collect
or otherwise obtain access to data
necessary to carry out the requirement
of the paragraph (both assessing
adjustments described above in such
subparagraph (A) and for periodic
analyses in such subparagraph (C)).
Accordingly we are proposing to use our
authority under subparagraph (B) of
section 2(d)(2) of the IMPACT Act to
establish a new data source for
information to meet the requirements of
subparagraphs (A) and (C) of section
2(d)(2) of the IMPACT Act. In this rule,
we are proposing to collect and access
data about social determinants of health
(SDOH) to perform CMS’
responsibilities under subparagraphs
(A) and (C) of section 2(d)(2) of the
IMPACT Act, as explained in more
detail below. Social determinants of
health, also known as social risk factors,
or health-related social needs, are the
socioeconomic, cultural and
environmental circumstances in which
individuals live that impact their health.
We are proposing to collect information
on seven proposed SDOH SPADE data
elements relating to race, ethnicity,
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preferred language, interpreter services,
health literacy, transportation, and
social isolation; a detailed discussion of
each of the proposed SDOH data
elements is found in section
VIII.C.7.f.(2) of the preamble of this
proposed rule.
We are also proposing to use the
assessment instrument for the LTCH
QRP, the LCDS, described as a PAC
assessment instrument under section
1899B(a)(2)(B) of the Act, to collect
these data via an existing data collection
mechanism. We believe this approach
will provide CMS with access to data
with respect to the requirements of
section 2(d)(2) of the IMPACT Act,
while minimizing the reporting burden
on PAC health care providers by relying
on a data reporting mechanism already
used and an existing system to which
PAC health care providers are already
accustomed.
The IMPACT Act includes several
requirements applicable to the
Secretary, in addition to those imposing
new data reporting obligations on
certain PAC providers as discussed in
section VIII.C.7.f.(2) of the preamble of
this proposed rule. Subparagraphs (A)
and (B) of section 2(d)(1) of the IMPACT
Act require the Secretary, acting through
the Office of the Assistant Secretary for
Planning and Evaluation (ASPE), to
conduct two studies that examine the
effect of risk factors, including
individuals’ socioeconomic status, on
quality, resource use and other
measures under the Medicare program.
The first ASPE study was completed in
December 2016 and is discussed below,
and the second study is to be completed
in the fall of 2019. We recognize that
ASPE, in its studies, is considering a
broader range of social risk factors than
the SDOH data elements in this
proposal, and address both PAC and
non-PAC settings. We acknowledge that
other data elements may be useful to
understand, and that some of those
elements may be of particular interest in
non-PAC settings. For example, for
beneficiaries receiving care in the
community, as opposed to an in-patient
facility, housing stability and food
insecurity may be more relevant. We
will continue to take into account the
findings from both of ASPE’s reports in
future policy making.
One of the ASPE’s first actions under
the IMPACT Act was to commission the
National Academies of Sciences,
Engineering, and Medicine (NASEM) to
define and conceptualize socioeconomic
status for the purposes of ASPE’s two
studies under section 2(d)(1) of the
IMPACT Act. The NASEM convened a
panel of experts in the field and
conducted an extensive literature
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review. Based on the information
collected, the 2016 NASEM panel report
titled, ‘‘Accounting for Social Risk
Factors in Medicare Payment:
Identifying Social Risk Factors,’’
concluded that the best way to assess
how social processes and social
relationships influence key healthrelated outcomes in Medicare
beneficiaries is through a framework of
social risk factors instead of
socioeconomic status. Social risk factors
discussed in the NASEM report include
socioeconomic position, race, ethnicity,
gender, social context, and community
context. These factors are discussed at
length in chapter 2 of the NASEM
report, titled ‘‘Social Risk Factors.’’ 768
Consequently NASEM framed the
results of its report in terms of ‘‘social
risk factors’’ rather than ‘‘socioeconomic
status’’ or ‘‘sociodemographic status.’’
The full text of the ‘‘Social Risk Factors’’
NASEM report is available for reading
on the website at: https://www.nap.edu/
read/21858/chapter/1.
Each of the data elements we are
proposing to collect and access pursuant
to our authority under section 2(d)(2)(B)
of the IMPACT Act is identified in the
2016 NASEM report as a social risk
factor that has been shown to impact
care use, cost and outcomes for
Medicare beneficiaries. CMS uses the
term social determinants of health
(SDOH) to denote social risk factors,
which is consistent with the objectives
of Healthy People 2020.769
ASPE issued its first Report to
Congress, titled ‘‘Social Risk Factors and
Performance Under Medicare’s ValueBased Purchasing Programs,’’ under
section 2(d)(1)(A) of the IMPACT Act on
December 21, 2016.770 Using NASEM’s
social risk factors framework, ASPE
focused on the following social risk
factors, in addition to disability: (1)
Dual enrollment in Medicare and
Medicaid as a marker for low income,
(2) residence in a low-income area, (3)
Black race, (4) Hispanic ethnicity, and;
(5) residence in a rural area. ASPE
acknowledged that the social risk factors
examined in its report were limited due
to data availability. The report also
768 National Academies of Sciences, Engineering,
and Medicine. 2016. Accounting for social risk
factors in Medicare payment: Identifying social risk
factors. Chapter 2. Washington, DC: The National
Academies Press.
769 Social Determinants of Health. Healthy People
2020. https://www.healthypeople.gov/2020/topicsobjectives/topic/social-determinants-of-health.
(February 2019).
770 U.S. Department of Health and Human
Services, Office of the Assistant Secretary for
Planning and Evaluation. 2016. Report to Congress:
Social Risk Factors and Performance Under
Medicare’s Value-Based Payment Programs.
Washington, DC.
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noted that the data necessary to
meaningfully attempt to reduce
disparities and identify and reward
improved outcomes for beneficiaries
with social risk factors have not been
collected consistently on a national
level in post-acute care settings. Where
these data have been collected, the
collection frequently involves lengthy
questionnaires. More information on the
Report to Congress on Social Risk
Factors and Performance under
Medicare’s Value-Based Purchasing
Programs, including the full report, is
available on the website at: https://
aspe.hhs.gov/social-risk-factors-andmedicares-value-based-purchasingprograms-reports.
Section 2(d)(2) of the IMPACT Act
relates to CMS activities and imposes
several responsibilities on the Secretary
relating to quality, resource use, and
other measures under Medicare. As
mentioned previously, under
subparagraph (A) of section 2(d)(2) of
the IMPACT Act, the Secretary is
required, on an ongoing basis, taking
into account the ASPE studies and other
information, and based on an
individual’s health status and other
factors, to assess appropriate
adjustments to quality, resource use,
and other measures, and to assess and
implement appropriate adjustments to
Medicare payments based on those
measures. Section 2(d)(2)(A)(i) of the
IMPACT Act applies to measures
adopted under subsections (c) and (d) of
section 1899B of the Act and to other
measures under Medicare. However,
CMS’ ability to perform these analyses,
and assess and make appropriate
adjustments is hindered by limits of
existing data collections on SDOH data
elements for Medicare beneficiaries. In
its first study in 2016, in discussing the
second study, ASPE noted that
information relating to many of the
specific factors listed in the IMPACT
Act, such as health literacy, limited
English proficiency, and Medicare
beneficiary activation, are not available
in Medicare data.
Subparagraph 2(d)(2)(A) of the
IMPACT Act specifically requires the
Secretary to take the studies and
considerations from ASPE’s reports to
Congress, as well as other information
as appropriate, into account in assessing
and implementing adjustments to
measures and related payments based
on measures in Medicare. The results of
the ASPE’s first study demonstrated that
Medicare beneficiaries with social risk
factors tended to have worse outcomes
on many quality measures, and
providers who treated a
disproportionate share of beneficiaries
with social risk factors tended to have
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worse performance on quality measures.
As a result of these findings, ASPE
suggested a three-pronged strategy to
guide the development of value-based
payment programs under which all
Medicare beneficiaries receive the
highest quality healthcare services
possible.
The three components of this strategy
are to: (1) Measure and report quality of
care for beneficiaries with social risk
factors; (2) set high, fair quality
standards for care provided to all
beneficiaries; and (3) reward and
support better outcomes for
beneficiaries with social risk factors. In
discussing how measuring and reporting
quality for beneficiaries with social risk
factors can be applied to Medicare
quality payment programs, the report
offered nine considerations across the
three-pronged strategy, including
enhancing data collection and
developing statistical techniques to
allow measurement and reporting of
performance for beneficiaries with
social risk factors on key quality and
resource use measures.
Congress, in section 2(d)(2)(B) of the
IMPACT Act, required the Secretary to
collect or otherwise obtain access to the
data necessary to carry out the
provisions of paragraph (2) of section
2(d)of the IMPACT Act through both
new and existing data sources. Taking
into consideration NASEM’s conceptual
framework for social risk factors
discussed above, ASPE’s study,
considerations under section 2(d)(1)(A)
of the IMPACT Act, as well as the
current data constraints of ASPE’s first
study and its suggested considerations,
we are proposing to collect and access
data about SDOH under section 2(d)(2)
of the IMPACT Act. Our collection and
use of the SDOH data described in
section VIII.C.7.f.(1) of the preamble of
this proposed rule, under section 2(d)(2)
of the IMPACT Act, would be
independent of our proposal below (in
section VIII.C.7.f.(2) of the preamble of
this proposed rule) and our authority to
require submission of that data for use
as SPADE under section 1899B(a)(1)(B)
of the Act.
Accessing standardized data relating
to the SDOH data elements on a national
level is necessary to permit CMS to
conduct periodic analyses, to assess
appropriate adjustments to quality
measures, resource use measures, and
other measures, and to assess and
implement appropriate adjustments to
Medicare payments based on those
measures. We agree with ASPE’s
observations, in the value-based
purchasing context, that the ability to
measure and track quality, outcomes,
and costs for beneficiaries with social
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risk factors over time is critical as
policymakers and providers seek to
reduce disparities and improve care for
these groups. Collecting the data as
proposed will provide the basis for our
periodic analyses of the relationship
between an individual’s health status
and other factors and quality, resource
use, and other measures, as required by
section 2(d)(2) of the IMPACT Act, and
to assess appropriate adjustments. These
data will also permit us to develop the
statistical tools necessary to maximize
the value of Medicare data, reduce costs
and improve the quality of care for all
beneficiaries. Collecting and accessing
SDOH data in this way also supports the
three-part strategy put forth in the first
ASPE report, specifically ASPE’s
consideration to enhance data collection
and develop statistical techniques to
allow measurement and reporting of
performance for beneficiaries with
social risk factors on key quality and
resource use measures.
For the reasons discussed above, we
are proposing under section 2(d)(2) of
the IMPACT Act, to collect the data on
the following SDOH: (1) Race, as
described in section VIII.C.7.f.(2)(a) of
the preamble of this proposed rule; (2)
Ethnicity, as described in section
VIII.C.7.f.(2)(a) of the preamble of this
proposed rule; (3) Preferred Language,
as described in section VIII.C.7.f.(2)(b)
of the preamble of this proposed rule;
(4) Interpreter Services as described in
section VIII.C.7.f.(2)(b) of the preamble
of this proposed rule; (5) Health
Literacy, as described in section
VIII.C.7.f.(2)(c) of the preamble of this
proposed rule; (6) Transportation, as
described in section VIII.C.7.f.(2)(d) of
the preamble of this proposed rule; and
(7) Social Isolation, as described in
section VIII.C.7.f.(2)(e) of the preamble
of this proposed rule. These data
elements are discussed in more detail
below in section VIII.C.7.f.(2) of the
preamble of this proposed rule. We
welcome comment on this proposal.
(2) Standardized Patient Assessment
Data
Section 1899B(b)(1)(B)(vi) of the Act
authorizes the Secretary to collect
SPADEs with respect to other categories
deemed necessary and appropriate.
Below we are proposing to create a
Social Determinants of Health SPADE
category under section
1899B(b)(1)(B)(vi) of the Act. In addition
to collecting SDOH data for the
purposes outlined above under section
2(d)(2)(B) of the IMPACT Act, we are
also proposing to collect as SPADE
these same data elements (race,
ethnicity, preferred language, interpreter
services, health literacy, transportation,
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and social isolation) under section
1899B(b)(1)(B)(vi) of the Act. We believe
that this proposed new category of
Social Determinants of Health will
inform provider understanding of
individual patient risk factors and
treatment preferences, facilitate
coordinated care and care planning, and
improve patient outcomes. We are
proposing to deem this category
necessary and appropriate, for the
purposes of SPADE, because using
common standards and definitions for
PAC data elements is important in
ensuring interoperable exchange of
longitudinal information between PAC
providers and other providers to
facilitate coordinated care, continuity in
care planning, and the discharge
planning process from post-acute care
settings.
All of the Social Determinants of
Health data elements we are proposing
under section 1899B(b)(1)(B)(vi) of the
Act have the capacity to take into
account treatment preferences and care
goals of patients and to inform our
understanding of patient complexity
and risk factors that may affect care
outcomes. While acknowledging the
existence and importance of additional
SDOH, we are proposing to assess some
of the factors relevant for patients
receiving post-acute care that PAC
settings are in a position to impact
through the provision of services and
supports, such as connecting patients
with identified needs with
transportation programs, certified
interpreters, or social support programs.
As previously mentioned, and
described in more detail below, we are
proposing to adopt the following seven
data elements as SPADE under the
proposed Social Determinants of Health
category: Race, ethnicity, preferred
language, interpreter services, health
literacy, transportation, and social
isolation. To select these data elements,
we reviewed the research literature, a
number of validated assessment tools
and frameworks for addressing SDOH
currently in use (for example, Health
Leads, NASEM, Protocol for Responding
to and Assessing Patients’ Assets, Risks,
and Experiences (PRAPARE), and ICD–
10), and we engaged in discussions with
stakeholders. We also prioritized
balancing the reporting burden for PAC
providers with our policy objective to
collect SPADEs that will inform care
planning and coordination and quality
improvement across care settings.
Furthermore, incorporating SDOH data
elements into care planning has the
potential to reduce readmissions and
help beneficiaries achieve and maintain
their health goals.
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We also considered feedback received
during a listening session that we held
on December 13, 2018. The purpose of
the listening session was to solicit
feedback from health systems, research
organizations, advocacy organizations
and state agencies, and other members
of the public on collecting patient-level
data on SDOH across care settings,
including consideration of race,
ethnicity, spoken language, health
literacy, social isolation, transportation,
sex, gender identity, and sexual
orientation. We also gave participants
an option to submit written comments.
A full summary of the listening session,
titled ‘‘Listening Session on Social
Determinants of Health Data Elements:
Summary of Findings,’’ includes a list of
participating stakeholders and their
affiliations, and is available at: https://
www.cms.gov/Medicare/QualityInitiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
(a) Race and Ethnicity
The persistence of racial and ethnic
disparities in health and health care is
widely documented, including in PAC
settings.771 772 773 774 775 Despite the trend
toward overall improvements in quality
of care and health outcomes, the Agency
for Healthcare Research and Quality, in
its National Healthcare Quality and
Disparities Reports, consistently
indicates that racial and ethnic
disparities persist, even after controlling
for factors such as income, geography,
and insurance.776 For example, racial
and ethnic minorities tend to have
higher rates of infant mortality, diabetes
and other chronic conditions, and visits
to the emergency department, and lower
771 2017 National Healthcare Quality and
Disparities Report. Rockville, MD: Agency for
Healthcare Research and Quality; September 2018.
AHRQ Pub. No. 18–0033–EF.
772 Fiscella, K. and Sanders, M.R. Racial and
Ethnic Disparities in the Quality of Health Care.
(2016). Annual Review of Public Health. 37:375–
394.
773 2018 National Impact Assessment of the
Centers for Medicare & Medicaid Services (CMS)
Quality Measures Reports. Baltimore, MD: U.S.
Department of Health and Human Services, Centers
for Medicare and Medicaid Services; February 28,
2018.
774 Smedley, B.D., Stith, A.Y., & Nelson, A.R.
(2003). Unequal treatment: Confronting racial and
ethnic disparities in health care. Washington, DC,
National Academy Press.
775 Chase, J., Huang, L. and Russell, D. (2017).
Racial/ethnic disparities in disability outcomes
among post-acute home care patients. J of Aging
and Health. 30(9):1406–1426.
776 National Healthcare Quality and Disparities
Reports. (December 2018). Agency for Healthcare
Research and Quality, Rockville, MD. https://
www.ahrq.gov/research/findings/nhqrdr/
index.html.
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rates of having a usual source of care
and receiving immunizations such as
the flu vaccine.777 Studies have also
shown that African Americans are
significantly more likely than white
Americans to die prematurely from
heart disease and stroke.778 However,
our ability to identify and address racial
and ethnic health disparities has
historically been constrained by data
limitations, particularly for smaller
populations groups such as Asians,
American Indians and Alaska Natives,
and Native Hawaiians and other Pacific
Islanders.779
The ability to improve understanding
of and address racial and ethnic
disparities in PAC outcomes requires
the availability of better data. There is
currently a Race and Ethnicity data
element, collected in the MDS, LCDS,
IRF–PAI, and OASIS, that consists of a
single question, which aligns with the
1997 Office of Management and Budget
(OMB) minimum data standards for
federal data collection efforts.780 The
1997 OMB Standard lists five minimum
categories of race: (1) American Indian
or Alaska Native; (2) Asian; (3) Black or
African American; (4) Native Hawaiian
or Other Pacific Islander; (5) and White.
The 1997 OMB Standard also lists two
minimum categories of ethnicity: (1)
Hispanic or Latino; and (2) Not Hispanic
or Latino. The 2011 HHS Data Standards
requires a two-question format when
self-identification is used to collect data
on race and ethnicity. Large federal
surveys such as the National Health
Interview Survey, Behavioral Risk
Factor Surveillance System, and the
National Survey on Drug Use and
Health, have implemented the 2011
HHS race and ethnicity data standards.
CMS has similarly updated the
Medicare Current Beneficiary Survey,
Medicare Health Outcomes Survey, and
the Health Insurance Marketplace
777 National Center for Health Statistics. Health,
United States, 2017: With special feature on
mortality. Hyattsville, Maryland. 2018.
778 HHS. Heart disease and African Americans.
2016b. (October 24, 2016). https://
minorityhealth.hhs.gov/omh/browse.aspx?lvl=4&
lvlid=19.
779 National Academies of Sciences, Engineering,
and Medicine; Health and Medicine Division; Board
on Population Health and Public Health Practice;
Committee on Community-Based Solutions to
Promote Health Equity in the United States; Baciu
A, Negussie Y, Geller A, et al., editors.
Communities in Action: Pathways to Health Equity.
Washington (DC): National Academies Press (US);
2017 Jan 11. 2, The State of Health Disparities in
the United States. Available from: https://
www.ncbi.nlm.nih.gov/books/NBK425844/.
780 ‘‘Revisions to the Standards for the
Classification of Federal Data on Race and Ethnicity
(Notice of Decision)’’. Federal Register 62:210
(October 30, 1997) pp. 58782–58790. Available
from: https://www.govinfo.gov/content/pkg/FR1997-10-30/pdf/97-28653.pdf.
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Application for Health Coverage with
the 2011 HHS data standards. More
information about the HHS Race and
Ethnicity Data Standards are available
on the website at: https://minority
health.hhs.gov/omh/browse.aspx?
lvl=3&lvlid=54.
We are proposing to revise the current
Race and Ethnicity data element for
purposes of this proposal to conform to
the 2011 HHS Data Standards for
person-level data collection, while also
meeting the 1997 OMB minimum data
standards for race and ethnicity. Rather
than one data element that assesses both
race and ethnicity, we are proposing
two separate data elements: One for
Race and one for Ethnicity, that would
conform with the 2011 HHS Data
Standards and the 1997 OMB Standard.
In accordance with the 2011 HHS Data
Standards, a two-question format would
be used for the proposed race and
ethnicity data elements.
The proposed Race data element asks,
‘‘What is your race?’’ We are proposing
to include fourteen response options
under the race data element: (1) White;
(2) Black or African American; (3)
American Indian or Alaska Native; (4)
Asian Indian; (5) Chinese; (6) Filipino;
(7) Japanese; (8) Korean; (9) Vietnamese;
(10) Other Asian; (11) Native Hawaiian;
(12) Guamanian or Chamorro; (13)
Samoan; and, (14) Other Pacific
Islander.
The proposed Ethnicity data element
asks, ‘‘Are you Hispanic, Latino/a, or
Spanish origin?’’ We are proposing to
include five response options under the
ethnicity data element: (1) Not of
Hispanic, Latino/a, or Spanish origin;
(2) Mexican, Mexican American,
Chicano/a; (3) Puerto Rican; (4) Cuban;
and, (5) Another Hispanic, Latino, or
Spanish Origin.
We believe that the two proposed data
elements for race and ethnicity conform
to the 2011 HHS Data Standards for
person-level data collection, while also
meeting the 1997 OMB minimum data
standards for race and ethnicity,
because under those standards, more
detailed information on population
groups can be collected if those
additional categories can be aggregated
into the OMB minimum standard set of
categories.
In addition, we received stakeholder
feedback during the December 13, 2018
SDOH listening session on the
importance of improving response
options for race and ethnicity as a
component of health care assessments
and for monitoring disparities. Some
stakeholders emphasized the
importance of allowing for selfidentification of race and ethnicity for
more categories than are included in the
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2011 HHS Standard to better reflect
state and local diversity, while
acknowledging the burden of coding an
open-ended health care assessment
question across different settings.
We believe that the proposed
modified race and ethnicity data
elements more accurately reflect the
diversity of the U.S. population than the
current race/ethnicity data element
included in MDS, LCDS, IRF–PAI, and
OASIS.781 782 783 784 We believe, and
research consistently shows, that
improving how race and ethnicity data
are collected is an important first step
in improving quality of care and health
outcomes. Addressing disparities in
access to care, quality of care, and
health outcomes for Medicare
beneficiaries begins with identifying
and analyzing how SDOH, such as race
and ethnicity, align with disparities in
these areas.785 Standardizing selfreported data collection for race and
ethnicity allows for the equal
comparison of data across multiple
healthcare entities.786 By collecting and
analyzing these data, CMS and other
healthcare entities will be able to
identify challenges and monitor
progress. The growing diversity of the
U.S. population and knowledge of racial
and ethnic disparities within and across
population groups supports the
collection of more granular data beyond
the 1997 OMB minimum standard for
reporting categories. The 2011 HHS race
and ethnicity data standard includes
additional detail that may be used by
781 Penman-Aguilar, A., Talih, M., Huang, D.,
Moonesinghe, R., Bouye, K., Beckles, G. (2016).
Measurement of Health Disparities, Health
Inequities, and Social Determinants of Health to
Support the Advancement of Health Equity. J Public
Health Manag Pract. 22 Suppl 1: S33–42.
782 Ramos, R., Davis, J.L., Ross, T., Grant, C.G.,
Green, B.L. (2012). Measuring health disparities and
health inequities: do you have REGAL data? Qual
Manag Health Care. 21(3):176–87.
783 IOM (Institute of Medicine). 2009. Race,
Ethnicity, and Language Data: Standardization for
Health Care Quality Improvement. Washington, DC:
The National Academies Press.
784 ‘‘Revision of Standards for Maintaining,
Collecting, and Presenting Federal Data on Race and
Ethnicity: Proposals From Federal Interagency
Working Group (Notice and Request for
Comments).’’ Federal Register 82: 39 (March 1,
2017) p. 12242.
785 National Academies of Sciences, Engineering,
and Medicine; Health and Medicine Division; Board
on Population Health and Public Health Practice;
Committee on Community-Based Solutions to
Promote Health Equity in the United States; Baciu
A, Negussie Y, Geller A, et al., editors.
Communities in Action: Pathways to Health Equity.
Washington (DC): National Academies Press (US);
2017 Jan 11. 2, The State of Health Disparities in
the United States. Available from: https://
www.ncbi.nlm.nih.gov/books/NBK425844/.
786 IOM (Institute of Medicine). 2009. Race,
Ethnicity, and Language Data: Standardization for
Health Care Quality Improvement. Washington, DC:
The National Academies Press.
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PAC providers to target quality
improvement efforts for racial and
ethnic groups experiencing disparate
outcomes. For more information on the
Race and Ethnicity data elements, we
refer readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Measures and Standardized Patient
Assessment Data Elements,’’ available
at: https://www.cms.gov/Medicare/
Quality-Initiatives-Patient-AssessmentInstruments/Post-Acute-Care-QualityInitiatives/IMPACT-Act-of-2014/
IMPACT-Act-Downloads-andVideos.html.
In an effort to standardize the
submission of race and ethnicity data
among IRFs, HHAs, SNFs and LTCHs,
for the purposes outlined in section
1899B(a)(1)(B) of the Act, while
minimizing the reporting burden, we are
proposing to adopt the Race and
Ethnicity data elements described above
as SPADEs with respect to the proposed
Social Determinants of Health category.
Specifically, we are proposing to
replace the current Race/Ethnicity data
element with the proposed Race and
Ethnicity data elements on the LCDS.
We are also proposing that LTCHs that
submit the Race and Ethnicity data
elements with respect to admission will
be considered to have submitted with
respect to discharge as well, because it
is unlikely that the results of these
assessment findings will change
between the start and end of the LTCH
stay, making the information submitted
with respect to a patient’s admission the
same with respect to a patient’s
discharge.
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(b) Preferred Language and Interpreter
Services
More than 64 million Americans
speak a language other than English at
home, and nearly 40 million of those
individuals have limited English
proficiency (LEP).787 Individuals with
LEP have been shown to receive worse
care and have poorer health outcomes,
including higher readmission
rates.788 789 790 Communication with
individuals with LEP is an important
787 U.S. Census Bureau, 2013–2017 American
Community Survey 5-Year Estimates.
788 Karliner LS, Kim SE, Meltzer DO, Auerbach
AD. Influence of language barriers on outcomes of
hospital care for general medicine inpatients. J
Hosp Med. 2010 May–Jun;5(5):276–82. doi:
10.1002/jhm.658.
789 Kim EJ, Kim T, Paasche-Orlow MK, et al.
Disparities in Hypertension Associated with
Limited English Proficiency. J Gen Intern Med. 2017
Jun;32(6):632–639. doi: 10.1007/s11606–017–3999–
9.
790 National Academies of Sciences, Engineering,
and Medicine. 2016. Accounting for social risk
factors in Medicare payment: Identifying social risk
factors. Washington, DC: The National Academies
Press.
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component of high quality health care,
which starts by understanding the
population in need of language services.
Unaddressed language barriers between
a patient and provider care team
negatively affects the ability to identify
and address individual medical and
non-medical care needs, to convey and
understand clinical information, as well
as discharge and follow up instructions,
all of which are necessary for providing
high quality care. Understanding the
communication assistance needs of
patients with LEP, including
individuals who are Deaf or hard of
hearing, is critical for ensuring good
outcomes.
Presently, the preferred language of
patients and need for interpreter
services are assessed in two PAC
assessment tools. The LCDS and the
MDS use the same two data elements to
assess preferred language and whether a
patient or resident needs or wants an
interpreter to communicate with health
care staff. The MDS initially
implemented preferred language and
interpreter services data elements to
assess the needs of SNF residents and
patients and inform care planning. For
alignment purposes, the LCDS later
adopted the same data elements for
LTCHs. The 2009 NASEM (formerly
Institute of Medicine) report on
standardizing data for health care
quality improvement emphasizes that
language and communication needs
should be assessed as a standard part of
health care delivery and quality
improvement strategies.791
In developing our proposal for a
standardized language data element
across PAC settings, we considered the
current preferred language and
interpreter services data elements that
are in LCDS and MDS. We also
considered the 2011 HHS Primary
Language Data Standard and peerreviewed research. The current
preferred language data element in
LCDS and MDS asks, ‘‘What is your
preferred language?’’ Because the
preferred language data element is openended, the patient or resident is able to
identify their preferred language,
including American Sign Language
(ASL). Finally, we considered the
recommendations from the 2009
NASEM (formerly Institute of Medicine)
report, ‘‘Race, Ethnicity, and Language
Data: Standardization for Health Care
Quality Improvement.’’ In it, the
committee recommended that
organizations evaluating a patient’s
791 IOM (Institute of Medicine). 2009. Race,
Ethnicity, and Language Data: Standardization for
Health Care Quality Improvement. Washington, DC:
The National Academies Press.
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language and communication needs for
health care purposes, should collect
data on the preferred spoken language
and on an individual’s assessment of
his/her level of English proficiency.
A second language data element in
LCDS and MDS asks, ‘‘Do you want or
need an interpreter to communicate
with a doctor or health care staff?’’ and
includes yes or no response options. In
contrast, the 2011 HHS Primary
Language Data Standard recommends
either a single question to assess how
well someone speaks English or, if more
granular information is needed, a twopart question to assess whether a
language other than English is spoken at
home and if so, identify that language.
However, neither option allows for a
direct assessment of a patient’s or
resident’s preferred spoken or written
language nor whether they want or need
interpreter services for communication
with a doctor or care team, both of
which are an important part of assessing
patient and resident needs and the care
planning process. More information
about the HHS Data Standard for
Primary Language is available on the
website at: https://minorityhealth.hhs.
gov/omh/browse.aspx?lvl=3&lvlid=54.
Research consistently recommends
collecting information about an
individual’s preferred spoken language
and evaluating those responses for
purposes of determining language
access needs in health care.792 However,
using ‘‘preferred spoken language’’ as
the metric does not adequately account
for people whose preferred language is
ASL, which would necessitate adopting
an additional data element to identify
visual language. The need to improve
the assessment of language preferences
and communication needs across PAC
settings should be balanced with the
burden associated with data collection
on the provider and patient. Therefore
we are proposing to retain the Preferred
Language and Interpreter Services data
elements currently in use on the LCDS.
In addition, we received feedback
during the December 13, 2018 listening
session on the importance of evaluating
and acting on language preferences early
to facilitate communication and
allowing for patient self-identification of
preferred language. Although the
discussion about language was focused
on preferred spoken language, there was
792 Guerino, P. and James, C. Race, Ethnicity, and
Language Preference in the Health Insurance
Marketplaces 2017 Open Enrollment Period.
Centers for Medicare & Medicaid Services, Office of
Minority Health. Data Highlight: Volume 7—April
2017. Available at: https://www.cms.gov/AboutCMS/Agency-Information/OMH/Downloads/DataHighlight-Race-Ethnicity-and-Language-PreferenceMarketplace.pdf.
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general consensus among participants
that stated language preferences may or
may not accurately indicate the need for
interpreter services, which supports
collecting and evaluating data to
determine language preference, as well
as the need for interpreter services. An
alternate suggestion was made to
inquire about preferred language
specifically for discussing health or
health care needs. While this suggestion
does allow for ASL as a response option,
we do not have data indicating how
useful this question might be for
assessing the desired information and
thus we are not including this question
in our proposal.
Improving how preferred language
and need for interpreter services data
are collected is an important component
of improving quality by helping PAC
providers and other providers
understand patient needs and develop
plans to address them. For more
information on the Preferred Language
and Interpreter Services data elements,
we refer readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Measures and Standardized Patient
Assessment Data Elements,’’ available
on the website at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In an effort to standardize the
submission of language data among
IRFs, HHAs, SNFs and LTCHs, for the
purposes outlined in section
1899B(a)(1)(B) of the Act, while
minimizing the reporting burden, we are
proposing to adopt the Preferred
Language and Interpreter Services data
elements currently used on the LCDS,
and describe above, as SPADEs with
respect to the Social Determinants of
Health category.
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(c) Health Literacy
The Department of Health and Human
Services defines health literacy as ‘‘the
degree to which individuals have the
capacity to obtain, process, and
understand basic health information
and services needed to make
appropriate health decisions.’’ 793
Similar to language barriers, low health
literacy can interfere with
communication between the provider
and patient and the ability for patients
or their caregivers to understand and
follow treatment plans, including
medication management. Poor health
793 U.S. Department of Health and Human
Services, Office of Disease Prevention and Health
Promotion. National action plan to improve health
literacy. Washington (DC): Author; 2010.
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literacy is linked to lower levels of
knowledge about health, worse health
outcomes, and the receipt of fewer
preventive services, but higher medical
costs and rates of emergency department
use.794
Health literacy is prioritized by
Healthy People 2020 as an SDOH.795
Healthy People 2020 is a long-term,
evidence-based effort led by the
Department of Health and Human
Services that aims to identify
nationwide health improvement
priorities and improve the health of all
Americans. Although not designated as
a social risk factor in NASEM’s 2016
report on accounting for social risk
factors in Medicare payment, the
NASEM noted that health literacy is
impacted by other social risk factors and
can affect access to care as well as
quality of care and health outcomes.796
Assessing for health literacy across PAC
settings would facilitate better care
coordination and discharge planning. A
significant challenge in assessing the
health literacy of individuals is avoiding
excessive burden on patients and health
care providers. The majority of existing,
validated health literacy assessment
tools use multiple screening items,
generally with no fewer than four,
which would make them burdensome if
adopted in MDS, LCDS, IRF–PAI, and
OASIS.
The Single Item Literacy Screener
(SILS) question asks, ‘‘How often do you
need to have someone help you when
you read instructions, pamphlets, or
other written material from your doctor
or pharmacy?’’ Possible response
options are: (1) Never; (2) Rarely; (3)
Sometimes; (4) Often; and (5) Always.
The SILS question, which assesses
reading ability, (a primary component of
health literacy), tested reasonably well
against the 36 item Short Test of
Functional Health Literacy in Adults
(S–TOFHLA), a thoroughly vetted and
widely adopted health literacy test, in
assessing the likelihood of low health
literacy in an adult sample from primary
care practices participating in the
Vermont Diabetes Information
794 National Academies of Sciences, Engineering,
and Medicine. 2016. Accounting for social risk
factors in Medicare payment: Identifying social risk
factors. Washington, DC: The National Academies
Press.
795 Social Determinants of Health. Healthy People
2020. https://www.healthypeople.gov/2020/topicsobjectives/topic/social-determinants-of-health.
(February 2019).
796 U.S. Department of Health & Human Services,
Office of the Assistant Secretary for Planning and
Evaluation. Report to Congress: Social Risk Factors
and Performance Under Medicare’s Value-Based
Purchasing Programs. Available at: https://
aspe.hhs.gov/pdf-report/report-congress-social-riskfactors-and-performance-under-medicares-valuebased-purchasing-programs. Washington, DC: 2016.
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System.797 798 The S–TOFHLA is a more
complex assessment instrument
developed using actual hospital related
materials such as prescription bottle
labels and appointment slips, and often
considered the instrument of choice for
a detailed evaluation of health
literacy.799 Furthermore, the S–
TOFHLA instrument is proprietary and
subject to purchase for individual
entities or users.800 Given that SILS is
publicly available, shorter and easier to
administer than the full health literacy
screen, and research found that a
positive result on the SILS demonstrates
an increased likelihood that an
individual has low health literacy, we
are proposing to use the single-item
reading question for health literacy in
the standardized data collection across
PAC settings. We believe that use of this
data element will provide sufficient
information about the health literacy of
LTCH patients to facilitate appropriate
care planning, care coordination, and
interoperable data exchange across PAC
settings.
In addition, we received feedback
during the December 13, 2018 SDOH
listening session on the importance of
recognizing health literacy as more than
understanding written materials and
filling out forms, as it is also important
to evaluate whether patients understand
their conditions. However, the NASEM
recently recommended that health care
providers implement health literacy
universal precautions instead of taking
steps to ensure care is provided at an
appropriate literacy level based on
individualized assessment of health
literacy.801 Given the dearth of Medicare
data on health literacy and gaps in
addressing health literacy in practice,
797 Morris, N.S., MacLean, C.D., Chew, L.D., &
Littenberg, B. (2006). The Single Item Literacy
Screener: Evaluation of a brief instrument to
identify limited reading ability. BMC family
practice, 7, 21. doi:10.1186/1471–2296–7–21.
798 Brice, J.H., Foster, M.B., Principe, S., Moss, C.,
Shofer, F.S., Falk, R.J., Ferris, M.E., DeWalt, D.A.
(2013). Single-item or two-item literacy screener to
predict the S–TOFHLA among adult hemodialysis
patients. Patient Educ Couns. 94(1):71–5.
799 University of Miami, School of Nursing &
Health Studies, Center of Excellence for Health
Disparities Research. Test of Functional Health
Literacy in Adults (TOFHLA). (March 2019).
Available from: https://elcentro.sonhs.miami.edu/
research/measures-library/tofhla/.
800 Nurss, J.R., Parker, R.M., Williams, M.V.,
&Baker, D.W. David W. (2001). TOFHLA.
Peppercorn Books & Press. Available from: https://
www.peppercornbooks.com/catalog/information.
php?info_id=5.
801 Hudson, S., Rikard, R.V., Staiculescu, I. &
Edison, K. (2017). Improving health and the bottom
line: The case for health literacy. In Building the
case for health literacy: Proceedings of a workshop.
Washington, DC: The National Academies Press.
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we recommend the addition of a health
literacy data element.
The proposed Health Literacy data
element is consistent with
considerations raised by NASEM and
other stakeholders and research on
health literacy, which demonstrates an
impact on health care use, cost, and
outcomes.802 For more information on
the proposed Health Literacy data
element, we refer readers to the
document titled ‘‘Proposed
Specifications for LTCH QRP Measures
and Standardized Patient Assessment
Data Elements,’’ available on the
website at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In an effort to standardize the
submission of health literacy data
among IRFs, HHAs, SNFs and LTCHs,
for the purposes outlined in section
1899B(a)(1)(B) of the Act, while
minimizing the reporting burden, we are
proposing to adopt the SILS question,
described above for the Health Literacy
data element, as SPADE under the
Social Determinants of Health category.
We are proposing to add the Health
Literacy data element to the LCDS.
(d) Transportation
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Transportation barriers commonly
affect access to necessary health care,
causing missed appointments, delayed
care, and unfilled prescriptions, all of
which can have a negative impact on
health outcomes.803 Access to
transportation for ongoing health care
and medication access needs,
particularly for those with chronic
diseases, is essential to successful
chronic disease management. Adopting
a data element to collect and analyze
information regarding transportation
needs across PAC settings would
facilitate the connection to programs
that can address identified needs. We
are therefore proposing to adopt as
SPADE a single transportation data
element that is from the Protocol for
Responding to and Assessing Patients’
Assets, Risks, and Experiences
(PRAPARE) assessment tool and
currently part of the Accountable Health
Communities (AHC) Screening Tool.
802 National
Academies of Sciences, Engineering,
and Medicine. 2016. Accounting for Social Risk
Factors in Medicare Payment: Identifying Social
Risk Factors. Washington, DC: The National
Academies Press.
803 Syed, S.T., Gerber, B.S., and Sharp, L.K.
(2013). Traveling Towards Disease: Transportation
Barriers to Health Care Access. J Community
Health. 38(5): 976–993.
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The proposed Transportation data
element from the PRAPARE tool asks,
‘‘Has lack of transportation kept you
from medical appointments, meetings,
work, or from getting things needed for
daily living?’’ The three response
options are: (1) Yes, it has kept me from
medical appointments or from getting
my medications; (2) Yes, it has kept me
from non-medical meetings,
appointments, work, or from getting
things that I need; and (3) No. The
patient would be given the option to
select all responses that apply. We are
proposing to use the transportation data
element from the PRAPARE Tool, with
permission from National Association of
Community Health Centers (NACHC),
after considering research on the
importance of addressing transportation
needs as a critical SDOH.804
The proposed data element is
responsive to research on the
importance of addressing transportation
needs as a critical SDOH and would
adopt the Transportation item from the
PRAPARE tool.805 This data element
comes from the national PRAPARE
social determinants of health
assessment protocol, developed and
owned by NACHC, in partnership with
the Association of Asian Pacific
Community Health Organization, the
Oregon Primary Care Association, and
the Institute for Alternative Futures.
Similarly the Transportation data
element used in the AHC Screening
Tool was adapted from the PRAPARE
tool. The AHC screening tool was
implemented by the Center for Medicare
and Medicaid Innovation’s AHC Model
and developed by a panel of
interdisciplinary experts that looked at
evidence-based ways to measure SDOH,
including transportation. While the
transportation access data element in
the AHC screening tool serves the same
purposes as our proposed SPADE
collection about transportation barriers,
the AHC tool has binary yes or no
response options that do not
differentiate between challenges for
medical versus non-medical
appointments and activities. We believe
that this is an important nuance for
informing PAC discharge planning to a
community setting, as transportation
needs for non-medical activities may
differ than for medical activities and
804 Health
Research & Educational Trust. (2017,
November). Social determinants of health series:
Transportation and the role of hospitals. Chicago,
IL. Available at: www.aha.org/
transportation.www.aha.org/transportation.
805 Health Research & Educational Trust. (2017,
November). Social determinants of health series:
Transportation and the role of hospitals. Chicago,
IL. Available at: www.aha.org/transportation.
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should be taken into account.806 We
believe that use of this data element will
provide sufficient information about
transportation barriers to medical and
non-medical care for LTCH patients to
facilitate appropriate discharge planning
and care coordination across PAC
settings. As such, we are proposing to
adopt the Transportation data element
from PRAPARE. More information about
development of the PRAPARE tool is
available on the website at: https://
protect2.fireeye.com/url?k=7cb6eb4420e2f238-7cb6da7b-0cc47adc5fa2-1751
cb986c8c2f8c&u=https://www.nachc.org/
prapare.
In addition, we received stakeholder
feedback during the December 13, 2018
SDOH listening session on the impact of
transportation barriers on unmet care
needs. While recognizing that there is
no consensus in the field about whether
providers should have responsibility for
resolving patient transportation needs,
discussion focused on the importance of
assessing transportation barriers to
facilitate connections with available
community resources.
Adding a Transportation data element
to the collection of SPADE would be an
important step to identifying and
addressing SDOH that impact health
outcomes and patient experience for
Medicare beneficiaries. For more
information on the Transportation data
element, we refer readers to the
document titled ‘‘Proposed
Specifications for LTCH QRP Measures
and Standardized Patient Assessment
Data Elements,’’ available on the
website at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In an effort to standardize the
submission of transportation data
among IRFs, HHAs, SNFs and LTCHs,
for the purposes outlined in section
1899B(a)(1)(B) of the Act, while
minimizing the reporting burden, we are
proposing to adopt the Transportation
data element described above as SPADE
with respect to the proposed Social
Determinants of Health category. If
finalized as proposed, we would add the
Transportation data element to the
LCDS.
(e) Social Isolation
Distinct from loneliness, social
isolation refers to an actual or perceived
lack of contact with other people, such
as living alone or residing in a remote
806 Northwestern University. (2017). PROMIS
Item Bank v. 1.0—Emotional Distress—Anger—
Short Form 1.
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area.807 808 Social isolation tends to
increase with age, is a risk factor for
physical and mental illness, and a
predictor of mortality.809 810 811 Postacute care providers are well-suited to
design and implement programs to
increase social engagement of patients,
while also taking into account
individual needs and preferences.
Adopting a data element to collect and
analyze information about social
isolation in LTCHs and across PAC
settings would facilitate the
identification of patients who are
socially isolated and who may benefit
from engagement efforts.
We are proposing to adopt as SPADE
a single social isolation data element
that is currently part of the AHC
Screening Tool. The AHC item was
selected from the Patient-Reported
Outcomes Measurement Information
System (PROMIS®) Item Bank on
Emotional Distress and asks, ‘‘How
often do you feel lonely or isolated from
those around you?’’ The five response
options are: (1) Never; (2) Rarely; (3)
Sometimes; (4) Often; and (5)
Always.812 The AHC Screening Tool
was developed by a panel of
interdisciplinary experts that looked at
evidence-based ways to measure SDOH,
including social isolation. More
information about the AHC Screening
Tool is available on the website at:
https://innovation.cms.gov/Files/
worksheets/ahcm-screeningtool.pdf.
In addition, we received stakeholder
feedback during the December 13, 2018
SDOH listening session on the value of
receiving information on social isolation
for purposes of care planning. Some
stakeholders also recommended
assessing social isolation as an SDOH as
opposed to social support.
The proposed Social Isolation data
element is consistent with NASEM
considerations about social isolation as
a function of social relationships that
impacts health outcomes and increases
mortality risk, as well as the current
work of a NASEM committee examining
how social isolation and loneliness
impact health outcomes in adults 50
years and older. We believe that adding
a Social Isolation data element would be
an important component of better
understanding patient complexity and
the care goals of patients, thereby
facilitating care coordination and
continuity in care planning across PAC
settings. For more information on the
Social Isolation data element, we refer
readers to the document titled
‘‘Proposed Specifications for LTCH QRP
Measures and Standardized Patient
Assessment Data Elements,’’ available
on the website at: https://www.cms.gov/
Medicare/Quality-Initiatives-PatientAssessment-Instruments/Post-AcuteCare-Quality-Initiatives/IMPACT-Act-of2014/IMPACT-Act-Downloads-andVideos.html.
In an effort to standardize the
submission of social isolation data
among IRFs, HHAs, SNFs and LTCHs,
for the purposes outlined in section
1899B(a)(1)(B) of the Act, while
minimizing the reporting burden, we are
proposing to adopt the Social Isolation
data element described above as SPADE
with respect to the proposed Social
Determinants of Health category. We are
proposing to add the Social Isolation
data element to the LCDS.
We are soliciting comment on these
proposals.
807 Tomaka, J., Thompson, S., and Palacios, R.
(2006). The Relation of Social Isolation, Loneliness,
and Social Support to Disease Outcomes Among the
Elderly. J of Aging and Health. 18(3): 359–384.
808 Social Connectedness and Engagement
Technology for Long-Term and Post-Acute Care: A
Primer and Provider Selection Guide. (2019).
Leading Age. Available at: https://
www.leadingage.org/white-papers/social-
connectedness-and-engagement-technology-longterm-and-post-acute-care-primer-and#1.1.
809 Landeiro, F., Barrows, P., Nuttall Musson, E.,
Gray, A.M., and Leal, J. (2017). Reducing Social
Loneliness in Older People: A Systematic Review
Protocol. BMJ Open. 7(5): e013778.
810 Ong, A.D., Uchino, B.N., and Wethington, E.
(2016). Loneliness and Health in Older Adults: A
Mini-Review and Synthesis. Gerontology. 62:443–
449.
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8. Proposed Form, Manner, and Timing
of Data Submission Under the LTCH
QRP
a. Background
We refer readers to the regulations at
§ 412.560(b) for information regarding
the current policies for reporting LTCH
QRP data.
b. Update to the CMS System for
Reporting Quality Measures and
Standardized Patient Assessment Data
and Associated Procedural Proposals
LTCHs are currently required to
submit LCDS data to CMS using the
Quality Improvement and Evaluation
System (QIES) Assessment and
Submission Processing (ASAP) system.
We have recently migrated to a new
internet Quality Improvement and
Evaluation System (iQIES) that will
enable real-time upgrades, and we are
proposing to designate that system as
the data submission system for the
LTCH QRP beginning October 1, 2019.
We are also proposing to revise our
regulations at § 412.560(d)(1) by
replacing the reference to ‘‘Quality
Improvement and Evaluation System
(QIES) Assessment Submission and
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Processing (ASAP) system’’ with ‘‘CMS
designated data submission system’’,
and to revise § 412.560(d)(3) and
§ 412.560(f)(1) by replacing the
references to ‘‘QIES ASAP system’’ with
‘‘CMS designated data submission
system’’ effective October 1, 2019. In
addition, we are proposing to notify the
public of any future changes to the CMS
designated system using subregulatory
mechanisms such as website postings,
listserv messaging, and webinars.
c. Proposed Reporting Requirement
Updates Beginning With the FY 2022
LTCH QRP
In the FY 2019 IPPS/LTCH PPS
proposed rule (83 FR 20515), we sought
public comment on moving the
implementation date of any new version
of the LCDS from April to October of the
same year. In the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41633), we
summarized the comments we received
on this topic. After considering those
comments, and to align with the MDS
and IRF–PAI implementation dates, in
this proposed rule, we are proposing to
move the implementation date of any
new version of the LCDS from April to
October, beginning October 1, 2020.
This would provide LTCHs an
additional 6 months to prepare for any
changes to the reporting requirements.
We are also proposing that, for the
first program year in which measures or
standardized patient assessment data
are adopted, LTCHs would only be
required to report data on patients who
are admitted and discharged during the
last quarter (October 1 to December 31)
of the calendar year that applies to the
program year. For subsequent program
years, LTCHs would be required to
report data on patients who are
admitted and discharged during the 12month calendar year that applies to the
program year.
The tables below illustrate the
proposed quarterly data collection
reporting periods and data submission
deadlines using the FY 2022 LTCH QRP
and FY 2023 LTCH QRP. The data
submission deadline applies to all
measures and standardized patient
assessment data except the Influenza
Vaccination Coverage Among
Healthcare Personnel (NQF #0431)
811 Leigh-Hunt, N., Bagguley, D., Bash, K., Turner,
V., Turnbull, S., Valtorta, N., and Caan, W. (2017).
An overview of systematic reviews on the public
health consequences of social isolation and
loneliness. Public Health. 152:157–171.
812 Northwestern University. (2017). PROMIS
Item Bank v. 1.0—Emotional Distress—Anger—
Short Form 1.
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19553
measure data, which is submitted
annually.
INITIAL REPORTING PERIOD FOR QUALITY MEASURES * AND STANDARDIZED PATIENT ASSESSMENT DATA REPORTING FOR
THE FY 2022 LTCH QRP **
Proposed data submission quarterly deadlines beginning
with the FY 2022 LTCH QRP
Proposed data collection quarterly reporting period
CY 2020 Q4: 10/1/2020–12/31/2020 .......................................................
CY 2020 Q4 Deadline: May 15, 2021.
* The submission deadline for the Influenza Vaccination Coverage Among Healthcare Personnel measure (NQF #0431) is annual, not quarterly. The proposed data collection reporting period for the Influenza Vaccination Coverage Among Healthcare Personnel measure (NQF #0431)
for the FY 2022 LTCH QRP is 10/1/2020–3/31/2021 and its proposed deadline is May 15, 2021.
** Applies to data reporting using the LCDS and CDC’s NHSN.
CALENDAR YEAR REPORTING PERIOD FOR QUALITY MEASURES * AND STANDARDIZED PATIENT ASSESSMENT DATA
REPORTING FOR THE FY 2023 LTCH QRP **
Proposed data submission quarterly deadlines beginning
with the FY 2023 LTCH QRP
Proposed data collection quarterly reporting period
CY
CY
CY
CY
2021
2021
2021
2021
Q1:
Q2:
Q3:
Q4:
1/1/2021–3/31/2021 ...........................................................
4/1/2021–6/30/2021 ...........................................................
7/1/2021–9/30/2021 ...........................................................
10/1/2021–12/31/2021 .......................................................
CY
CY
CY
CY
2021
2021
2021
2021
Q1
Q2
Q3
Q4
Deadline:
Deadline:
Deadline:
Deadline:
August 15, 2021.
November 15, 2021.
February 15, 2022.
May 15, 2022.
* The submission deadline for the Influenza Vaccination Coverage Among Healthcare Personnel measure (NQF #0431) is annual, not quarterly. The proposed data collection reporting period for the Influenza Vaccination Coverage Among Healthcare Personnel measure (NQF #0431)
for the FY 2023 LTCH QRP is 10/1/2021–3/31/2022 and its proposed deadline is May 15, 2022.
** Applies to data reporting using the LCDS and CDC’s NHSN.
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d. Proposed Schedule for Reporting the
Transfer of Health Information Quality
Measures Beginning With the FY 2022
LTCH QRP
As discussed in section VIII.C.4. of
the preamble of this proposed rule, we
are proposing to adopt the Transfer of
Health Information to the Provider—
Post-Acute Care (PAC) and Transfer of
Health Information to the Patient—PostAcute Care (PAC) quality measures
beginning with the FY 2022 LTCH QRP.
We also are proposing that LTCHs
would report the data on those measures
using the LCDS. LTCHs would be
required to collect data on both
measures for all patients beginning with
October 1, 2020 discharges. We refer
readers to the tables in section
VIII.C.8.c. of the preamble of this
proposed rule for an illustration of the
initial and calendar year reporting
cycles.
e. Proposed Schedule for Reporting
Standardized Patient Assessment Data
Elements Beginning With the FY 2022
LTCH QRP
As discussed in section VIII.C.7. of
the preamble of this proposed rule, we
are proposing to adopt SPADEs
beginning with the FY 2022 LTCH QRP.
We are proposing that LTCHs would
report the data using the LCDS. Similar
to the proposed schedule for reporting
the Transfer of Health Information to the
Provider—Post-Acute Care (PAC) and
Transfer of Health Information to the
Patient—Post-Acute Care (PAC) quality
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measures, LTCHs would be required to
collect the SPADEs for all patients
beginning with October 1, 2020
admissions and discharges. LTCHs that
submit data with respect to admission
for the Hearing, Vision, Race, and
Ethnicity SPADEs would be considered
to have submitted data with respect to
discharge. We refer readers to the tables
in section VIII.C.8.c. of the preamble of
this proposed rule for an illustration of
the initial and calendar year reporting
cycles.
9. Proposed Removal of the List of
Compliant LTCHs
In the FY 2016 IPPS/LTCH PPS final
rule (80 FR 49754 through 49755), we
finalized that we would publish a list of
LTCHs that successfully met the
reporting requirements for the
applicable payment determination on
the LTCH QRP website and update the
list on an annual basis.
We have received feedback from
stakeholders that this list offers minimal
benefit. Although the posting of
successful providers was the final step
in the applicable payment
determination process, it does not
provide new information or clarification
to the providers regarding their annual
payment update status. Therefore, in
this proposed rule, we are proposing
that we will no longer publish a list of
compliant LTCHs on the LTCH QRP
website effective beginning with the FY
2020 payment determination.
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10. Proposed Policies Regarding Public
Display of Measure Data for the LTCH
QRP
Section 1886(m)(5)(E) of the Act
requires the Secretary to establish
procedures for making the LTCH QRP
data available to the public after
ensuring that LTCHs have the
opportunity to review their data prior to
public display. Measure data are
currently displayed on the LTCH
Compare website, an interactive web
tool that assists individuals by
providing information on LTCH quality
of care. For more information on LTCH
Compare, we refer readers to our
website at: https://www.medicare.gov/
longtermcarehospitalcompare/. For a
more detailed discussion about our
policies regarding public display of
LTCH QRP measure data and
procedures for the opportunity to
review and correct data and
information, we refer readers to the FY
2017 IPPS/LTCH PPS final rule (81 FR
57231 through 57236). In this proposed
rule, we are proposing to begin publicly
displaying data for the Drug Regimen
Review Conducted With Follow-Up for
Identified Issues—Post Acute Care
(PAC) Long-Term Care Hospital (LTCH)
Quality Reporting Program (QRP)
measure beginning CY 2020 or as soon
as technically feasible. We finalized the
Drug Regimen Review Conducted With
Follow-Up for Identified Issues—Post
Acute Care (PAC) Long-Term Care
Hospital (LTCH) Quality Reporting
Program (QRP) measure in the FY 2017
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IPPS/LTCH PPS final rule (81 FR 57219
through 57223).
Data collection for this assessmentbased measure began with patients
admitted and discharged on or after July
1, 2018. We are proposing to display
data based on four rolling quarters,
initially using discharges from January
1, 2019 through December 31, 2019
(Quarter 1 2019 through Quarter 4
2019). To ensure the statistical
reliability of the data, we are proposing
that we would not publicly report an
LTCH’s performance on the measure if
the LTCH had fewer than 20 eligible
cases in any four consecutive rolling
quarters. LTCHs that have fewer than 20
eligible cases would be distinguished
with a footnote that states: ‘‘The number
of cases/patient stays is too small to
publicly report.’’
D. Proposed Changes to the Medicare
and Medicaid Promoting
Interoperability Programs
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1. Background
a. Statutory Authority for the Medicare
and Medicaid Promoting
Interoperability Programs
The HITECH Act (Title IV of Division
B of the ARRA, together with Title XIII
of Division A of the ARRA) authorizes
incentive payments under Medicare and
Medicaid for the adoption and
meaningful use of certified electronic
health record technology (CEHRT).
Incentive payments under Medicare
were available to eligible hospitals and
CAHs for certain payment years (as
authorized under sections 1886(n) and
1814(l) of the Act, respectively) if they
successfully demonstrated meaningful
use of CEHRT, which included
reporting on clinical quality measures
(CQMs) using CEHRT. Incentive
payments were available to Medicare
Advantage (MA) organizations under
section 1853(m)(3) of the Act for certain
affiliated hospitals that meaningfully
used CEHRT. In accordance with the
timeframe set forth in the statute, these
incentive payments under Medicare
generally are no longer available, except
for Puerto Rico eligible hospitals (for
more information on the Medicare
incentive payments available to Puerto
Rico eligible hospitals, we refer readers
to the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41672 through 41675).
Sections 1886(b)(3)(B)(ix) and
1814(l)(4) of the Act also establish
downward payment adjustments under
Medicare, beginning with FY 2015, for
eligible hospitals and CAHs that do not
successfully demonstrate meaningful
use of CEHRT for certain associated
reporting periods. Section 1853(m)(4) of
the Act establishes a negative payment
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adjustment to the monthly prospective
payments of a qualifying MA
organization if its affiliated eligible
hospitals are not meaningful users of
CEHRT, beginning in 2015.
Section 1903(a)(3)(F)(i) of the Act
establishes 100 percent Federal
financial participation (FFP) to States
for providing incentive payments to
eligible Medicaid providers (described
in section 1903(t)(2) of the Act) to adopt,
implement, upgrade and meaningfully
use CEHRT.
b. Goals of Proposed Changes to the
Medicare and Medicaid Promoting
Interoperability Programs
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41635), we affirmed our
commitment to furthering
interoperability by changing the name of
the EHR Incentive Program to the
Promoting Interoperability Program. As
we look toward the future of the
Promoting Interoperability Program, the
general goals of our proposals in this
proposed rule include: (1) A priority of
stability within the program after the
recent changes made in the FY 2019
IPPS/LTCH PPS final rule (83 FR 41634
through 41677) while continuing to
further interoperability through the use
of CEHRT; (2) reducing administrative
burden; (3) continued use of the 2015
Edition CEHRT; and (4) improving
patient access to their EHRs so they can
make fully informed health care
decisions.
2. EHR Reporting Period
a. Proposed Change to the EHR
Reporting Period in CY 2019 for Eligible
Hospitals
Under § 495.4, in the definition of
‘‘EHR reporting period for a payment
adjustment year,’’ for 2019, if an eligible
hospital has not successfully
demonstrated it is a meaningful EHR
user in a prior year, the EHR reporting
period is any continuous 90-day period
within CY 2019 and applies for the FY
2020 and 2021 payment adjustment
years. For the FY 2020 payment
adjustment year, the EHR reporting
period must end before and the eligible
hospital must successfully register for
and attest to meaningful use no later
than October 1, 2019.
We are proposing that, if we finalize
our proposal to modify the Query of
PDMP measure to require a ‘‘yes/no’’
attestation response instead of a
numerator/denominator, as discussed in
greater detail in section VIII.D.3.b. of the
preamble of this proposed rule, we
would eliminate the October 1, 2019
deadline for an eligible hospital that has
not successfully demonstrated it is a
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meaningful EHR user in a prior year.
This proposal would provide such
eligible hospitals all of CY 2019 to
complete their respective 90-day EHR
reporting period for the FY 2020
payment adjustment year. We are
proposing to revise the definition of
‘‘EHR reporting period for a payment
adjustment year’’ at 42 CFR 495.4 to
reflect this proposal.
b. Proposed EHR Reporting Period in CY
2021
As finalized in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41636), and
codified in the definitions of ‘‘EHR
reporting period’’ and ‘‘EHR reporting
period for a payment adjustment year’’
at 42 CFR 495.4, the EHR reporting
period in CY 2020 is a minimum of any
continuous 90-day period in CY 2020
for new and returning participants in
the Promoting Interoperability Programs
attesting to CMS or their State Medicaid
agency. Eligible professionals, eligible
hospitals, and CAHs may select an EHR
reporting period of a minimum of any
continuous 90-day period in CY 2020
from January 1, 2020 through December
31, 2020.
For CY 2021, we are proposing an
EHR reporting period of a minimum of
any continuous 90-day period in CY
2021 for new and returning participants
(eligible hospitals and CAHs) in the
Medicare Promoting Interoperability
Program attesting to CMS. We believe
that this is an appropriate length of time
for the EHR reporting period because of
the updates to measures and other
changes being proposed in this
proposed rule. In addition, a minimum
of any continuous 90-day period in CY
2021 would offer stability to the
Promoting Interoperability Program after
the changes that were finalized in the
FY 2019 IPPS/LTCH PPS final rule (83
FR 41634 through 41677). We are
proposing corresponding changes to the
definitions of ‘‘EHR reporting period’’
and ‘‘EHR reporting period for a
payment adjustment year’’ at 42 CFR
495.4.
In the July 28, 2010 final rule titled
‘‘Medicare and Medicaid Programs;
Electronic Health Record Incentive
Program’’ at 75 FR 44319, we
established that, in accordance with
section 1903(t)(5)(D) of the Act, in no
case may any Medicaid eligible hospital
receive an incentive after 2021 (see 42
CFR 495.310(f)). Therefore, December
31, 2021 is the last date that States
could make Medicaid Promoting
Interoperability Program payments to
Medicaid eligible hospitals (other than
pursuant to a successful appeal related
to 2021 or a prior year). For additional
discussion of this issue, we refer readers
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to the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41676 through 41677) and
the CY 2019 PFS/QPP final rule (83 FR
59704 through 59706). As discussed in
those rules, the same deadline applies to
Medicaid Promoting Interoperability
Program incentive payments to
Medicaid eligible professionals, under
section 1903(t)(4)(A)(iii) of the Act and
42 CFR 495.310(a)(2)(v). To help States
meet this deadline, in the CY 2019 PFS/
QPP final rule (83 FR 59704 through
59706), we changed the CY 2021 EHR
and CQM reporting periods for
Medicaid eligible professionals.
However, we did not change the 2021
EHR and CQM reporting periods for
Medicaid eligible hospitals in that rule,
and are not proposing to do so in this
proposed rule.
That is because, based on attestation
data and information from State
Medicaid Health Information
Technology Plans regarding the number
of years States disburse Medicaid
Promoting Interoperability Program
payments to hospitals, we believe that
there will be no hospitals eligible to
receive Medicaid Promoting
Interoperability Program payments in
2021 due to the requirement that, after
2016, eligible hospitals cannot receive a
Medicaid Promoting Interoperability
Program payment unless they have
received such a payment for the prior
fiscal year. At this time, we believe that
there are no Medicaid-only eligible
hospitals or ‘‘dually-eligible’’ hospitals
(those that are eligible for an incentive
payment under Medicare for meaningful
use of CEHRT and/or subject to the
Medicare payment reduction for failing
to demonstrate meaningful use of
CEHRT, and are also eligible to earn a
Medicaid incentive payment for
meaningful use of CEHRT) that will be
able to receive Medicaid Promoting
Interoperability Program payments in
2021. We invited comments on whether
this belief was accurate in the CY 2019
PFS/QPP rulemaking (83 FR 35873) and
received one comment agreeing with us,
but we also stated that we would solicit
additional comments on this issue in a
proposed rule that is more specifically
related to hospital payment (83 FR
59705 through 59706). Accordingly, we
are again inviting comments on whether
we are correct in thinking that there are
no hospitals that would be able to
receive Medicaid Promoting
Interoperability Program payments in
2021. If this is not true, we are seeking
comment on how we should adjust 2021
reporting periods for Medicaid eligible
hospitals in a manner that limits the
burden on hospitals and States.
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b. Promoting Interoperability Measures:
Actions Must Occur Within the EHR
Reporting Period
Stakeholders have questioned
whether the actions in the numerator for
the Medicare Promoting Interoperability
Program are limited to the EHR
reporting period or if we allow the
numerator to continue to increment
outside of the EHR reporting period but
within the calendar year. We note that
we had issued a frequently asked
question (FAQ number 8231 813)
applicable to the Medicare and
Medicare EHR Incentive Programs. The
FAQ stated that, regarding the reporting
of numerators, ‘‘the . . . numerator is
not constrained to the EHR reporting
period unless expressly stated in the
numerator statement.’’ The FAQ went
further to state that, for some measures,
‘‘the actions may reasonably fall outside
of the EHR reporting period time frame
but must take place no earlier than the
start of the reporting year and no later
than the date of attestation, in order for
patients to be counted in the
numerator.’’ When we adopted a new
scoring methodology and revised
objectives and measures for eligible
hospitals and CAHs under the Medicare
Promoting Interoperability Program last
year in the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41634 through 41677),
we neglected to state whether the policy
in the FAQ would still be applicable in
light of the changes to the objectives and
measures. As we have established an
EHR reporting period that is a minimum
of 90 consecutive days, eligible
hospitals and CAHs may select an EHR
reporting period that ranges from 90
days to the entire CY so that the
numerators would increment over a
longer period of time. Therefore, we are
proposing that, beginning with the EHR
reporting period in CY 2020, for eligible
hospitals and CAHs that submit an
attestation to CMS under the Medicare
Promoting Interoperability Program,
both the numerators and denominators
of measures in the Medicare Promoting
Interoperability Program would only
increment based on actions that have
occurred during the EHR reporting
period that was selected by the eligible
hospital or CAH. We are proposing to
codify this proposed policy at
§ 495.24(e)(1)(ii).
However, there is one exception to
this proposed policy, and that is the
Security Risk Analysis measure. In the
FY 2019 IPPS/LTCH PPS final rule (83
FR 41644), we finalized that the actions
included in the Security Risk Analysis
813 https://www.cms.gov/Regulations-andGuidance/Legislation/EHRIncentivePrograms/
Downloads/FAQs.pdf.
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19555
measure may occur any time during the
calendar year in which the EHR
reporting period occurs. We are
proposing to revise § 495.24(e)(4)(iii) to
reflect this existing policy for the
Security Risk Analysis measure.
While this proposed policy is
reflected in certain denominators and
measure descriptions in the FY 2019
IPPS/LTCH PPS final rule (83 FR 41659
through 41660), we did not apply this
policy to all of the measures. As
mentioned above, our intent is to have
this policy apply to all measures of the
Medicare Promoting Interoperability
Program, with the Security Risk
Analysis measure being the only
exception. Currently, the following
measures limit the actions to the EHR
reporting period: E-Prescribing; Query
of PDMP; Verify Opioid Treatment
Agreement; Support Electronic Referral
Loops by Sending Health Information;
Provide Patients Electronic Access to
Their Health Information; and Support
Electronic Referral Loops by Receiving
and Incorporating Health Information.
The measures associated with the Public
Health and Clinical Data Exchange
Objective do not contain this limitation.
However, these proposals would not
apply to the Medicaid Promoting
Interoperability Program. In the FY 2019
IPPS/LTCH PPS final rule (83 FR 41658
through 41665), we removed several
measures from the Medicare Promoting
Interoperability Program that remained
in the Medicaid Promoting
Interoperability Program for eligible
hospitals. Among those are measures
that we believe it would be appropriate
to continue our current policy of
allowing eligible hospitals to count
actions in the numerator that were taken
outside the EHR reporting period, but
within the calendar year in which the
EHR reporting period occurs and no
later than the date of attestation. For
example, Objective 6: Coordination of
Care through Patient Engagement,
Measure 1 (view, download, or transmit)
and Measure 2 (secure messaging) allow
hospitals to count actions taken outside
of the EHR reporting period in the
numerator. We believe that the patient
engagement that this objective promotes
is important throughout the entire year
and not just during the hospital’s
chosen EHR reporting period. We
believe it is a more appropriate policy
to continue to allow eligible hospitals to
report actions in the numerators of these
measures that are taken outside of the
EHR reporting period, but within the
calendar year in which the EHR
reporting period occurs and no later
than the date of attestation. Therefore,
we are not proposing to change to the
Medicaid Promoting Interoperability
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Program policy for either eligible
hospitals or eligible professionals.
Unless the numerator of a measure is
specifically restricted to the EHR
reporting period in the measure
specifications, we will continue to allow
health care providers to include actions
taken before, during, or after the EHR
reporting period if the period is less
than one full year; however, these
actions must be taken no earlier than the
start of the same year as the EHR
reporting period and no later than the
date of attestation.
We do not believe this variation in
policies would place burden on any
health care providers. While our current
policy gives discretion to health care
providers who attest to a State Medicaid
agency to include actions taken outside
of the EHR reporting period, it does not
require them to do so. Eligible hospitals
that attest to a State Medicaid agency
may choose to follow the policy
proposed in this proposed rule for
eligible hospitals and CAHs that attest
to CMS under the Medicare Promoting
Interoperability Program and only
include actions taken within the EHR
reporting period. Similarly, eligible
professionals that attest to a State
Medicaid agency may choose to follow
the policy adopted for the MIPS
Promoting Interoperability performance
category.
3. Proposed Changes to Measures Under
the Electronic Prescribing Objective
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a. Background
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41648 through 41656), we
adopted two opioid measures as for the
Electronic Prescribing objective: (1)
Query of Prescription Drug Monitoring
Program (PDMP), which is optional in
CY 2019 and required beginning in CY
2020; and (2) Verify Opioid Treatment
Agreement, which is optional in CY
2019 and 2020. In addition, we stated
that we intended to propose in
rulemaking this year that EHR–PDMP
integration would be required beginning
in CY 2020 as part of the Query of
PDMP measure (83 FR 41652). We
believe incorporating a requirement for
integration between PDMPs and the
CEHRT utilized by eligible hospitals
and CAHs would advance access to and
usability of PDMP data by health care
providers and reduce health care
provider burden associated with the
actions of this measure. Integration
could reflect a variety of different
approaches for interaction between
EHRs and PDMPs that are currently
being pursued in different locations and
settings.
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We received extensive comments on
the Query of PDMP measure and our
intent to require EHR–PDMP
integration, as well as on the Verify
Opioid Treatment Agreement measure,
from stakeholders both during the
comment period for the FY 2019 IPPS/
LTCH PPS proposed rule (83 FR 41648
through 41656), and subsequently
through public forums and
correspondence. While this feedback is
the main catalyst for our proposals,
below, there have also been significant
legislative changes that have the
potential to positively impact the
Promoting Interoperability Program,
specifically the Substance Use—
Disorder Prevention that Promotes
Opioid Recovery and Treatment for
Patients and Communities Act
(SUPPORT for Patients and
Communities Act) (Pub. L. 115–271).
This legislation was enacted to address
the opioid crisis and affects a wide
range of HHS programs and policies.
While this legislation is not the main
reason for our proposals, we believe it
may significantly affect the maturation,
requirements, and use of PDMPs and
State networks upon which the Query of
PDMP measure is dependent.
In this proposed rule, we are aiming
to be responsive to the comments that
we have received from stakeholders
since the FY 2019 IPPS/LTCH PPS final
rule was published and to take into
account certain aspects of the SUPPORT
for Patients and Communities Act that
may have implications for the policy
goals of the Promoting Interoperability
Program.
As explained in further detail below,
we are proposing to make certain
changes to the Query of PDMP and
Verify Opioid Treatment Agreement
measures. In section VIII.D.6.b. of the
preamble of this proposed rule, we are
proposing to adopt two opioid clinical
quality measures beginning with the
reporting period in CY 2021. In section
VIII.D.7.a. and b. of the preamble of this
proposed rule, we are also requesting
information on potential new opioid use
disorder (OUD) prevention and
treatment-related measures. We believe
the request for information will help to
inform future rulemaking and not only
help prevent and treat substance use
disorder, but allow us to adopt measures
that enable flexibility without added
burden for health care providers. We
value stakeholders’ continued interest
in and support for combating the
nation’s opioid epidemic.
b. Query of PDMP Measure
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41637 through 41645), we
finalized that the Query of PDMP
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measure is optional and available for
bonus points for CY 2019, and required
in CY 2020. We stated that we would be
moving towards requiring EHR–PDMP
integration in CY 2020 (83 FR 41652).
We gave eligible hospitals and CAHs
flexibility in implementing this
measure, including the flexibility to
query the PDMP in any manner allowed
under their State law (83 FR 41649).
However, we have received
substantial feedback from health IT
vendors and hospitals that this
flexibility presents unintended
challenges, such as the significant
burden associated with IT system design
and development needed to
accommodate the measure and any
future changes to it. During the FY 2019
IPPS/LTCH PPS proposed rule comment
period (83 FR 41649 through 41653) and
after the final rule was published, these
stakeholders stated that it is premature
to require the Query of PDMP measure
in CY 2020 especially given the
maturation needed in PDMP
development.
We agree with stakeholders that
PDMPs are still maturing in their
development and use. As stated by the
Substance Abuse and Mental Health
Services Administration (SAMHSA),
‘‘PDMPs operate independently within
states and are not currently linked into
a larger system; therefore, no
comprehensive national PDMP
prescription data are available.
Moreover, there is no uniform way of
accessing PDMP data across states, as
data platforms differ by state.’’ 814
Stakeholders also mentioned the
challenge posed by the current lack of
integration of PDMPs into the EHR
workflow. Historically, health care
providers have had to go outside of the
EHR workflow in order to separately log
in to and access the State PDMP. In
addition, stakeholders noted the wide
variation in whether PDMP data can be
stored in the EHR. By integrating PDMP
data into the health record, health care
providers can improve clinical decision
making by utilizing this information to
identify potential opioid use disorders,
inform the development of care plans,
and develop effective interventions.
ONC is currently engaged in an
assessment to better understand the
current state of policy and technical
factors impacting PDMP integration
across States. This assessment is
exploring factors like PDMP data
integration, standards and hubs used to
facilitate interstate PMDP data
exchange, access permissions, and laws
814 https://www.samhsa.gov/capt/sites/default/
files/resources/pdmp-overview.pdf.
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and regulations governing PDMP data
storage.
In October 2018, the SUPPORT for
Patients and Communities Act became
law, signifying an important investment
and approach for our nation in
combating the opioid epidemic. The
provisions of this law aim to provide for
opioid use disorder prevention,
recovery, and treatment and aim to
increase access to evidence-based
treatment and follow-up care included
through legislative changes specific to
the Medicare and Medicaid programs.
Specifically, with respect to PDMPs, the
SUPPORT for Patients and Communities
Act includes new requirements and
federal funding for PDMP enhancement,
integration, and interoperability, and
establishes mandatory use of PDMPs by
certain Medicaid providers, in an effort
to help reduce opioid misuse and
overprescribing, and in an effort to help
promote the overall effective prevention
and treatment of opioid use disorder.
Section 5042(a) of the SUPPORT for
Patients and Communities Act added
section 1944 to the Act, titled
‘‘Requirements relating to qualified
prescription drug monitoring programs
and prescribing certain controlled
substances.’’ This section increases
federal Medicaid matching rates during
FY 2019 and 2020 for certain State
expenditures relating to qualified
PDMPs administered by States. Under
section 1944(b)(1) of the Act, to be a
qualified PDMP, a PDMP must facilitate
access by a covered provider to, at a
minimum, the following information
with respect to a covered individual, in
as close to real-time as possible:
Information regarding the prescription
drug history of a covered individual
with respect to controlled substances;
the number and type of controlled
substances prescribed to and filled for
the covered individual during at least
the most recent 12-month period; and
the name, location, and contact
information of each covered provider
who prescribed a controlled substance
to the covered individual during at the
least the most recent 12-month period.
Under section 1944(b)(2) of the Act, a
qualified PDMP must also facilitate the
integration of the information described
in section 1944(b)(1) of the Act into the
workflow of a covered provider, which
may include the electronic system used
by the covered provider for prescribing
controlled substances.
Section 1944(f) of the Act establishes,
for FY 2019 and FY 2020, a 100 percent
Federal Medicaid matching rate for state
expenditures to design, develop, or
implement a PDMP that meets the
requirements outlined in section
1944(b)(1) and (2) of the Act, and to
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make connections to that PDMP. Section
1944(f)(2) of the Act specifies that, to
qualify for the 100 percent Federal
matching rate, a State must have in
place agreements with all contiguous
States that, when combined, enable
covered providers in all the contiguous
States to access, through the PDMP, all
information described in 1944(b)(1) of
the Act. Section 5042(b) of the
SUPPORT for Patients and Communities
Act requires CMS, in consultation with
the Centers for Disease Control and
Prevention (CDC), to issue guidance not
later than October 1, 2019 on best
practices on the uses of PDMPs required
of prescribers and on protecting the
privacy of Medicaid beneficiary
information maintained in and accessed
through PDMPs. Further, section
5042(c) of the SUPPORT for Patients
and Communities Act requires that HHS
develop and publish, not later than
October 1, 2020, model practices to
assist State Medicaid program
operations in identifying and
implementing strategies to utilize datasharing agreements described in section
1944(b) of the Act for the following
purposes: Monitoring and preventing
fraud, waste, and abuse; and improving
health care for individuals enrolled in
Medicaid who transition in and out of
Medicaid coverage, who may have
sources of health care coverage in
addition to Medicaid coverage, or who
pay for prescription drugs with cash.
We note that section 7162 of the
SUPPORT for Patients and Communities
Act also supports PDMP integration as
part of the CDC’s grant programs aimed
at efficiency and enhancement by
States, including improvement in the
intrastate and interstate interoperability
of PDMPs.
In addition, the explanatory statement
that accompanied Title II of Division H
of the Consolidated Appropriations Act,
2018 (Pub. L. 115–141),815 encouraged
the CDC to work with the ONC to
enhance the integration of PDMPs and
EHRs. As part of this effort, the CDC and
ONC are collaborating to expand upon
previous and leverage input from
current federal efforts to advance and
scale PDMP integration with health IT
systems. This collaboration includes
testing and refining standard-based
approaches to enable effective
integration into clinical workflows,
exploring emerging technical solutions
to enhance access and use of PDMP
data, providing technical resources to a
variety of stakeholders to advance and
scale the interoperability of health IT
815 https://www.govinfo.gov/content/pkg/CREC2018-03-22/html/CREC-2018-03-22-pt3PgH2697.htm.
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systems and PDMPs, and incorporating
policy considerations, as relevant, to
inform the implementation and success
of integration approaches.
We understand that there is wide
variation across the country in how
health care providers are implementing
and integrating PDMP queries into
health IT and clinical workflows, and
that it could be burdensome for health
care providers if we were to narrow the
measure to allow only a single
workflow. At the same time, we have
heard extensive feedback from EHR
developers that incorporating the ability
to count the number of PDMP queries in
CEHRT would require more robust
certification specifications and
standards. These stakeholders state that
health IT developers may face
significant cost burdens under the
current flexibility allowed for health
care providers if they either fully
develop numerator and denominator
calculations for all the potential use
cases and are required to change the
specification at a later date. Developers
have noted that the costs of additional
development will likely be passed on to
health care providers without additional
benefit as this development would be
solely for the purpose of calculating the
measure rather than furthering the
clinical goal of the measure.
Given the stakeholder concerns
discussed above regarding the lack of
integration, the recent enactment of the
SUPPORT for Patients and Communities
Act (in particular, its provisions specific
to Medicaid providers and qualified
PDMPs), and the activities funded by
the CDC, we believe that additional time
is needed to evaluate the changing
PDMP landscape prior to requiring a
Query of PDMP measure, or introducing
requirements related to EHR–PDMP
integration.
Therefore, we are proposing to make
the Query of PDMP measure optional in
CY 2020 and eligible for 5 bonus points,
and we are proposing corresponding
changes to the regulations at
§§ 495.24(e)(5)(ii)(B) and
495.24(e)(5)(iii)(B). Making the measure
optional in CY 2020 would allow time
for further integration of PDMPs and
EHRs to minimize the burden on
eligible hospitals and CAHs reporting
this measure while still giving hospitals
an opportunity to report on and earn
points for the measure. We are
proposing that, in the event we finalize
the proposed changes to the Query of
PDMP measure, the e-Prescribing
measure would be worth up to 10 points
in CY 2020 and subsequent years, and
we are proposing corresponding
changes to the regulations at
§ 495.24(e)(5)(iii)(A).
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In addition, beginning with the EHR
reporting period in CY 2019, we are
proposing to remove the numerator and
denominator that we established for the
Query of PDMP measure in the FY 2019
IPPS/LTCH PPS final rule (83 FR 41649
through 41653) and instead require a
‘‘yes/no’’ response. Under this proposal,
the measure description at
§ 495.24(e)(5)(iii)(B) and 83 FR 41653
would remain the same, but instead of
submitting numerator and denominator
information for the measure, eligible
hospitals and CAHs would submit a
‘‘yes/no’’ response during attestation. A
‘‘yes’’ response would indicate that for
at least one Schedule II opioid
electronically prescribed using CEHRT
during the EHR reporting period, the
eligible hospital or CAH used data from
CEHRT to conduct a query of a PDMP
for prescription drug history, except
where prohibited and in accordance
with applicable law.
We are proposing these changes to the
measure to give us more time to
restructure the measure and develop a
robust measure that meets the needs of
both health care providers and other
stakeholders. Because currently there
are not standards-based interfaces
between CEHRT and the PDMPs, health
care providers must manually track the
number of times that they query the
PDMP outside of CEHRT. We are
proposing these changes to reduce the
burden on health care providers of
having to manually keep track of
information related to the measure and
to mitigate the burden on health IT
developers who would otherwise have
to develop the measure’s numerator and
denominator calculations when we
expect to propose changes to the
measure in the near future. Therefore,
health care providers and health IT
developers have suggested that, given
the current state, there would be a
significant reduction in burden by
allowing health care providers to satisfy
the measure by submitting a ‘‘yes/no’’
attestation, rather than reporting a
numerator and denominator.
We are also proposing this change to
help reduce the burden of manually
counting on health care providers and
the need to mitigate the burden on
developers caused by the developing the
measure’s numerator and denominator
calculations when the measure is
expected to be modified in the near
future. Health care providers and
developers have suggested that, given
the current state, there would be a
significant reduction in burden by
allowing health care providers to satisfy
the measure by submitting a ‘‘yes/no’’
attestation, rather than reporting a
numerator and denominator. We do not
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believe that these changes would result
in additional costs (time or money) for
health care providers, and instead
would reduce the burden of manually
tracking information needed to report
on this measures in its current form.
We also are proposing to remove the
exclusions associated with the Query of
PDMP measure beginning in CY 2020,
and we are proposing corresponding
changes to the regulations at
§§ 495.24(e)(5)(iv) and 495.24(e)(5)(v)(B)
through (D). For CY 2019, we did not
provide exclusions for the Query of
PDMP and Verify Opioid Treatment
Agreement measures because they were
optional and eligible for bonus points,
and similarly, we do not believe
exclusions would be necessary for the
Query of PDMP measure if we finalize
our proposal to make the measure
optional and eligible for bonus points in
CY 2020.
Finally, we are proposing to address
the scoring of the Query of PDMP
measure. In the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41644), we stated
that the measure is optional in CY 2019
and worth ‘‘up to 5 bonus points.’’ Our
intent, however, was to refer to a full 5
bonus points; we did not intend for the
optional measure to be scored based on
performance in CY 2019. In the FY 2019
IPPS/LTCH PPS proposed rule (83 FR
20522 through 20523), we provided
tables illustrating the proposed new
scoring methodology and a numerical
example of how that scoring
methodology would be applied for CY
2019. We referred to these tables again
in the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41642). The table containing
the numerical example demonstrates
our intent to award a full 5 bonus points
for the measure regardless of the eligible
hospital or CAH’s performance rate. We
are proposing to revise
§ 495.24(e)(5)(iii)(B) to better reflect our
intended policy that the Query of PDMP
measure is worth a full 5 bonus points
(not up to 5 bonus points) in CY 2019,
and in the event we finalize the
proposed changes to the Query of PDMP
measure discussed above, in CY 2020 as
well. In the event we finalize those
proposed changes, if an eligible hospital
or CAH submits a ‘‘yes’’ for this
measure, it would earn 5 bonus points
in CY 2019 and 2020.
We also welcome comments on future
timing for requiring a measure that
includes EHR–PDMP integration and on
the value of the measure for advancing
the effective prevention and treatment
of opioid use disorder especially in
relation to the requirements of the
SUPPORT for Patients and Communities
Act described above. Specifically, we
are interested in stakeholder comments
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related to potential opportunities for the
Medicare Promoting Interoperability
Program to take into account States’
Medicaid investments and
requirements.
We also note that some stakeholders
have asked us to define a value set for
controlled substances for the opioidrelated measures, Query of PDMP and
Verify Opioid Treatment Agreement. In
the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41648 through 41656), for the
Query of PDMP and Verify Opioid
Treatment Agreement measures, we
defined opioids as Schedule II
controlled substances under 21 CFR
1308.12. We recognize that some
challenges remain related to electronic
prescribing of controlled substances,
including more restrictive State laws
and lack of products both for health care
providers and pharmacies that include
the necessary functionalities. We
anticipate working closely with the DEA
on future technical requirements that
can better support measurement of
adoption and use of electronic
prescribing of controlled substances,
which may include the definition of a
value set related to such measures. As
more information on developing
technical requirements becomes
available, we will provide additional
information.
As we seek comment and continue to
advance this measure, we are excited
about future innovations that may help
improve PDMPs and support the
electronic prescribing of controlled
substances. We envision a future state
where PDMP data is integrated into the
clinical workflow and where clinicians
do not have to access multiple systems
to find and reconcile the information.
Rather, all the functions would be
contained within one system. While we
may have a long distance to go to get to
this state, we feel that it is an achievable
goal for the future of the Medicare
Promoting Interoperability Program.
c. Verify Opioid Treatment Agreement
Measure
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41653 through 41656), we
finalized the Verify Opioid Treatment
Agreement measure as optional in both
CYs 2019 and 2020. Since we proposed
this measure (83 FR 20528 through
20530), we have received feedback from
stakeholders that this measure presents
significant implementation challenges,
leads to an increase in burden, and does
not further interoperability. Below, we
outline some of the ongoing concerns
we have heard during the comment
period and since the measure was
finalized in the FY 2019 IPPS/LTCH
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(1) Lack of Certification Standards and
Criteria
Stakeholders have continued to
express concern regarding the lack of
defined data elements, structure,
standards and criteria for the electronic
exchange of opioid treatment
agreements and how this impacts
verifying whether there is an opioid
treatment agreement to meet this
measure. We acknowledged these
concerns in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41653 through
41656).
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41654), we stated that there
are a number of ways certified health IT
may be able to support the electronic
exchange of opioid abuse-related
treatment data, such as the care plan
template within the ConsolidatedClinical Document Architecture (C–
CDA). We noted that this information
could be considered as part of an opioid
treatment agreement, even though we
did not define the elements of one.
However, we understand that while
such standards may include relevant
information, the lack of clarity around a
specific standard to support
incorporation of an opioid treatment
agreement presents an additional source
of burden to health care providers
seeking to report on the measure.
(2) Calculating 30 Cumulative Day LookBack Period
Another area where stakeholders have
expressed concern is how to calculate
30 cumulative days of Schedule II
opioid prescriptions in a 6-month
period. One possible solution we offered
was to utilize the NCPDP 10.6
Medication History query. In the FY
2019 IPPS/LTCH PPS final rule (83 FR
41655), we noted that the Medication
History query does not contain a
discrete field for prescription days and
relies on third party data that may not
be discrete. Since the FY 2019 IPPS/
LTCH PPS final rule was published,
stakeholders have continued to express
this concern and impress upon us that
the 30 cumulative day total in a 6month look-back period cannot be
automatically calculated, requiring
health care providers to engage in a
burdensome, manual calculation
process if they wish to report on this
measure.
In addition, we have heard concerns
over which medications should be used
to determine the 30 cumulative day
threshold. For example, stakeholders
were unsure if medications given while
a patient is admitted to the hospital
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should count towards the 30 cumulative
days and also how as needed, or PRN,
medications should be addressed.
Stakeholders have also noted how this
measure could present timing
challenges. For example, it may cause
patients being discharged on opioids to
be delayed in their discharge to account
for the possible time consuming nature
of having to search for an opioid
treatment agreement.
(3) Unintended Burden Caused by Lack
of Definition and Standards
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41653), we did not define
what constitutes an opioid treatment
agreement. While we believed that this
would allow flexibility for health care
providers to determine which elements
they felt were most important to an
opioid treatment agreement, we have
heard from stakeholders that the lack of
definition and standards around what
would constitute an opioid treatment
agreement has created an unintended
burden. Specifically, some stakeholders
felt that we should define an opioid
treatment agreement so that eligible
hospitals and CAHs would have a
standardized definition of an opioid
treatment agreement and the criteria to
make up an opioid treatment agreement.
However, other stakeholders noted that
given the lack of consensus within the
industry on what should or should not
be included in an opioid treatment
agreement and on the clinical efficacy of
various options for such agreements,
that it would be inappropriate for us to
define what should constitute an opioid
treatment agreement at this time.
We have heard from stakeholders that
the challenges described above result in
a measure that is vague, burdensome to
measure and does not necessarily offer
a clinical value to the health care
providers or support the clinical goal of
supporting OUD treatment. Therefore,
we are proposing to remove the Verify
Opioid Treatment Agreement measure
from the Promoting Interoperability
Program beginning with the EHR
reporting period in CY 2020, and we are
proposing corresponding changes to the
regulations at §§ 495.24(e)(5)(ii)(B) and
495.24(e)(5)(iii)(C).
While we are proposing to remove the
Verify Opioid Treatment Agreement
measure, we believe there may be other
opioid measures that would be more
effective in combatting the opioid
epidemic, offer value for health care
providers in measuring the impacts of
health IT-enabled resources on OUD
prevention and treatment, and engage
patients in care coordination and
planning. In section VIII.D.6.b. of the
preamble of this proposed rule, we are
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19559
proposing to adopt two opioid clinical
quality measures beginning with the
reporting period in CY 2021. We also
are seeking public comment on a series
of questions regarding new opioid
measures in section VIII.D.7.a. and b. of
the preamble of this proposed rule.
Finally, we are proposing to address
the scoring of the Verify Opioid
Treatment Agreement measure. In the
FY 2019 IPPS/LTCH PPS final rule (83
FR 41644) we stated that the measure is
optional in CYs 2019 and 2020 and
worth ‘‘up to five bonus points.’’ As
with the Query of PDMP measure
discussed in section VIII.D.3.b. of the
preamble of this proposed rule, above,
our intent was to refer to a full 5 bonus
points; we did not intend for the
optional Verify Opioid Treatment
Agreement measure to be scored based
on performance in CY 2019 or CY 2020.
Accordingly, we are proposing to revise
§ 495.24(e)(5)(iii)(C) to better reflect our
intended policy that the Verify Opioid
Treatment Agreement measure is worth
a full 5 bonus points (not up to 5 bonus
points) in CY 2019, and in the event we
do not finalize our proposal to remove
the measure beginning with CY 2020, in
CY 2020 as well.
4. Health Information Exchange
Objective: Support Electronic Referral
Loops by Receiving and Incorporating
Health Information
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41661), we finalized the
Support Electronic Referral Loops by
Receiving and Incorporating Health
Information measure. Although the
numerator and denominator of the
measure state that CEHRT must be used
(83 FR 41661), we inadvertently omitted
a reference to the use of CEHRT from
the measure description in the
regulations at § 495.24(e)(6)(ii)(B). In
addition, we stated at 83 FR 41660 that
an eligible hospital or CAH must use the
capabilities and standards for CEHRT at
45 CFR 170.315(b)(1) and (b)(2).
In an effort to more clearly capture the
previously established policy, we are
proposing to revise the regulations for
the Support Electronic Referral Loops
by Receiving and Incorporate Health
Information measure. We are proposing
to revise § 495.24(e)(6)(ii)(B) to provide
that the electronic summary of care
record must be received using CEHRT
and that clinical information
reconciliation for medication,
medication allergy, and current problem
list must be conducted using CEHRT.
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5. Proposed Changes to the Scoring
Methodology for Eligible Hospitals and
CAHs Attesting to CMS Under the
Medicare Promoting Interoperability
Program for an EHR Reporting Period in
CY 2020
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41636 through 41668), we
finalized under § 495.24(e) a new
performance-based scoring methodology
and changes to the objectives and
measures for eligible hospitals and
CAHs that submit an attestation to CMS
under the Medicare Promoting
Interoperability Program beginning with
the EHR reporting period in CY 2019.
For more information, we refer readers
to that final rule (83 FR 41636 through
41668) and § 495.24(e). As previously
discussed in sections VIII.D.3. and 4. of
the preamble of this proposed rule, we
are proposing for CY 2020 to: (1)
Remove the Verify Opioid Treatment
Agreement measure; (2) continue the
Query of PDMP measure as optional
with 5 bonus points; and (3) change the
maximum points available for the e
Prescribing measure to 10 points
beginning in CY 2020, in the event we
finalize the proposed changes to the
Query of PDMP measure. The tables
below reflects the proposed policy for
the objectives, measures, and maximum
points available for the EHR reporting
period in CY 2020. The maximum
points available do not include points
that would be redistributed in the event
that an exclusion is claimed.
PROPOSED PERFORMANCE-BASED SCORING METHODOLOGY EHR REPORTING PERIOD IN CY 2020
Objective
Measure
Electronic Prescribing ...........................
e-Prescribing * ......................................................................................................
Bonus: Query of PDMP * .....................................................................................
Support Electronic Referral Loops by Sending Health Information .....................
Support Electronic Referral Loops by Receiving and Incorporating Health Information.
Provide Patients Electronic Access to Their Health Information .........................
Choose any two: ..................................................................................................
• Syndromic Surveillance Reporting
• Immunization Registry Reporting
• Electronic Case Reporting
• Public Health Registry Reporting
• Clinical Data Registry Reporting
• Electronic Reportable Laboratory Result Reporting
Health Information Exchange ...............
Provider to Patient Exchange ...............
Public Health and Clinical Data Exchange.
Maximum points
10 points.
5 points (bonus).
20 points.
20 points.
40 points.
10 points.
Note. The Security Risk Analysis measure is required, but will not be scored.
* Measures with proposed changes to scoring are denoted with an asterisk (*).
6. Clinical Quality Measurement for
Eligible Hospitals and Critical Access
Hospitals (CAHs) Participating in the
Medicare and Medicaid Promoting
Interoperability Programs
a. Background and Current CQMs
Under sections 1814(l)(3)(A),
1886(n)(3)(A), and 1903(t)(6)(C)(i)(II) of
the Act and the definition of
‘‘meaningful EHR user’’ under 42 CFR
495.4, eligible hospitals and CAHs must
report on clinical quality measures
(referred to as CQMs) selected by CMS
using CEHRT, as part of being a
meaningful EHR user under the
Medicare and Medicaid Promoting
Interoperability Programs.
The table below lists the CQMs
available for eligible hospitals and
CAHs to report under the Medicare and
Medicaid Promoting Interoperability
Programs beginning with the reporting
period in CY 2020 (83 FR 41670 through
41671).
CQMS FOR ELIGIBLE HOSPITALS AND CAHS BEGINNING WITH CY 2020
ED–2 .....................................................
PC–05 ...................................................
STK–02 .................................................
STK–03 .................................................
STK–05 .................................................
STK–06 .................................................
VTE–1 ...................................................
VTE–2 ...................................................
Admit Decision Time to ED Departure Time for Admitted Patients (ED–2) ........
Exclusive Breast Milk Feeding .............................................................................
Discharged on Antithrombotic Therapy ...............................................................
Anticoagulation Therapy for Atrial Fibrillation/Flutter ...........................................
Antithrombotic Therapy by the End of Hospital Day Two ...................................
Discharged on Statin Medication .........................................................................
Venous Thromboembolism Prophylaxis ..............................................................
Intensive Care Unit Venous Thromboembolism Prophylaxis ..............................
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b. Proposed Additional CQMs for
Reporting Periods Beginning With CY
2021
As we have stated previously in
rulemaking (82 FR 38479), we plan to
continue to align the CQM reporting
requirements for the Promoting
Interoperability Programs with similar
requirements under the Hospital IQR
Program. To do this in a way that would
minimize burden, while maintaining a
set of meaningful clinical quality
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measures and continuing to incentivize
improvement in the quality of care
provided to patients, we are proposing
to adopt two new opioid-related clinical
quality measures and are seeking
comments on whether we should
consider proposing to adopt the Hybrid
Hospital-Wide Readmission (HWR)
Measure with Claims and EHR Data in
future rulemaking for the Promoting
Interoperability Program.
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0480
0435
0436
0438
0439
0371
0372
In this proposed rule, we are
proposing to add the following two
opioid-related CQMs to the Promoting
Interoperability Program measure set
beginning with the reporting period in
CY 2021: (1) Safe Use of Opioids—
Concurrent Prescribing CQM (NQF
#3316e); and (2) Hospital Harm—
Opioid-Related Adverse Events eCQM.
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We are also proposing to adopt these
measures under the Hospital IQR
Program and we refer readers to the
discussion of the Hospital IQR Program
in sections VIII.A.5.a. of the preamble of
this proposed rule for more information
about these proposed measures.
We believe these opioid-related
measures are valuable patient safety
measures and are responsive to
stakeholder feedback expressing support
for CQMs that focus on higher priority
measurement areas and patient
outcomes. While both measures are
designed to reduce adverse events or
harms associated with opioid use, the
main focus of each measure’s intent is
different.
The Safe Use of Opioids—Concurrent
Prescribing CQM (NQF #3316e) seeks to
reduce preventable mortality and the
costs of adverse events associated with
opioid use by encouraging heath care
providers to identify patients who have
concurrent prescriptions for opioids or
opioids and benzodiazepines, and
discouraging health care providers from
prescribing these drugs concurrently,
whenever possible. Concurrent
prescriptions of opioids or opioids and
benzodiazepines place patients at a
greater risk of unintentional overdose
due to the increased risk of respiratory
depression. Therefore, we are proposing
to adopt the Safe Use of Opioids—
Concurrent Prescribing CQM (NQF
#3316e) beginning with the reporting
period in CY 2021. The Safe Use of
Opioids—Concurrent Prescribing CQM
seeks to encourage health care providers
to identify patients who have
concurrent prescriptions for opioids or
opioids and benzodiazepines, and
discourage health care providers from
prescribing these drugs concurrently,
whenever possible. The goal of the
measure is to provide a patient-centric
measure to help systems identify and
monitor patients at risk, and, ultimately,
reduce the risk of harm to patients
across the continuum of care.
The Hospital Harm—Opioid-Related
Adverse Events eCQM is designed to
reduce adverse events associated with
the administration of opioids in the
hospital setting by assessing the
administration of naloxone as an
indicator of harm. Implementation of
the measure can lead to safer patient
care by incentivizing hospitals to track
and improve their monitoring and
response to patients administered
opioids during hospitalization, and to
avoid harm, such as respiratory
depression, which can lead to brain
damage and death. This EHR-based
measure focuses, specifically, on inhospital opioid-related adverse events,
by requiring evidence of hospital opioid
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administration, prior to the naloxone
administration, during the first 24 hours
after hospital arrival. This ensures that
the harm was hospital-acquired and not
due to an overdose that happened
outside of the hospital. We believe that
this measure will provide hospitals with
reliable and timely measurement of
their opioid-related adverse event rates,
which is a high-priority measurement
area, and therefore we are proposing to
adopt the Hospital Harm—OpioidRelated Adverse Events eCQM
beginning with the reporting period in
CY 2021.
We acknowledge that some
stakeholders have expressed concern
that some providers could withhold the
use of naloxone for patients who are in
respiratory depression, believing that
may help those providers avoid poor
performance on the proposed Hospital
Harm—Opioid-Related Adverse Events
eCQM (83 FR 41591). Therefore, we are
soliciting public comment on the
potential for this measure to
disincentivize the appropriate use of
naloxone in the hospital setting or
withholding opioids when they are
medically necessary in patients
requiring palliative care or who are at
end of life out of an overabundance of
caution.
c. Request for Information (RFI)
Regarding Potential Adoption of the
Hybrid Hospital-Wide Readmission
(HWR) Measure With Claims and EHR
Data (Hybrid HWR Measure) for
Reporting Periods Beginning With CY
2023
We refer readers to section VIII.A.5.b.
of the preamble of this proposed rule for
a discussion of our proposals under the
Hospital IQR Program to adopt the
Hybrid Hospital-Wide Readmission
(HWR) Measure with Claims and EHR
Data, beginning with the July 1, 2023
through June 30, 2024 reporting period.
The Hybrid HWR measure is designed
to capture all unplanned readmissions
that arise from acute clinical events
requiring urgent re-hospitalization
within 30 days of discharge, and it
provides a facility-wide picture of this
aspect of care quality for Medicare feefor-service (FFS) beneficiaries who are
65 years or older and hospitalized in
non-federal hospitals. In addition, the
measure reports a single summary riskstandardized readmission rate (RSRR) of
unplanned, all-cause readmission
within 30 days of hospital discharge for
any eligible condition, and indicates the
hospital-level standardized readmission
ratios (SRR) for each category. The
discharge condition categories or
procedure categories for this measure
are: (1) Surgery/gynecology; (2) general
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medicine; (3) cardiorespiratory; (4)
cardiovascular; and (5) neurology.
We are seeking comment on whether
we should consider proposing to adopt
the Hybrid HWR CQM in future
rulemaking for the Promoting
Interoperability Program starting with
the reporting period in CY 2023. We
note that the Hospital IQR Program, as
discussed in sections VIII.A.5.b. and
VIII.A.10.e. of the preamble of this
proposed rule, is proposing that this
Hybrid HWR measure be required with
the reporting period from July 1, 2023
through June 30, 2024. The 12-month
measurement period that runs from July
1 through June 30 is consistent with the
calculation of the Hospital IQR
Program’s current HWR claims-only
measure; however, it does not align with
the reporting period for CQMs, which is
one self-selected calendar quarter.
d. Proposed CQM Reporting Periods and
Criteria for the Medicare and Medicaid
Promoting Interoperability Programs in
CY 2020, 2021, and 2022
(1) Proposed CQM Reporting Periods
and Criteria in CY 2020 and 2021
For CY 2020 and 2021, we are
proposing generally the same CQM
reporting periods and criteria as
established in the FY 2019 IPPS/LTCH
PPS final rule for the Medicare and
Medicaid Promoting Interoperability
Programs in CY 2019 (83 FR 41671). We
are proposing that the CQM reporting
period and criteria under the Medicare
and Medicaid Promoting
Interoperability Programs for eligible
hospitals and CAHs reporting CQMs
electronically would be as follows: For
eligible hospitals and CAHs
participating only in the Promoting
Interoperability Program, or
participating in the both Promoting
Interoperability Program and the
Hospital IQR Program, report one, selfselected calendar quarter of data for four
self-selected CQMs from the set of
available CQMs. We are proposing the
following reporting criteria for eligible
hospitals and CAHs that report CQMs
by attestation under the Medicare
Promoting Interoperability Program as a
result of electronic reporting not being
feasible—report on all CQMs from the
set of available CQMs. For eligible
hospitals and CAHs that report CQMs
by attestation, we previously established
a CQM reporting period of the full CY
(consisting of 4 quarterly data reporting
periods) (80 FR 62893).
We are proposing a submission period
for the Medicare Promoting
Interoperability Program that would be
the 2 months following the close of the
calendar year, ending February 28, 2021
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(for the CQM reporting period in CY
2020) and February 28, 2022 (for the
CQM reporting period in CY 2021).
With regard to the Medicaid Promoting
Interoperability Program, we provide
States with the flexibility to determine
the method of reporting CQMs
(attestation or electronic reporting) and
the submission periods for reporting
CQMs, subject to prior approval by
CMS.
We believe that continuing the same
CQM reporting and submission
requirements is appropriate because it
continues to offer hospitals reporting
flexibility and does not increase the
information collection burden on data
submitters. In addition, we believe that
alignment with the requirements of the
Hospital IQR program reduces burden
for hospitals as they may report once
and fulfill the requirements of both
programs.
(2) Proposed CQM Reporting Periods
and Criteria in CY 2022
For CY 2022, we are proposing that
the CQM reporting period and criteria
under the Medicare Promoting
Interoperability Program for eligible
hospitals and CAHs reporting CQMs
electronically would be as follows—for
eligible hospitals and CAHs
participating only in the Promoting
Interoperability Program or participating
in both the Promoting Interoperability
Program and in the Hospital IQR
Program, report one, self-selected
calendar quarter of data for: (a) Three
self-selected CQMs from the set of
available CQMs; and (b) the proposed
Safe Use of Opioids—Concurrent
Prescribing CQM (NQF #3316e), for a
total of four CQMs. Under this proposal,
we would not change the number of
CQMs that hospitals must report while
ensuring that health care providers still
have meaningful choice among the set
of available CQMs. We are proposing
the following reporting criteria for
eligible hospitals and CAHs that report
CQMs by attestation under the Medicare
Promoting Interoperability Program as a
result of electronic reporting not being
feasible—report on all CQMs from the
set of available CQMs. For eligible
hospitals and CAHs that report CQMs
by attestation, we previously established
a CQM reporting period of the full CY
(consisting of 4 quarterly data reporting
periods) (80 FR 62893).
We are proposing that the submission
period for the Medicare Promoting
Interoperability Program would be the 2
months following the close of the
calendar year 2022, ending February 28,
2023.
We also refer readers to section
VIII.A.10.d. of the preamble of this
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proposed rule for the reporting and
submission requirements associated
with the proposal to add the Safe Use
of Opioids—Concurrent Prescribing
CQM (NQF #3316e) to the measure set
for the Hospital IQR Program.
e. CQM Reporting Form and Method
Requirements for the Medicare
Promoting Interoperability Program in
CY 2020
(1) Requiring EHR Technology To Be
Certified to All Available CQMs
We are proposing to continue
requiring that EHRs be certified to all
available CQMs adopted for the
Medicare Promoting Interoperability
Program for CY 2020 and subsequent
years. This policy was previously
finalized in the FY 2018 IPPS/LTCH
PPS final rule (82 FR 38483 through
38485) for CY 2018 and in the FY 2019
IPPS/LTCH PPS final rule (83 FR 41671
through 41672) for CY 2019. We require
this so that eligible hospitals and CAHs
have flexibility in selecting the CQMs to
report that best reflect their patient
populations and reporting capabilities.
In addition, this requirement would
produce greater certainty for eligible
hospitals and CAHs that their EHR
systems would be capable of accurately
calculating the particular CQMs they
select to report to CMS. Because this is
the current policy for the Hospital IQR
and Medicare Promoting
Interoperability Programs, vendors and
health care providers should be familiar
with this requirement, and their EHR
systems should already be certified to
all currently available CQMs.
We refer readers to section
VIII.A.10.d.(5)(B) of the preamble of this
proposed rule for a similar proposal for
hospitals under the Hospital IQR
Program.
(2) Other CQM Form and Method
Requirements
As we stated in the FY 2016 IPPS/
LTCH PPS final rule (80 FR 49759
through 49760), for the reporting
periods in 2016 and future years, we are
requiring QRDA–I for CQM electronic
submissions for the Medicare EHR
Incentive (now Promoting
Interoperability) Program. As noted in
the FY 2016 IPPS/LTCH PPS final rule
(80 FR 49760), States would continue to
have the option, subject to our prior
approval, to allow or require QRDA–III
for CQM reporting.
The form and method of electronic
submission are further explained in
subregulatory guidance and the
certification process. For example, the
following documents are updated
annually to reflect the most recent CQM
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electronic specifications: The CMS
Implementation Guide for QRDA;
program specific performance
calculation guidance; and CQM
electronic specifications and guidance
documents. These documents are
located on the eCQI Resource Center
web page at: https://ecqi.healthit.gov/.
For further information on CQM
reporting, we refer readers to the EHR
Incentive Program (now Promoting
Interoperability Program) website where
guides and tip sheets are located at:
https://www.cms.gov/
ehrincentiveprograms.
For the reporting period in CY 2020,
we are proposing the following for CQM
submission under the Medicare
Promoting Interoperability Program:
• Eligible hospitals and CAHs
participating in the Medicare Promoting
Interoperability Program (single
program participation)—electronically
report CQMs through QualityNet Portal.
• Eligible hospital and CAH options
for electronic reporting for multiple
programs (that is, Promoting
Interoperability Program and Hospital
IQR Program participation)—
electronically report through QualityNet
Portal.
As noted in the 2015 EHR Incentive
Programs final rule (80 FR 62894),
starting in 2018, eligible hospitals and
CAHs participating in the Medicare EHR
Incentive Program must electronically
report CQMs where feasible; and
attestation to CQMs will no longer be an
option except in certain circumstances
where electronic reporting is not
feasible. For the Medicaid Promoting
Interoperability Program, States
continue to be responsible for
determining whether and how
electronic reporting of CQMs would
occur, or if they wish to allow reporting
through attestation. Any changes that
States make to their CQM reporting
methods must be submitted through the
State Medicaid Health IT Plan (SMHP)
process for CMS review and approval
prior to being implemented.
For CY 2020, we are proposing to
continue our policy regarding the
electronic submission of CQMs, which
requires the use of the most recent
version of the CQM electronic
specification for each CQM to which the
EHR is certified. For the CY 2020
electronic reporting of CQMs, this
means eligible hospitals and CAHs are
required to use the 2018 CQM
specifications update (published in May
2018) and any applicable addenda
available on the eCQI Resource Center
web page at: https://ecqi.healthit.gov/.
As noted in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41635 through
41636), participants are required to use
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2015 Edition CEHRT for the Medicare
and Medicaid Promoting
Interoperability Programs, beginning
with the EHR reporting period in CY
2019. We reiterate that an EHR certified
for CQMs under the 2015 Edition
certification criteria does not have to be
recertified each time it is updated to a
more recent version of the CQMs (82 FR
38485).
(3) Proposed Modification to Reporting
Methods for CQMs Beginning With the
Reporting Period in CY 2023
We currently allow eligible hospitals
and CAHs to report CQMs by attestation
for the Medicare Promoting
Interoperability Program only in certain
circumstances where electronic
reporting is not feasible (80 FR 62893
through 62894). Beginning with the
CQM reporting period in CY 2023, we
are proposing to eliminate attestation as
a method for reporting CQMs for the
Medicare Promoting Interoperability
Program and instead require all eligible
hospitals and CAHs to submit their
CQM data electronically through the
reporting methods available for the
Hospital IQR Program. We believe that
data submitted electronically is
preferable so that we can use the data
to analyze trends across hospitals and
further refine quality data in the future.
Limiting the available reporting
methods to electronic submission would
enable us to have a more robust data set
so that we can ensure that hospitals are
delivering effective, safe, efficient,
patient-centered, equitable, and timely
care. Also, we believe that we are
allowing an adequate transition period
for eligible hospitals and CAHs to
migrate to electronic submission.
7. Future Direction of the Promoting
Interoperability Program
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a. Request for Information (RFI) on
Potential Opioid Measures for Future
Inclusion in the Promoting
Interoperability Program
In the past, the Promoting
Interoperability Program measures
focused on very general process focused
actions supported by health IT. In the
Medicare and Medicaid Programs;
Electronic Health Record Incentive
Program—Stage 3 and Modifications to
Meaningful Use in 2015 through 2017
final rule (80 FR 62766 through 62768),
we sought to expand the potential for
Medicare and Medicaid Promoting
Interoperability Program measures to
include more complex measures and
closer relationships to high priority
health outcomes.
In this RFI, we are seeking comment
on Promoting Interoperability program
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measures in addition to the CQMs we
are proposing to adopt in section
VIII.D.6.b. of the preamble of this
proposed rule ((1) Safe Use of Opioids—
Concurrent Prescribing CQM (NQF
#3316e); and (2) Hospital Harm—
Opioid-Related Adverse Events eCQM)
that might be relevant to specific
clinical priorities or goals related to
addressing OUD prevention and
treatment. As the Query of PDMP
measure matures, we believe it will be
essential in improving prescribing
practices. As outlined in section
VIII.D.3.c. of the preamble of this
proposed rule, stakeholders indicated
that the Verify Opioid Treatment
Agreement measure presented
significant implementation challenges
for eligible hospitals and CAHs.
Therefore, we are seeking comment on
potential new measures for OUD
prevention and treatment that could be
included in future years of the
Promoting Interoperability Program. We
welcome all comments, but we are
seeking comment specifically on
possible OUD prevention and treatment
measures that include the following
characteristics:
• Are applicable to all hospital
settings (for example, rural, urban, small
hospitals, large hospitals);
• Are represented by a measure
description, numerator/denominator or
‘‘yes/no’’ attestation statement, and
possible exclusions;
• Include evidence of positive impact
on outcome-focused improvement
activities, and the opioid crisis overall;
• Leverage the capabilities of CEHRT,
including: automatic calculation and
reporting of numerator, denominator,
exclusions and exceptions, and timing
elements to reduce quality measurement
and reporting burdens to the greatest
extent possible;
• Are based on well-defined clinical
concepts, measure logic and timing
elements that can be captured by
CEHRT in standard clinical workflow
and/or routine business operations.
Well-defined clinical concepts include
those that can be discretely represented
by available clinical and/or claims
vocabularies such as SNOMED CT,
LOINC, RxNorm, ICD–10 or CPT; and
• Align with clinical workflows in
such a way that data used in the
calculation of the measure is collected
as part of a standard workflow and does
not require any additional steps or
actions by the health care provider.
b. Request for Information (RFI) on NQF
and CDC Opioid Quality Measures
We also are specifically seeking
public comment on the development of
potential measures for consideration for
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19563
the Promoting Interoperability Program
that are based on existing efforts to
measure clinical and process
improvements specifically related to the
opioid epidemic, including the opioid
quality measures endorsed by the
National Quality Forum (NQF) and the
CDC Quality Improvement (QI) opioid
measures discussed below. The NQF
measures represent a reference point for
evaluating opioid prescribing behaviors
based on measures that have undergone
the rigorous NQF measure endorsement
process. The CDC guidelines ‘‘encourage
careful and selective use of opioid
therapy in the context of managing
chronic pain through . . . an evidencebased prescribing guideline.’’ 816 The
guidelines have led to the development
of CDC measures on prescribing
practices on which are seeking
comment. We believe that these
measures may help participants
understand the relationship between the
measure description and the use of
health IT to support the actions of the
measures.
For example, the measures may
describe a clinical concept, such as the
CDC Measure 12: Counsel on Risks and
Benefits Annually. The actions for this
activity can be supported by CEHRT
through the use of standards to record
key health information for the patient
and to identify which patients should be
included in the denominator based on
information in the medication list,
information gained through medication
reconciliation of data received through
health information exchange with
another health care provider, and/or
information incorporated after a query
of a PDMP is completed. The actions for
the numerator could include leveraging
CEHRT to provide patient-specific
education, to capture or record PatientGenerated Health Data (PGHD), to
engage in secure messaging with the
patient and ensure the patient is
engaging with their record through a
patient portal or an API.
We believe that the clinical actions
identified within both the NQF quality
measures and the CDC QI opioid
measures can be supported by the
standards and functionalities of certified
health IT and we welcome public
comment on the specific use cases for
health IT implementation for the
potential measure actions. We recognize
that modifications to the NQF and CDC
measures may be necessary to make the
measures as applicable as possible to all
participants of the Promoting
Interoperability Program, and are
816 https://www.cdc.gov/drugoverdose/pdf/
prescribing/CDC-DUIP-QualityImprovement
AndCareCoordination-508.pdf.
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seeking comment on any modifications
that would be necessary. In addition, we
note that there is some overlap between
some of the NQF quality measures and
the CDC QI opioid measures and are
seeking comment on whether there are
ways in which the two sets of measures
could be correlated to support potential
new measures of the meaningful use of
health IT for the Promoting
Interoperability Programs. Finally, we
are seeking comment on which
measures might best advance the
implementation and use of
interoperable health IT and encourage
information exchange between care
teams and with patients.
combatting the opioid epidemic and can
be supported using CEHRT to complete
the actions of the measures and are
seeking comment on the best method to
incorporate the description of the use of
technology into measure guidance if
these measures were considered for use
by participants. For example, the
actions related to the Use of Opioids
from Multiple Providers in Persons
Without Cancer (NQF #2950) measure
could include using health IT to
electronically prescribe the medication,
to query a PDMP, to identify other care
team members, to conduct medication
reconciliation based on information
received through health information
exchange with other health care
providers, and recording key health
information in a structured format.
Additional information regarding each
measure can be found using NQF’s
Quality Positioning System at: https://
www.qualityforum.org/QPS/
QPSTool.aspx.
(1) NQF Quality Measures
Three NQF-endorsed quality
measures stewarded by the Pharmacy
Quality Alliance (PQA) to evaluate
patients with prescriptions for opioids
in combination with benzodiazepines,
at high-dosage, or from multiple
prescribes and pharmacies. Each
measure was evaluated and
recommended for endorsement by the
NQF’s Patient Safety Standing
Committee 817 and endorsed by the
Consensus Standards Approval
Committee.818 These measures, NQF
#2940, #2950, and #2951 were
recommended by the NQF Measure
Application Partnership for inclusion
on the December 2018 Measures Under
Consideration List for the Medicare
Shared Savings Program. (As noted in
section VIII.D.6.b. of the preamble of
this proposed rule, we are also
proposing to add two opioid-related
CQMs to the Promoting Interoperability
Program CQM measure set beginning
with the reporting period in CY 2021,
including the NQF-endorsed measure,
Safe Use of Opioids—Concurrent
Prescribing (NQF #3316e), a CQM.) We
are seeking comment on the following
three NQF measures for possible
inclusion in the Promoting
Interoperability Program and any
modifications that may be necessary to
maximize their use in the Promoting
Interoperability Program:
• Use of Opioids at High Dosage in
Persons Without Cancer (NQF #2940).
• Use of Opioids from Multiple
Providers in Persons Without Cancer
(NQF #2950).
• Use of Opioids from Multiple
Providers and at High Dosage in Persons
Without Cancer (NQF #2951).
We believe these measures relate to
activities that hold promise in
(2) CDC Quality Improvement (QI)
Opioid Measures
We believe there may be promise in
the CDC QI opioid measures based on
the prescribing best practices found in
Appendix B in the CDC document
‘‘Quality Improvement and Care
Coordination: Implementing the CDC
Guideline for Prescribing Opioids for
Chronic Pain’’ (Implementing the CDC
Prescribing Guideline).819
CDC developed its Implementing the
CDC Prescribing Guideline document to
help health care providers and systems
integrate the CDC Prescribing
Guideline 820 and the associated QI
opioid measures found in the
Implementing the CDC Prescribing
Guideline document into their clinical
practices. The CDC developed 16 QI
opioid measures to align with the
recommendations in the CDC
Prescribing Guideline and to improve
opioid prescribing. These measures are
intended to provide healthcare systems
tracking of their implementation of the
recommended practices. We believe this
is generally consistent with the to the
objective and measure concept of the
Promoting Interoperability Program
where the recommendation in the CDC
Prescribing Guideline is the overarching
objective and the QI opioid measure is
a description of the patient population
focus (denominator) and the desired
action (numerator). The Implementing
the CDC Prescribing Guideline
document also includes practice-level
817 https://www.qualityforum.org/News_And_
Resources/Press_Releases/2017/NQF_Statement_
on_Endorsement_of_Opioid_Patient_Safety_
Measures.aspx.
818 Ibid.
819 https://www.cdc.gov/drugoverdose/pdf/
prescribing/CDC-DUIP-QualityImprovement
AndCareCoordination-508.pdf.
820 https://www.cdc.gov/mmwr/volumes/65/rr/
rr6501e1.htm.
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strategies to help organize and improve
the management and coordination of
long-term opioid therapy:
• Using an interdisciplinary team
approach.
• Establishing practice policies and
standards.
• Using EHR data to develop
registries and track QI opioid measures.
These measures address treatment
guidelines for both initial treatment
practices and long-term treatment and
outcomes. Examples of measures related
to short term OUD prevention and
treatment activities include:
• CDC Measure 2: Check PDMP
Before Prescribing Opioids.
• CDC Measure 4: Evaluate Within
Four Weeks of Starting Opioids.
Examples of measures related to long
term OUD prevention and treatment
activities include:
• CDC Measure 11: Check PDMP
Quarterly.
• CDC Measure 12: Counsel On Risks
and Benefits Annually.
The data sources from these measures
include State PDMP data or the practice
EHR data field.
The CDC and the Agency for
Healthcare Research and Quality are
also developing electronic clinical
decision support tools which can
provide real-time clinical decision
support (CDS) for some of the best
practices included in the Implementing
the CDC Prescribing Guideline
document.821 In the context of quality
improvement measures, components of
these CDS artifacts, including the
clinical conditions or prescribed
medications that trigger the decision
support are the same well-defined
clinical concepts required for
developing quality improvement
measures for the Promoting
Interoperability Program related to OUD
prevention and treatment. This creates a
tight linkage between the guidelines, the
recommended clinical actions based on
the guidelines, and the improved
outcomes based on the recommended
clinical actions.
Therefore, we are seeking comment
on which of the 16 CDC QI opioid
measures have value for potential
consideration for the Promoting
Interoperability Program. We are further
seeking comment on whether we should
consider a different type of
measurement concept for the OUD
prevention and treatment measures,
such as reporting on a set of cross
cutting activities and measures to earn
credit in the Promoting Interoperability
Program (for example, a set of one CDS,
821 https://cds.ahrq.gov/cdsconnect/topic/
opioids-and-pain-management.
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c. Request for Information (RFI) on a
Metric To Improve Efficiency of
Providers Within EHRs
One of the benefits of adopting EHRs
is increasing the efficiency of health
care processes and generating cost
savings by eliminating time-consuming
paper-based processes. Through the use
of EHRs, health care providers are able
to automate administrative aspects of
delivery system management such as
coding and scheduling, easily locate
patient information in electronic charts,
and streamline communications with
other health care providers through
electronic means.
However, research also points to
variable results from the
implementation of health IT across
practice settings, suggesting health IT
adoption is not a universal remedy for
inefficient practice. Stakeholders
continue to describe ways in which the
potential benefits of EHRs have not been
fully realized, pointing to nonoptimized electronic workflows and
poor system design that can increase
rather than reduce administrative
burden, contributing to physician
burnout.822 We believe in the value of
EHRs in today’s health care
environment and understand the way
forward must include reductions in
persistent sources of technology-related
burden, and more effective use of
technology to achieve true efficiency
gains.
In November 2018, ONC released the
draft report ‘‘Strategy on Reducing
Regulatory and Administrative Burden
Relating to the Use of Health IT and
EHRs,’’ 823 as required by section 4001
of the 21st Century Cures Act. In the
draft report, ONC describes a variety of
factors that may contribute to EHRrelated burden, and provides draft
recommendations for how HHS as well
as other stakeholders may be able to
address these factors. Specifically, the
draft report discusses processes where
adoption of improved electronic
processes could reduce EHR-related
burden, such as processes related to
prior authorization requests. The draft
report also discusses EHR usability and
design challenges which may contribute
to EHR-related burden, and identifies
best practices for design, as well as a
variety of emerging system features
which may improve efficiency in health
IT usage. We believe further adoption of
more efficient workflows and
technologies such as those identified in
the draft report will help health care
providers with overall improvements in
patient care and interoperability, and
we are seeking comment on how such
implementation of such processes can
be effectively measured and encouraged
as part of the Promoting Interoperability
Program.
We are also interested in comments
regarding how to measure and
incentivize efficiency as it relates to the
meaningful use of CEHRT and the
furthering of interoperability. In 2017,
the NQF released ‘‘A Measurement
Framework to Assess Nationwide
Progress Related to Interoperable Health
Information Exchange to Support the
National Quality Strategy,’’ 824 which
included discussion of measure
concepts of productivity and efficiency,
which can result from the use of health
IT, specifically health information
exchange. For instance, the NQF report
identifies a measure concept for the
‘‘percentage of reduction of duplicate
labs and imaging over time,’’ which
could capture the impact of electronic
availability of imaging studies on
duplicative studies that are often
conducted when health care providers
do not have the ability to locate an
existing study. However, we recognize
that there are challenges associated with
tying such measures of economic
efficiency to a single factor such as
electronic workflow improvements.825
Consistent with our commitment to
reducing administrative burden,
increasing efficiencies, and improving
beneficiary experience via the Patients
over Paperwork initiative,826 we are
seeking stakeholder feedback on a
potential metric to evaluate health care
provider efficiency using EHRs.
Specifically, we are looking at the
following questions:
• What do stakeholders believe
would be useful ways to measure the
efficiency of health care processes due
822 https://www.ahrq.gov/professionals/
clinicians-providers/ahrq-works/burnout/
index.html.
823 https://www.healthit.gov/sites/default/files/
page/2018-11/Draft%20Strategy%20on%
20Reducing%20Regulatory%20and%20
Administrative%20Burden%20Relating.pdf.
824 https://www.qualityforum.org/Publications/
2017/09/Interoperability_2016-2017_Final_
Report.aspx.
825 https://www.ncbi.nlm.nih.gov/pmc/articles/
PMC2699907/.
826 https://www.cms.gov/About-CMS/story-page/
patients-over-paperwork.html.
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the related CDC QI opioid measure, and
a potentially relevant clinical quality
measure).
We refer readers to Implementing the
CDC Prescribing Guideline document
and the related measures available in
Appendix B of that document available
at: https://www.cdc.gov/drugoverdose/
pdf/prescribing/CDC-DUIPQualityImprovement
AndCareCoordination-508.pdf.
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to the use of health IT? What are
measurable outcomes demonstrating
greater efficiency in costs or resource
use that can be linked to the use of
health IT-enabled processes? This
includes measure description,
numerator/denominator or ‘‘yes/no’’
reporting, and exclusions.
• What are specific technologies,
capabilities, or system features (beyond
those currently addressed in the
Promoting Interoperability Program)
that can increase the efficiency of health
care provider interactions with
technology systems, for instance,
alternate authentication technologies
that can simplify health care provider
logon? How could we reward health
care providers for adoption and use of
these technologies?
• What are key administrative
processes that could benefit from more
efficient electronic workflows, for
instance, conducting prior authorization
requests? How could we measure and
reward health care providers for uptake
of more efficient electronic workflows?
d. Request for Information (RFI) on
Including Medicare Promoting
Interoperability Program Data on the
Hospital Compare Website
As the Medicare Promoting
Interoperability Program continues to
evolve, we are seeking comment on
posting Medicare Promoting
Interoperability Program measure(s) on
the Hospital Compare website.
Section 1886(n)(4)(B) of the Act
requires the Secretary to post in an
easily understandable format a list of
the names and other relevant data, as
determined appropriate by the
Secretary, of eligible hospitals and
CAHs who are meaningful EHR users
under the Medicare FFS program, on a
CMS website. In addition, section
1886(n)(4)(B) of the Act requires the
Secretary to ensure that an eligible
hospital or CAH has the opportunity to
review the other relevant data that are
to be made public with respect to the
eligible hospital or CAH prior to such
data being made public. We believe an
eligible hospital or CAH’s performance
rate on one or more of the Medicare
Promoting Interoperability Program
measures would constitute other
relevant data because it would help
consumers make informed decisions
regarding their health care team, such as
knowing whether and to what extent
their health care provider is involved in
health information exchange or
providing patients with electronic
access to their health information.
As we considers posting information
regarding the Medicare Promoting
Interoperability Program measures in
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the future, we are seeking comment on
the following:
• Of the six required measures and
one bonus measure that would apply for
an EHR reporting period in CY 2020,
how many and which ones should we
consider posting?
• What process should be in place to
allow eligible hospitals and CAHs the
opportunity to review the data prior to
publication? This includes comment on
how many days the preview period
should be for eligible hospitals and
CAHs to review data prior to
publication and a correction process for
those who may have identified an error
in their data.
• We are seeking comment on posting
the data on the our Hospital Compare
website, found at: www.medicare.gov/
hospitalcompare.827
e. Request for Information (RFI) on the
Provider to Patient Exchange Objective
In March 2018, the White House
Office of American Innovation and the
CMS Administrator announced the
launch of MyHealthEData, and our role
in improving patient access and
advancing interoperability. As part of
the MyHealthEData initiative, we are
taking a patient-centered approach to
health information access and moving to
a system in which patients have
immediate access to their computable
health information and can be assured
that their health information will follow
them as they move throughout the
health care system from provider to
provider, payer to payer. To accomplish
this, we have launched several
initiatives related to data sharing and
interoperability to empower patients
and encourage plan and provider
competition. One example is our
overhaul of the EHR Incentive Program
and Advancing Care Information
performance category under the MIPS to
create the new Promoting
Interoperability programs, which put a
heavy emphasis on patient access to
their health information through the
Provide Patients Electronic Access to
Their Health Information measure.
Through the Provide Patients
Electronic Access to Their Health
Information measure, we are ensuring
that patients have access to their
information through any application of
their choice that is configured to meet
the technical specifications of the
Application Programing Interface (API)
in the eligible hospital or CAH’s
CEHRT. To make these APIs fully useful
to patients, they should provide
827 https://www.cms.gov/medicare/qualityinitiatives-patient-assessment-instruments/hospital
qualityinits/hospitalcompare.html.
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immediate access to updated
information whenever the patient needs
that information, should be always
available, configured using standardized
technology and contain the information
a patient needs to make informed
decisions about their care.
In the FY 2019 IPPS/LTCH PPS
proposed rule (83 FR 20537 through
20538), we introduced a potential future
Promoting Interoperability Program
concept which explored creating a set of
priority health IT activities that would
serve as alternatives to the traditional
Promoting Interoperability Program
measures. We specifically noted that the
21st Century Cures Act requires HHS to
take steps to enable the electronic
sharing of health information, including
helping to ensure interoperability for
health care providers and settings across
the care continuum. We requested
public comment on whether eligible
hospitals and CAHs should earn credit
by attesting to health IT or
interoperability activities in lieu of
reporting on specific measures. We
identified specific health IT activities
and sought public comment on those
and additional activities that would add
value for patients and health care
providers, are relevant to patient care
and clinical workflows, support
alignment with existing objectives,
promote flexibility, are feasible for
implementation, are innovative in the
use of health IT, and promote
interoperability. We received feedback
in support of this future concept.
One such activity we specifically
requested comment on was a health IT
activity in which eligible hospitals and
CAHs could obtain credit in the
Promoting Interoperability Program if
they maintain an ‘‘open API,’’ or
standards-based API, which allows
patients to access their health
information through a preferred third
party application. An API can be
thought of as a set of commands,
functions, protocols, or tools published
by one software developer (‘‘developer
A’’) that enables other software
developers to create programs
(applications or ‘‘apps’’) that can
interact with developer A’s software
without needing to know the internal
workings of developer A’s software, all
while maintaining consumer privacy
data standards. This is how API
technology enables the seamless user
experiences associated with
applications familiar from other aspects
of many consumers’ daily lives, such as
travel and personal finance.
Standardized, transparent, and procompetitive API technology can enable
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similar benefits to consumers of health
care services.828
We received feedback from several
commenters regarding concerns that an
‘‘open’’ API may open the door to
patient data without security, leaving
eligible hospitals and CAHs’ EHR
systems open for cyber-attacks. We wish
to note, however, that the term ‘‘open
API’’ does not imply that any and all
applications or application developers
would have unfettered access to
individuals’ personal or sensitive
information nor would it allow for any
reduction in the required protections for
privacy and security of patient health
information. In addition, with respect to
patient access, a patient will need to
authenticate themselves to a health care
organization that is the steward of their
data (for example, username and
password) and the access provided to an
app will be for that one patient. The
overall HIPAA Security Rule and other
cybersecurity obligations that apply to
HIPAA Covered Entities remain the
same and would need to be applied to
an API in the same way they are
currently applied to any and all other
interfaces a health care organization
deploys in production.
ONC’s 21st Century Cures Act
proposed rule (84 FR 7424 through
7610) includes new proposals that focus
on how certified health IT can use APIs
to allow health information to be
accessed, exchanged, and used without
special effort through the use of APIs or
successor technology or standards, as
provided for under applicable law. For
instance, ONC has proposed to adopt a
new criterion for a standards-based API
at § 170.315(g)(10). This standards-based
API criterion would replace the existing
API criterion with one that requires the
use of the HL7 Fast Healthcare
Interoperability Resources (FHIR®)
standard. ONC has also proposed a
series of requirements for the standardsbased API that would improve
interoperability by focusing on
standardized, transparent, and procompetitive API practices.
ONC has proposed to make the
standards-based API criterion part of the
2015 Edition base EHR definition,
which would ensure that this
functionality is ultimately included in
the CEHRT definition required for
participation in the Promoting
Interoperability Program. If finalized,
ONC has proposed that health IT
828 ONC has made available a succinct, nontechnical overview of APIs in context of consumers’
access to their own medical information across
multiple providers’ EHR systems, which is available
at the HealthIT.gov website at: https://
www.healthit.gov/api-education-module/story_
html5.html.
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developers would have 24 months from
the publication of the final rule to
implement these changes to certified
health IT products.
(1) Immediate Access
The existing Provide Patients
Electronic Access to Their Health
Information measure specifies that the
eligible hospital or CAH provide the
patient timely access to view online,
download, and transmit his or her
health information, and further specifies
that patient health information must be
made available to the patient within 36
hours of its availability to the eligible
hospital or CAH. We believe it is critical
for patients to have access to their
health information when making
decisions about their care. In the
recently published Medicare and
Medicaid Programs; Patient Protection
and Affordable Care Act;
Interoperability and Patient Access for
Medicare Advantage Organization and
Medicaid Managed Care Plans, State
Medicaid Agencies, CHIP Agencies and
CHIP Managed Care Entities, Issuers of
Qualified Health Plans in the Federallyfacilitated Exchanges and Health Care
Providers proposed rule (84 FR 7610
through 7680), (hereinafter referred to as
the CMS Interoperability and Patient
Access proposed rule), we proposed that
certain health plans and payers be
required to make patient health
information available through an open,
standards-based API no later than one
business day after it is received by the
health plan or payer.
Recognizing the importance of
patients having access to their complete
health information, including clinical
information from the eligible hospital or
CAH’s CEHRT, and appreciating the
new technical flexibility a standardsbased API provides, we are seeking
comment on whether eligible hospitals
and CAHs should make patient health
information available immediately
through the open, standards-based API,
no later than one business day after it
is available to the eligible hospital or
CAH in their CEHRT. We are also
seeking comment on the barriers to
more immediate access to patient
information. And, we are seeking
comment on if there are specific data
elements that may be more or less
feasible to share no later than one
business day.
(2) Persistent Access and StandardsBased APIs
As discussed above, the ONC 21st
Century Cures Act proposed rule (84 FR
7479), includes a proposal for adoption
of API conditions of certification that
ensure a standards-based API is
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implemented in a manner that provides
unimpeded access to technical
documentation, is non-discriminatory,
preserves rights of access, and
minimizes costs or other burdens that
could result in special effort. The ONC
21st Century Cures Act proposed rule
(84 FR 7575), also includes
requirements for the standardized API
related to privacy and security to ensure
that patient health information is
protected.
The existing Provide Patients
Electronic Access to Their Health
Information measure does not specify
the overall operational expectations
associated with enabling patients’
access to their health information. For
instance, the measure only specifies that
access must be ‘‘timely.’’ As a result, we
are requesting public comment on
whether we should revise the measure
to be more specific with respect to the
experience, patients should have
regarding their access. For instance, in
the ONC 21st Century Cures Act
proposed rule (84 FR 7481 through
7484) there is a proposal regarding
requirements around persistent access
to APIs, which would accommodate a
patient’s routine access to their health
information without needing to
reauthorize their app and reauthenticate themselves. We are seeking
comment on whether the Promoting
Interoperability Program measure
should be updated to reinforce this
proposed technical requirement for
persistent access.
As we work to advance
interoperability and empower patients
through access to their health
information, we continue to explore the
role of APIs. We support ONC’s 21st
Century Cures Act proposed rule (84 FR
7424) proposal to move to an HL7
FHIR®-based API under 2015 Edition
certification (84 FR 7479). Health care
providers committed to a standardsbased API could benefit from joining in
on the industry’s new FHIR standards
framework to reduce burden in, and
improve on, quality measurement
through automation and simplification.
Use of FHIR-based APIs could help
push forward interoperability regardless
of EHR systems used providing
standardized way to share information.
Understanding this, we are,
specifically, seeking public comment on
the following question: If ONC’s
proposal for a FHIR-based API
certification criteria is finalized, would
stakeholders support a possible bonus
under the Promoting Interoperability
Programs for early adoption of a
certified FHIR-based API in the
intermediate time before ONC’s final
rule’s compliance date for
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implementation of a FHIR standard for
certified APIs?
(3) Available Data
Recognizing the overall burden that
switching EHR systems places on health
care providers, ONC has introduced a
new proposal that seeks to minimize
that burden. In the 21st Century Cures
Act proposed rule (84 FR 7424 through
7610), ONC has proposed to adopt a
new 2015 Edition certification criterion
for the Electronic Health Information
(EHI) export in 45 CFR 170.315(b)(10).
The purpose of this criterion is to
provide patients and health IT users the
ability to securely export the entire
electronic health record for a single
patient, or all patients, in a computable,
electronic format, and facilitate
receiving the health IT system’s
interpretation, and use of the EHI, to the
extent that is reasonably practicable
using the existing technology of
developers. This patient-focused export
capability complements other
provisions of the proposed rule that
support patients’ access to their EHI,
including information that may
eventually be accessible via the
proposed standardized API in 45 CFR
170.215. It is also complementary to the
proposals in the CMS Interoperability
and Patient Access proposed rule,
which has proposed to require certain
health plans under CMS to provide
patients access to their health data
through a standardized API.
Building on these proposals, we are
seeking comment on an alternative
measure under the Provider to Patient
Exchange objective that would require
health care providers to use technology
certified to the EHI criteria to provide
the patient(s) their complete electronic
health data contained within an EHR.
Specifically, we are seeking comment
on the following questions:
• Do stakeholders believe that
incorporating this alternative measure
into the Provider to Patient Exchange
objective will be effective in
encouraging the availability of all data
stored in health IT systems?
• In relation to the Provider to Patient
Exchange objective as a whole, how
should a measure focused on using the
proposed total EHI export function in
CEHRT be scored?
• If this certification criterion is
finalized and implemented, should a
measure based on the criterion be
established as a bonus measure? Should
this measure be established as an
attestation measure?
• In the long term, how do
stakeholders believe such an alternative
measure would impact burden?
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• What data elements do stakeholders
believe are of greatest clinical value or
would be of most use to health care
providers to share in a standardized
electronic format if the complete record
was not immediately available?
In addition to the above questions, we
have some general questions that are
related to health IT activities, for which
we are also seeking public comment:
• Do stakeholders believe that we
should consider including a health IT
activity that promotes engagement in
the health information exchange across
the care continuum that would
encourage bi-directional exchange of
health information with community
partners, such as post-acute care, long
term care, behavioral health, and home
and community based services to
promote better care coordination for
patients with chronic conditions and
complex care needs? If so, what criteria
should we consider when implementing
a health information exchange across
the care continuum health IT activity in
the Promoting Interoperability Program?
• What criteria should we employ,
such as specific goals or areas of focus,
to identify high priority health IT
activities for the future of the program?
• Are there additional health IT
activities we should consider
recognizing in lieu of reporting on
existing measures and objectives that
would most effectively advance
priorities for nationwide
interoperability and spur innovation?
(4) Patient Matching
ONC has stated that patient matching
is critically important to interoperability
and the nation’s health IT infrastructure
as health care providers must be able to
share patient health information and
accurately match a patient to his or her
data from a different health care
provider in order for many anticipated
interoperability benefits to be realized.
We continue to support ONC’s work
promoting the development of patient
matching initiatives. Per Congress
‘guidance, ONC is looking at innovative
ways to provide technical assistance to
private sector-led initiatives to further
develop accurate patient matching
solutions in order to promote
interoperability without requiring a
unique patient identifier (UPI). We
understand the significant health
information privacy and security
concerns raised around the
development of a UPI standard and the
current prohibition against using HHS
funds to adopt a UPI standard.
Recognizing Congress’ statement
regarding patient matching and
stakeholder comments stating that a
patient matching solution would
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accomplish the goals of a UPI, we are
seeking comment for future
consideration on ways for ONC and
CMS to continue to facilitate private
sector efforts on a workable and scalable
patient matching strategy so that the
lack of a specific UPI does not impede
the free flow of information. We are also
seeking comment on how we may
leverage our program authority to
provide support to those working to
improve patient matching. We note that
we intend to use comments we receive
for the development of policy and future
rulemaking.
f. Request for Information (RFI) on
Integration of Patient-Generated Health
Data Into EHRs Using CEHRT
The Medicare and Medicaid
Promoting Interoperability Programs are
continuously seeking ways to prioritize
the advanced use of CEHRT
functionalities, encourage movement
away from paper-based processes that
increase heath care provider burden,
and empower individual beneficiaries to
take a more impactful role in managing
their health to achieve their goals.
Increased availability of patientgenerated health data (PGHD) 829 offers
health care providers an opportunity to
monitor and track a patient’s healthrelated data from information that is
provided by the patient and not the
provider. Increasingly affordable
wearable devices, sensors, and other
technologies capture PGHD, providing
new ways to monitor and track a
patient’s healthcare experience.
Capturing important health information
through devices and other tools between
medical visits could help improve care
management and patient outcomes,
potentially resulting in increased cost
savings. Although many types of PGHD
are being used in clinical settings today,
the continuous collection and
integration of patients’ health-data into
EHRs to inform clinical care has not
been widely achieved across the health
care system.
In the 2015 Edition Health IT
Certification Criteria final rule (80 FR
62661; 45 CFR 170.315(e)(3), ONC
finalized a criterion for patient health
information capture functionality
within certified health IT that allows a
user to identify, record, and access
information directly and electronically
shared by a patient. We finalized a
PGHD measure requiring health care
providers to incorporate patient
generated health data or data from a
nonclinical setting into CEHRT (80 FR
829 For more information, we refer readers to:
https://www.healthit.gov/topic/scientific-initiatives/
patient-generated-health-data.
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62851). However, we removed this
measure in the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41663 through 41664),
due to concerns that the measure was
not fully health IT-based and could
include paper-based actions, an
approach which did not align with
program priorities to advance the use of
CEHRT. Stakeholder comments
regarding this measure also noted that
manual processes to conduct actions
associated with the measure could
increase health care provider reporting
burden and that there was confusion
over which types of data would be
applicable and the situations in which
the patient data would apply (83 FR
41663 through 41664). At the same time,
there was ample support from the
public for ONC and CMS to continue to
advance certified health IT capabilities
to capture PGHD.
However, we continue to believe that
it is important for the Promoting
Interoperability Program to explore new
ways to incentivize health care
providers who take proactive steps to
advance the emerging use of PGHD. As
relevant technologies and standards
continue to evolve, there may be new
program approaches through which we
can address challenges related to
emerging standards for PGHD capture,
appropriate clinical workflows for
receiving and reviewing PGHD, and
advance the technical architecture
needed to support PGHD use.
In 2018, ONC released the white
paper ‘‘Conceptualizing a Data
Infrastructure for the Capture, Use, and
Sharing of Patient-Generated Health
Data in Care Delivery and Research
through 2024,’’ 830 which describes key
challenges, opportunities and enabling
actions for different stakeholders,
including clinicians, to advance the use
of PGHD. For instance, the report
identifies an enabling action around
supporting ‘‘clinicians to work within
and across organizations to incorporate
prioritized PGHD use cases into their
workflows.’’ This action urges clinicians
and care teams to identify priority use
cases and relevant PGHD types that
would be valuable to improving care
delivery for patient populations. It also
highlights the importance of developing
clinical workflows that avoid
overwhelming the care team with
extraneous data, by encouraging care
teams to develop management strategies
for shared responsibilities around
collecting, verifying, and analyzing
PGHD. A second enabling action the
white paper identifies for clinicians is
‘‘collaboration between clinicians and
830 https://www.healthit.gov/sites/default/files/
onc_pghd_final_white_paper.pdf.
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developers to advance technologies
supporting PGHD interpretation and
use.’’ This enabling action highlights
feedback for developers about
prioritized use cases and application
features as critical to ensuring that the
necessary refinements are made to
technology solutions to effectively
support the capture and use of PGHD.
Finally, the report encourages
‘‘clinicians in providing patient
education to encourage PGHD capture
and use in ways that maximize data
quality,’’ recognizing the important role
that clinicians can play in helping
patients understand how to share
PGHD, the differences between solicited
and unsolicited PGHD, and how PGHD
are relevant for the patient’s care.
Considering the enabling actions for
clinicians identified in the white paper,
we are interested in ways that the
Promoting Interoperability Program
could adopt new elements related to
PGHD that: (1) Represent clearly defined
uses of health IT; (2) are linked to
positive outcomes for patients; and (3)
advance the capture, use, and sharing of
PGHD. In considering how the
Promoting Interoperability Program
could continue to advance the use of
PGHD, we also note that a future
program element related to PGHD
would not necessarily need to be
implemented as a traditional measure
requiring reporting of a numerator and
denominator. For instance, in the FY
2019 IPPS/LTCH PPS proposed rule (83
FR 20538), we requested comment on
the concept of ‘‘health IT’’ or
‘‘interoperability’’ activities to which a
health care provider could attest,
potentially in lieu of reporting on
measures associated with certain
objectives. By addressing the use of
PGHD through such a concept, rather
than traditional measure reporting, we
could potentially reduce the reporting
burden associated with a new PGHDrelated program element.
We are inviting stakeholder comment
on these concepts, and the specific
questions below:
• What specific use cases for capture
of PGHD as part of treatment and care
coordination across clinical conditions
and care settings are most promising for
improving patient outcomes? For
instance, use of PGHD for capturing
advanced directives and pre/postoperation instructions in surgery units.
• Should the Promoting
Interoperability Program explore ways
to include bonus points for health care
providers engaging in activities that
pilot promising technical solutions or
approaches for capturing PGHD and
incorporating it into CEHRT using
standards-based approaches?
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• Should inpatient health care
providers be expected to collect
information from their patients outside
of scheduled appointments or
procedures? What are the benefits and
concerns about doing so?
• Should the Promoting
Interoperability Program explore ways
to reward health care providers for
implementing best practices associated
with optimizing clinical workflows for
obtaining, reviewing, and analyzing
PGHD?
We believe the bi-directional
availability of data, meaning that both
patients and their health care providers
have real-time access to the patient’s
electronic health record, is critical. This
includes patients being able to import
their health data into their medical
record and have it be available to health
care providers. We welcome input on
how we can encourage and enable
health care providers to advance
capture, exchange, and use of PGHD.
g. Request for Information (RFI) on
Engaging in Activities That Promote the
Safety of the EHR
The widespread adoption of EHRs has
transformed the way health care is
delivered, offering improved availability
of patient health information,
supporting more informed clinical
decision making, and reduce medical
errors.831 However, many stakeholders
have identified risks to patient safety as
one of the unintended consequences
that may result from implementation of
EHRs. By disrupting established
workflows and presenting clinicians
with new challenges, EHR
implementation may increase the
incidence of certain errors, resulting in
harm to patients.
As we continue to advance the use of
CEHRT in health care, we are seeking
comment on how to further mitigate the
specific safety risks that may arise from
technology implementation.
Specifically, we are seeking comment
on ways that the Promoting
Interoperability Program may reward
hospitals for engaging in activities that
can help to reduce errors associated
with EHR implementation.
For instance, we are requesting
comment on a potential future change to
the program under which hospitals
would receive points towards their
Promoting Interoperability Program
score for attesting to performance of an
assessment based on one of the ONC
SAFER Guides. The SAFER Guides
(available at: https://www.healthit.gov/
topic/safety/safer-guides) are designed
831 https://www.healthit.gov/topic/health-itbasics/improved-patient-care-using-ehrs.
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19569
to help healthcare organizations
conduct self-assessments to optimize
the safety and safe use of EHRs in nine
different areas: High Priority Practices,
Organizational Responsibilities,
Contingency Planning, System
Configuration, System Interfaces,
Patient Identification, Computerized
Provider Order Entry, Test Results
Reporting and Follow-Up, and Clinician
Communication.
Each of the SAFER Guides is based on
the best evidence available, including a
literature review, expert opinion, and
field testing at a wide range of
healthcare organizations, from small
ambulatory practices to large health
systems. A number of EHR developers
currently utilize the SAFER Guides as
part of their health care provider
training modules.
Specifically, we might consider
offering points towards the Promoting
Interoperability Program score to
hospitals that attest to conducting an
assessment based on the High Priority
Practices 832 and/or the Organizational
Responsibilities 833 SAFER Guides
which cover many foundational
concepts from across the guides.
Alternatively we might consider
awarding points for review of all nine of
the SAFER Guides. We are also inviting
comments on alternatives to the SAFER
Guides, including appropriate
assessments related to patient safety,
which should also be considered as part
of any future bonus option.
We are requesting comment on the
ideas above, as well as inviting
stakeholders to suggest other
approaches we might take to rewarding
activities that promote reduction of
safety risks associated with EHR
implementation as part of the Promoting
Interoperability Program.
IX. MedPAC Recommendations
Under section 1886(e)(4)(B) of the
Act, the Secretary must consider
MedPAC’s recommendations regarding
hospital inpatient payments. Under
section 1886(e)(5) of the Act, the
Secretary must publish in the annual
proposed and final IPPS rules the
Secretary’s recommendations regarding
MedPAC’s recommendations. We have
reviewed MedPAC’s March 2019
‘‘Report to the Congress: Medicare
Payment Policy’’ and have given the
recommendations in the report
consideration in conjunction with the
proposed policies set forth in this
proposed rule. MedPAC
832 https://www.healthit.gov/sites/default/files/
safer/guides/safer_high_priority_practices.pdf.
833 https://www.healthit.gov/sites/default/files/
safer/guides/safer_organizational_
responsibilities.pdf.
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recommendations for the IPPS for FY
2020 are addressed in Appendix B to
this proposed rule.
For further information relating
specifically to the MedPAC reports or to
obtain a copy of the reports, contact
MedPAC at (202) 653–7226, or visit
MedPAC’s website at: https://
www.medpac.gov.
these files are created each year to
support the rulemaking.
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-AService-Payment/
AcuteInpatientPPS/Wage-IndexFiles.html.
Period Available: FY 2020 IPPS
Update.
X. Other Required Information
4. Other Wage Index Files
A. Publicly Available Files
CMS releases other wage index
analysis files after each proposed and
final rule.
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/Wage-IndexFiles.html.
Periods Available: FY 2005 through
FY 2020 IPPS Update.
IPPS-related data are available on the
internet for public use. The data can be
found on the CMS website at: https://
www.cms.hhs.gov/Medicare/MedicareFee-for-Service-Payment/
AcuteInpatientPPS/.
Following is a listing of the IPPS-related
data files that are available.
Commenters interested in discussing
any data files used in construction of
this proposed rule should contact
Michael Treitel at (410) 786–4552.
1. CMS Wage Data Public Use File
This file contains the hospital hours
and salaries from Worksheet S–3, Parts
II and III from FY 2016 Medicare cost
reports used to create the proposed FY
2020 IPPS wage index. Multiple
versions of this file are created each
year. For a discussion of the release of
different versions of this file, we refer
readers to section III.L. of the preamble
of this proposed rule.
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/Wage-IndexFiles.html.
Periods Available: FY 2007 through
FY 2020 IPPS Update.
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2. CMS Occupational Mix Data Public
Use File
This file contains the CY 2016
occupational mix survey data to be used
to compute the occupational mix
adjusted wage indexes. Multiple
versions of this file are created each
year. For a discussion of the release of
different versions of this file, we refer
readers to section III.L. of the preamble
of this proposed rule.
Media: Internet at: https://
www.cms.gov/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/WageIndex-Files.html.
Period Available: FY 2020 IPPS
Update.
3. Provider Occupational Mix
Adjustment Factors for Each
Occupational Category Public Use File
This file contains each hospital’s
occupational mix adjustment factors by
occupational category. Two versions of
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5. FY 2020 IPPS SSA/FIPS CBSA State
and County Crosswalk
This file contains a crosswalk of State
and county codes used by the Federal
Information Processing Standards
(FIPS), county name, and a list of CoreBased Statistical Areas (CBSAs).
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/Acute
InpatientPPS/ (on the
navigation panel on the left side of the
page, click on the FY 2020 proposed
rule home page or the FY 2020 final rule
home page) or https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/AcuteInpatient-Files-for-Download.html.
Period Available: FY 2020 IPPS
Update.
6. HCRIS Cost Report Data
The data included in this file contain
cost reports with fiscal years ending on
or after September 30, 1996. These data
files contain the highest level of cost
report status.
Media: Internet at: https://
www.cms.gov/Research-Statistics-Dataand-Systems/Downloadable-Public-UseFiles/Cost-Reports/Cost-Reports-byFiscal-Year.html.
(We note that data are no longer
offered on a CD. All of the data collected
are now available free for download
from the cited website.)
7. Provider-Specific File
This file is a component of the
PRICER program used in the MAC’s
system to compute DRG/MS–DRG
payments for individual bills. The file
contains records for all prospective
payment system eligible hospitals,
including hospitals in waiver States,
and data elements used in the
prospective payment system
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recalibration processes and related
activities. Beginning with December
1988, the individual records were
enlarged to include pass-through per
diems and other elements.
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/ProspMedicare
FeeSvcPmtGen/psf_text.html.
Period Available: Quarterly Update.
8. CMS Medicare Case-Mix Index File
This file contains the Medicare casemix index by provider number based on
the MS–DRGs assigned to the hospital’s
discharges using the GROUPER version
in effect on the date of the discharge.
The case-mix index is a measure of the
costliness of cases treated by a hospital
relative to the cost of the national
average of all Medicare hospital cases,
using DRG/MS–DRG weights as a
measure of relative costliness of cases.
Two versions of this file are created
each year to support the rulemaking.
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/Acute-InpatientFiles-for-Download.html, or for the more
recent data files, https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
(on the navigation panel on the left side
of page, click on the specific fiscal year
proposed rule home page or fiscal year
final rule home page desired).
Periods Available: FY 1985 through
FY 2020.
9. MS–DRG Relative Weights (Also
Table 5—MS–DRGs)
This file contains a listing of MS–
DRGs, MS–DRG narrative descriptions,
relative weights, and geometric and
arithmetic mean lengths of stay for each
fiscal year. Two versions of this file are
created each year to support the
rulemaking.
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/Acute-InpatientFiles-for-Download.html, or for the more
recent data files, https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
(on the navigation panel on the left side
of page, click on the specific fiscal year
proposed rule home page or the fiscal
year final rule home page desired).
Periods Available: FY 2005 through
FY 2020 IPPS Update.
10. IPPS Payment Impact File
This file contains data used to
estimate payments under Medicare’s
hospital inpatient prospective payment
systems for operating and capital-related
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costs. The data are taken from various
sources, including the Provider-Specific
File, HCRIS Cost Report Data, MedPAR
Limited Data Sets, and prior impact
files. The data set is abstracted from an
internal file used for the impact analysis
of the changes to the prospective
payment systems published in the
Federal Register. Two versions of this
file are created each year to support the
rulemaking.
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/Historical-ImpactFiles-for-FY-1994-through-Present.html.
Periods Available: FY 1994 through
FY 2020 IPPS Update.
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11. AOR/BOR Tables
This file contains data used to
develop the MS–DRG relative weights. It
contains mean, maximum, minimum,
standard deviation, and coefficient of
variation statistics by MS–DRG for
length of stay and standardized charges.
The BOR tables are ‘‘Before Outliers
Removed’’ and the AOR is ‘‘After
Outliers Removed.’’ (Outliers refer to
statistical outliers, not payment
outliers.)
Two versions of this file are created
each year to support the rulemaking.
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/Acute-InpatientFiles-for-Download.html, or for the more
recent data files, https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
(on the navigation panel on the left side
of page, click on the specific fiscal year
proposed rule home page or fiscal year
final rule home page desired).
Periods Available: FY 2005 through
FY 2020 IPPS Update.
12. Prospective Payment System (PPS)
Standardizing File
This file contains information that
standardizes the charges used to
calculate relative weights to determine
payments under the hospital inpatient
operating and capital prospective
payment systems. Variables include
wage index, cost-of-living adjustment
(COLA), case-mix index, indirect
medical education (IME) adjustment,
disproportionate share, and the CoreBased Statistical Area (CBSA). The file
supports the rulemaking.
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/ (on the
navigation panel on the left side of the
page, click on the FY 2020 proposed
rule home page or the FY 2020 final rule
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home page) or https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/AcuteInpatient-Files-for-Download.html.
Period Available: FY 2020 IPPS
Update.
13. Hospital Readmissions Reduction
Program Supplemental File
This file contains information on the
calculation of the Hospital
Readmissions Reduction Program
(HRRP) payment adjustment. Variables
include the proxy excess readmission
ratios for acute myocardial infarction
(AMI), pneumonia (PN) and heart
failure (HF), coronary obstruction
pulmonary disease (COPD), total hip
arthroplasty (THA)/total knee
arthroplasty (TKA), and coronary artery
bypass grafting (CABG) and the proxy
readmissions payment adjustment for
each provider included in the program.
In addition, the file contains
information on the number of cases for
each of the applicable conditions
excluded in the calculation of the
readmission payment adjustment factors
as well as other information used in the
calculation of the annual payment
adjustment factors. The file supports the
rulemaking.
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/ (on the
navigation panel on the left side of the
page, click on the FY 2020 proposed
rule home page or the FY 2020 final rule
home page) or https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/AcuteInpatient-Files-for-Download.html.
Period Available: FY 2020 IPPS
Update.
14. Medicare Disproportionate Share
Hospital (DSH) Supplemental File
This file contains information on the
calculation of the uncompensated care
payments for FY 2020. Variables
include the data used to determine a
hospital’s share of uncompensated care
payments, total uncompensated care
payments and estimated per claim
uncompensated care payment amounts.
The file supports the rulemaking.
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/ (on the
navigation panel on the left side of the
page, click on the FY 2020 proposed
rule home page or the FY 2020 final rule
home page) or https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/AcuteInpatient-Files-for-Download.html.
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19571
Period Available: FY 2020 IPPS
Update.
15. New Technology Thresholds File
This file contains the cost thresholds
by MS–DRG used to evaluate
applications for new technology add-on
payments for the fiscal year that follows
the fiscal year that is otherwise the
subject of the rulemaking. Two versions
of this file are created each year to
support rulemaking. (We note that the
information in this file was previously
provided in Table 10 of the annual IPPS
proposed and final rules (83 FR 41739).)
Media: Internet at: https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/ (on the
navigation panel on the left side of the
page, click on the FY 2019 final rule
home page for the FY 2020 application
thresholds, or click on the FY 2020
proposed rule home page for the
proposed FY 2021 application
thresholds or on the FY 2020 final rule
home page for the final FY 2021
application thresholds) or https://
www.cms.gov/Medicare/Medicare-Feefor-Service-Payment/
AcuteInpatientPPS/Acute-InpatientFiles-for-Download.html.
Periods Available: For FY 2020 and
FY 2021 applications.
B. Collection of Information
Requirements
1. Statutory Requirement for Solicitation
of Comments
Under the Paperwork Reduction Act
(PRA) of 1995, we are required to
provide 60-day notice in the Federal
Register and solicit public comment
before a collection of information
requirement is submitted to the Office of
Management and Budget (OMB) for
review and approval. In order to fairly
evaluate whether an information
collection should be approved by OMB,
section 3506(c)(2)(A) of the PRA of 1995
requires that we solicit comment on the
following issues:
• The need for the information
collection and its usefulness in carrying
out the proper functions of our agency.
• The accuracy of our estimate of the
information collection burden.
• The quality, utility, and clarity of
the information to be collected.
• Recommendations to minimize the
information collection burden on the
affected public, including automated
collection techniques.
In this proposed rule, we are
soliciting public comment on each of
these issues for the following sections of
this document that contain information
collection requirements (ICRs).
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2. ICRs for Application for GME
Resident Slots
The information collection
requirements associated with the
preservation of resident cap positions
from closed hospitals, addressed in
section IV.J.3. of the preamble of this
proposed rule are not subject to the
Paperwork Reduction Act, as stated in
section 5506 of the Affordable Care Act.
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3. ICRs for the Hospital Inpatient
Quality Reporting (IQR) Program
a. Background
The Hospital IQR Program (formerly
referred to as the Reporting Hospital
Quality Data for Annual Payment
Update (RHQDAPU) Program) was
originally established to implement
section 501(b) of the MMA, Public Law
108–173. OMB has currently approved
2,520,100 hours of burden and
approximately $92.2 million under
OMB Control Number 0938–1022,
accounting for information collection
burden experienced by 3,300 IPPS
hospitals and 1,100 non-IPPS hospitals
for the FY 2021 payment determination.
Below we describe the burden changes
with regards to collection of information
under OMB Control Number 0938–1022
for IPPS hospitals due to the proposed
policies in this proposed rule.
In section VIII.A.5.b. of the preamble
of this proposed rule, we are proposing
to adopt the Hybrid Hospital-Wide
Readmission Measure with Claims and
Electronic Health Record Data (Hybrid
HWR measure) (NQF #2879) in a
stepwise approach, beginning with two
years of voluntary reporting which
would run from July 1, 2021 through
June 30, 2022, and from July 1, 2022
through June 30, 2023, before requiring
reporting of the measure for the
reporting period that would run from
July 1, 2023 through June 30, 2024,
impacting the FY 2026 payment
determination and subsequent years. We
are also proposing reporting and
submission requirements for the Hybrid
HWR measure. We expect these
proposals will affect our collection of
information burden estimates. Details
on these proposals, as well as the
expected burden changes, are discussed
further below.
In section VIII.A. of the preamble of
this proposed rule, we also are
proposing to: (1) Adopt two opioidrelated eCQMs beginning with the CY
2021 reporting period/FY 2023 payment
determination: (a) Safe Use of Opioids—
Concurrent Prescribing eCQM (NQF
#3316e), and (b) Hospital Harm—
Opioid-Related Adverse Events eCQM;
(2) remove the claims-only version of
the Hospital-Wide All-Cause
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Readmission measure beginning with
the FY 2026 payment determination; (3)
extend the current eCQM reporting and
submission requirements for the CY
2020 reporting period/FY 2022 payment
determination and CY 2021 reporting
period/FY 2023 payment determination;
(4) change the eCQM reporting and
submission requirements for the CY
2022 reporting period/FY 2024 payment
determination, such that hospitals
would be required to report one, selfselected calendar quarter of data for: (a)
Three self-selected eCQMs, and (b) the
proposed Safe Use of Opioids—
Concurrent Prescribing eCQM (NQF
#3316e), for a total of four eCQMs; and
(5) continue the requirement that EHRs
be certified to all available eCQMs used
in the Hospital IQR Program for the CY
2020 reporting period/FY 2022 payment
determination and subsequent years. As
discussed further below, we do not
expect these policies to affect our
information collection burden estimates.
In the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38501 through 38504) and
FY 2019 IPPS/LTCH PPS final rule (83
FR 41689 through 41694), we estimated
that reporting measures for the Hospital
IQR Program could be accomplished by
staff with a median hourly wage of
$18.29 per hour. We note that since
then, more recent wage data have
become available, and we are updating
the wage rate used in these calculations
in this proposed rule. The most recent
data from the Bureau of Labor Statistics
reflects a median hourly wage of $18.83
per hour for a Medical Records and
Health Information Technician
professional.834 We calculated the cost
of overhead, including fringe benefits, at
100 percent of the median hourly wage,
consistent with previous years. This is
necessarily a rough adjustment, both
because fringe benefits and overhead
costs vary significantly by employer and
methods of estimating these costs vary
widely in the literature. Nonetheless, we
believe that doubling the hourly wage
rate ($18.83 × 2 = $37.66) to estimate
total cost is a reasonably accurate
estimation method. Accordingly, we
will calculate cost burden to hospitals
using a wage plus benefits estimate of
$37.66 per hour throughout the
discussion below for the Hospital IQR
Program.
834 U.S.
Bureau of Labor Statistics. Occupational
Outlook Handbook, Medical Records and Health
Information Technicians. Available at: https://
www.bls.gov/ooh/healthcare/medical-records-andhealth-information-technicians.htm.
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b. Information Collection Burden
Estimate for the Proposed Adoption of
Two eCQMs Beginning With the CY
2021 Reporting Period/FY 2023
Payment Determination
In section VIII.A.5.a. of the preamble
of this proposed rule, we are proposing
to adopt two opioid-related eCQMs
beginning with the CY 2021 reporting
period/FY 2023 payment determination:
• Safe Use of Opioids—Concurrent
Prescribing eCQM (NQF #3316e); and
• Hospital Harm—Opioid-Related
Adverse Events eCQM.
We do not believe that adding two
new eCQMs to the measure set will
affect the information collection burden
of submitting information to CMS under
the Hospital IQR Program. As discussed
in section VIII.A.10.d.(2) and (3) of the
preamble of this proposed rule, we are
proposing to extend, for the CYs 2020
and 2021 reporting periods/FYs 2022
and 2023 payment determinations, our
current eCQM reporting requirements,
which require hospitals to submit one
self-selected calendar quarter of data for
four self-selected eCQMs each year.
These new proposed measures would be
added to the eight available eCQMs in
the eCQM measure set from which
hospitals may choose to report in order
to satisfy these requirements.835 In other
words, while these two new proposed
measures would be added to the eCQM
measure set, hospitals would not be
required to report more than a total of
four eCQMs as currently required.
Therefore, we do not expect adopting
these measures will impact our burden
estimates. However, we refer readers to
section I.K. of Appendix A of this
proposed rule for a discussion of the
potential costs associated with the
implementation of new eCQMs that are
not strictly related to information
collection burden.
c. Information Collection Burden
Estimate for the Proposed Voluntary
Reporting Periods and Subsequent
Adoption of the Hybrid Hospital-Wide
Readmission Measure With Claims and
Electronic Health Record Data (Hybrid
HWR Measure)
In section VIII.A.5.b. of the preamble
of this proposed rule, we are proposing
to establish two additional voluntary
reporting periods for the Hybrid
Hospital-Wide Readmission Measure
with Claims and Electronic Health
Record Data (NQF #2879) (Hybrid HWR
835 We note that in section VIII.A.9.d.(4) of the
preamble of this proposed rule we are proposing
that, beginning with the CY 2022 reporting period,
hospitals must report data on the Safe Use of
Opioids—Concurrent Prescribing eCQM (NQF
#3316e) as one of the four required eCQMs.
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measure). The first voluntary reporting
period would run from July 1, 2021
through June 30, 2022, and the second
would run from July 1, 2022 through
June 30, 2023. We also are proposing to
require reporting of the Hybrid HWR
measure immediately thereafter and for
subsequent years, beginning with the
reporting period which runs from July 1,
2023 through June 30, 2024 and which
would affect the FY 2026 payment
determination.
As a hybrid measure, this measure
uses both claims-based data and EHR
data, specifically, a set of core clinical
data elements consisting of vital signs
and laboratory test information and
patient linking variables collected from
hospitals’ EHR systems. We do not
expect any additional burden to
hospitals to report the claims-based
portion of this measure, because these
data are already reported to the
Medicare program for payment
purposes.
However, we do expect that hospitals
will experience burden in reporting the
EHR data. To report the EHR data, as
discussed earlier in this proposed rule,
we are proposing that hospitals would
use the same submission process
required for eCQM reporting;
specifically, these data would be
required to be reported using QRDA I
files submitted to the CMS data
receiving system, and using EHR
technology certified to the 2015 Edition
of CEHRT. Accordingly, we expect the
burden associated with reporting of this
measure to be similar to our estimates
for eCQM reporting; that is, 10 minutes
per measure, per quarter. Therefore,
using the estimate of 10 minutes per
measure per quarter (10 minutes × 1
measure × 4 quarters = 40 minutes), we
estimate that our proposal will result in
a burden increase of 0.67 hours (40
minutes) per hospital per year.
Beginning with the first voluntary
reporting period, which runs from July
1, 2021 through June 30, 2022, we
estimate an annual burden increase of
2,211 hours across participating
hospitals (0.67 hours × 3,300 IPPS
hospitals). Using the updated wage
estimate described above, we estimate
this to represent a cost increase of
$83,266 ($37.66 hourly wage × 2,211
annual hours) across hospitals. We
acknowledge that reporting during the
first two years of this proposal is
voluntary, but if our proposal to adopt
the Hybrid HWR measure is finalized,
we will encourage all hospitals to
submit data for the Hybrid HWR
measure during these voluntary
reporting periods. For that reason, our
burden estimates are based on the
assumption that all hospitals will
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participate across the two voluntary
reporting periods (July 1, 2021 through
June 30, 2022, and July 1, 2022 through
June 30, 2023), the reporting period in
which public reporting begins (July 1,
2023 through June 30, 2024), and
subsequent reporting periods.
d. Information Collection Burden
Estimate for Proposed Removal of
Claims-Only Hospital-Wide All-Cause
Readmission Measure (HWR ClaimsOnly Measure) Beginning With the FY
2026 Payment Determination
In section VIII.A.6. of the preamble of
this proposed rule, we are proposing to
remove the HWR claims-only measure,
beginning with the FY 2026 payment
determination when the Hybrid HWR
measure begins to be publicly reported.
Because the HWR claims-only measure
is calculated using data that are already
reported to the Medicare program for
payment purposes, we do not anticipate
that removing this measure would
decrease our previously finalized
burden estimates.
e. Information Collection Burden
Estimates for Proposals Related to
eCQM Reporting and Submission
Requirements
(1) Information Collection Burden
Estimates for Proposed eCQM Reporting
and Submission Requirements for the
CYs 2020 and 2021 Reporting Periods/
FYs 2022 and 2023 Payment
Determinations
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41602 through 41607), we
finalized eCQM reporting and
submission requirements such that
hospitals submit one, self-selected
calendar quarter of data for four eCQMs
in the Hospital IQR Program measure set
for the CY 2019 reporting period/FY
2021 payment determination. Our
related information collection estimates
were discussed at 83 FR 41689 through
41694. In sections VIII.A.10.(d)(2) and
(3) of the preamble of this proposed
rule, we are proposing to extend the
current requirements for two additional
years, the CY 2020 reporting period/FY
2022 payment determination and the CY
2021 reporting period/FY 2023 payment
determination. We believe there will be
no change to the burden estimate due to
these proposals because the previous
burden estimate of 40 minutes per
hospital per year (10 minutes per record
× 4 eCQMs × 1 quarter) associated with
the eCQM reporting and submission
requirements finalized for the CY 2019
reporting period/FY 2021 payment
determination would also apply to the
CY 2020 reporting period/FY 2022
payment determination and the CY 2021
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19573
reporting period/FY 2023 payment
determination.
(2) Information Collection Burden
Estimate for Proposed eCQM Reporting
and Submission Requirements for the
CY 2022 Reporting Period/FY 2024
Payment Determination
In section VIII.A.10.d.(4) of the
preamble of this proposed rule, for the
CY 2022 reporting period/FY 2024
payment determination, we are
proposing to change the eCQM reporting
and submission requirements, such that
hospitals would be required to report
one, self-selected calendar quarter of
data for: (1) Three self-selected eCQMs,
and (2) the proposed Safe Use of
Opioids—Concurrent Prescribing eCQM
(NQF #3316e), for a total of four eCQMs.
We note that the number of calendar
quarters of data and total number of
eCQMs required would remain the
same. We believe there will be no
change to the burden estimate because
hospitals would still be required to
submit one, self-selected calendar
quarter of data for a total of four eCQMs
in the Hospital IQR Program measure
set.
(3) Information Collection Burden
Estimate for Proposal To Require That
EHRs Be Certified to All Available
eCQMs
In section VIII.A.10.d.(5)(B) of the
preamble of this proposed rule, we are
proposing to continue requiring that
EHRs be certified to all available eCQMs
in the Hospital IQR Program measure set
for the CY 2020 reporting period/FY
2022 payment determination and
subsequent years. We do not believe
that hospitals will experience an
increase in burden associated with this
proposal because the use of EHR
technology that is certified to all
available eCQMs has been required for
the Promoting Interoperability Program
(83 FR 41672). However, we refer
readers to section I.K. of Appendix A of
this proposed rule for a discussion of
the potential costs associated with this
proposal that are not strictly related to
information collection burden.
f. Summary of Information Collection
Burden Estimates for the Hospital IQR
Program
In summary, under OMB Control
Number 0938–1022, we estimate a total
information collection burden increase
of 2,211 hours associated with our
proposal to adopt the Hybrid HospitalWide All-Cause Readmission (Hybrid
HWR) measure and a total cost increase
related to this information collection of
approximately $83,266 (which also
reflects use of an updated hourly wage
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rate as discussed above), beginning with
the first voluntary reporting period
which runs July 1, 2021 through June
30, 2022. These are the total changes to
the information collection burden
estimates. We will submit the revised
information collection estimates to OMB
for approval under OMB Control
Number 0938–1022.
HOSPITAL IQR PROGRAM FY 2024 PAYMENT DETERMINATION INFORMATION COLLECTION BURDEN ESTIMATES
Annual recordkeeping and reporting requirements under OMB control No. 0938–1022
for the FY 2024 payment determination
Activity
Estimated
time per
record
(minutes)
Number
reporting
quarters
per year
Number of
IPPS
hospitals
reporting
Average
number
records
per
hospital
per
quarter
Hybrid HWR Measure Reporting .....
10
4
3,300
1
Annual
burden
(hours)
per
hospital
Proposed
annual
burden
(hours)
across
IPPS
hospitals
Previously
finalized
annual
burden
(hours)
across
IPPS
hospitals
Net
difference
in annual
burden
hours
0.67
2,211
N/A
2,211
Total Change in Information Collection Burden Hours: 2,211.
Total Cost Estimate: Updated Hourly Wage ($37.66) × Change in Burden Hours (2,211) = $83,266.
4. ICRs for PPS-Exempt Cancer Hospital
Quality Reporting (PCHQR) Program
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a. Background
As discussed in sections VIII.B. of the
preamble of this proposed rule, section
1866(k)(1) of the Act requires, for
purposes of FY 2014 and each
subsequent fiscal year, that a hospital
described in section 1886(d)(1)(B)(v) of
the Act (a PPS-exempt cancer hospital,
or a PCH) submit data in accordance
with section 1866(k)(2) of the Act with
respect to such fiscal year. There is no
financial impact to PCH Medicare
payment if a PCH does not participate.
We refer readers to the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41694
through 41696), the CY 2019 OPPS/ASC
final rule with comment period ((83 FR
59149 through 59153), and OMB
Control Number 0938–1175 for a
detailed discussion of the most recently
finalized burden estimates for the
program requirements that we have
previously adopted. Below we discuss
only changes in burden that would
result from the proposals in this
proposed rule.
In the FY 2018 IPPS/LTCH PPS final
rule, we finalized a proposal to utilize
the median hourly wage rate, in
accordance with the Bureau of Labor
Statistics (BLS), to calculate our burden
estimates going forward (82 FR 38505).
The BLS describes Medical Records and
Health Information Technicians as those
responsible for organizing and managing
health information data; therefore, we
believe it is reasonable to assume that
these individuals will be tasked with
abstracting clinical data for submission
for the PCHQR Program. In the FY 2019
IPPS/LTCH PPS final rule (83 FR
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17:51 May 02, 2019
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41695), we utilized a median hourly
wage of $18.29 per hour.836
We note that since then, more recent
wage data have become available, and
we are updating the wage rate used in
these calculations. The most recent data
from the Bureau of Labor Statistics
reflects a median hourly wage of
$18.83 837 per hour for a Medical
Records and Health Information
Technician professional. We have
finalized a policy to calculate the cost
of overhead, including fringe benefits, at
100 percent of the mean hourly wage
(82 FR 38505). This is necessarily a
rough adjustment, both because fringe
benefits and overhead costs vary
significantly from employer-to-employer
and because methods of estimating
these costs vary widely from study-tostudy. Nonetheless, we believe that
doubling the hourly wage rate ($18.83 ×
2 = $37.66) to estimate total cost is a
reasonably accurate estimation method
and allows for a conservative estimate of
hourly costs. This approach is
consistent with our previously finalized
burden calculation methodology (82 FR
38505). Accordingly, we calculate cost
burden to PCHs using a wage plus
benefits estimate of $37.66 per hour
throughout the discussion below.
836 In
the FY 2018 IPPS/LTCH PPS final rule (82
FR 38505), we finalized an hourly wage estimate of
$18.29 per hour, plus 100 percent overhead and
fringe benefits, for the PCHQR Program using
Bureau of Labor Statistics information.
837 Occupational Employment and Wages.
Available at: https://www.bls.gov/ooh/healthcare/
medical-records-and-health-informationtechnicians.htm.
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b. Estimated Burden of PCHQR Program
Proposals for the FY 2022 Program Year
(1) Proposed Removal of One WebBased Structural Measure
As discussed in section VIII.B.4. of
the preamble of this proposed rule, we
are proposing to remove one web-based,
structural measure beginning with the
FY 2022 program year: External Beam
Radiotherapy (EBRT) for Bone
Metastases (formerly NQF #1822). As
finalized in the FY 2019 IPPS/LTCH
PPS final rule, we utilize a time estimate
of 15-minutes per measure when
assessing web-based and/or structural
measures (83 FR 41694). As such, we
estimate a reduction of 15 minutes per
PCH, and a total annual reduction of
approximately 3 hours for all 11 PCHs
(.25 hour × 11 PCHs), due to the
proposed removal of this measure.
(2) Proposed New Quality Measure
Beginning With the FY 2022 Program
Year
In section VIII.B.5. of the preamble of
this proposed rule, we are proposing to
adopt the Surgical Treatment
Complications for Localized Prostate
Cancer claims-based measure beginning
with the FY 2022 program year. Because
this measure is claims-based, we do not
anticipate any increase in burden on
PCHs related to our proposal to adopt
this measure, as it does not require
facilities to submit any additional data.
c. Summary of Burden Estimates
Related to the PCHQR Program
Proposals for the FY 2022 Program Year
In summary, if our proposals to
remove the External Beam Radiotherapy
(EBRT) for Bone Metastases (formerly
NQF #1822) measure and to adopt the
Surgical Treatment Complications for
Localized Prostate Cancer claims-based
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measure are finalized as proposed, we
estimate an overall burden decrease of
approximately 3 hours across all 11
PCHs. Coupled with our estimated
salary costs, we estimate that these
proposed changes would result in a
reduction in annual labor costs of
approximately $113 (3 hours × $37.66
hourly labor cost) across the 11 PCHs
beginning with the FY 2022 PCHQR
Program. Further, the PCHQR Program
measure set would consist of 15
measures for the FY 2022 program year.
The burden associated with these
reporting requirements is currently
approved under OMB control number
0938–1175. The information collection
will be revised and submitted to OMB.
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5. ICRs for the Hospital Value-Based
Purchasing (VBP) Program
In section IV.H. of the preamble of
this proposed rule, we discuss proposed
requirements for the Hospital VBP
Program. Specifically, in this proposed
rule, with respect to quality measures,
we are proposing to calculate scores for
the five NHSN HAI measures used in
the Hospital VBP Program using the
same data that the HAC Reduction
Program uses for purposes of calculating
NHSN HAI measure scores under that
program, beginning on January 1, 2020
for CY 2020 measure data, which would
apply to the Hospital VBP Program
starting with data for the FY 2022
program year performance period.
Because scores for these measures will
be calculated using the same data that
we use to calculate scores for the same
measures in the HAC Reduction
Program, there will be no new data
collection burden associated with these
measures under the Hospital VBP
Program.
6. ICRs for the Long-Term Care Hospital
Quality Reporting Program (LTCH QRP)
In section VIII.C. of the preamble of
this proposed rule, we are proposing to
adopt two Transfer of Health
Information quality measures as well as
standardized patient assessment data
elements (SPADEs) beginning with the
FY 2022 LTCH QRP.
We estimate the data elements for the
two proposed Transfer of Health
Information quality measures will take
1.2 minutes of clinical staff time to
report data on discharge. We believe
that the additional LTCH CARE Data Set
data elements will be completed by
registered nurses and licensed
vocational nurses. Individual LTCHs
determine the staffing resources
necessary. We estimate 102,468
discharges from 415 LTCHs annually.
This equates to an increase of 2,049
hours in burden for all LTCHs (0.02
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hours × 102,468 discharges). Given 0.7
minutes of registered nurse time at
$70.72 per hour and 0.5 minutes of
licensed vocational nurse time at $43.96
per hour to complete an average of 247
sets of LTCH CARE Data Set
assessments per provider per year, we
estimated the total cost will be
increased by $289.76 per LTCH
annually, or $120,252 for all LTCHs
annually. This increase in burden will
be accounted for in the information
collection under OMB control number
0938–1163.
We estimate the proposed SPADEs
will take 11.3 minutes of clinical staff
time to report data on admission and
10.5 minutes of clinical staff time to
report data on discharge, for a total of
21.8 minutes. We believe that the
additional LTCH CARE Data Set data
elements will be completed by
registered nurses and licensed
vocational nurses. Individual LTCHs
determine the staffing resources
necessary. We estimate 102,468
discharges from 415 LTCHs annually.
This equates to an increase of 37,195
hours in burden for all LTCHs (0.363
hours × 102,468 discharges). Given 11.6
minutes of registered nurse time at
$70.72 per hour and 10.2 minutes of
licensed vocational nurse time at $43.96
per hour to complete an average of 247
sets of LTCH CARE Data Set
assessments per provider per year, we
estimated the total cost will be
increased by $5,209.86 per LTCH
annually, or $2,162,093 for all LTCHs
annually. This increase in burden will
be accounted for in the information
collection under OMB control number
0938–1163.
Overall, the proposed changes added
11.3 minutes of clinical staff time to
report data on admission and 11.7
minutes of clinical staff time to report
data on discharge, for a total of 23.0
minutes. As a result, the cost associated
with the proposed changes to the LTCH
QRP is estimated at $5,499.63 per LTCH
annually or $2,282,346 for all LTCHs
annually.
7. ICRs Relating to the HospitalAcquired Condition (HAC) Reduction
Program
In section IV.I. of the preamble of this
proposed rule, we discuss proposed
requirements for the HAC Reduction
Program. In this proposed rule, we are
not proposing to remove any measures
or adopt any new measures into the
HAC Reduction Program. The HAC
Reduction Program has adopted six
measures. We do not believe that the
claims-based CMS PSI 90 measure in
the HAC Reduction Program creates or
reduces any burden for hospitals
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19575
because it is collected using Medicare
FFS claims hospitals are already
submitting to the Medicare program for
payment purposes. We note the burden
associated with collecting and
submitting data for the HAI measures
(CDI, CAUTI, CLABSI, MRSA, and
Colon and Abdominal Hysterectomy
SSI) via the NHSN system is captured
under a separate OMB control number,
0920–0666, and therefore will not
impact our burden estimates.
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41478 through 41484), we
finalized our policy to validate NHSN
HAI measures under the HAC Reduction
Program, which will require hospitals to
submit validation templates for the
NHSN HAI measures beginning with Q3
CY 2020 discharges. We previously
estimated that this policy will result in
a net neutral shift of 43,200 hours and
approximately $1,580,256.00 with no
overall net increase in burden to the
HAC Reduction Program (83 FR 41151).
OMB has currently approved these
43,200 hours of burden and
approximately $1.6 million under OMB
control number 0938–1352, accounting
for information collection requirements
experienced by 3,300 IPPS hospitals for
FY 2021 program year.
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41697), we used an hourly
wage estimate of $18.29 per hour to
estimate information collection costs.838
We note that, since then, more recent
wage data have become available, and
we are updating the wage rate used in
these calculations in this proposed rule.
The most recent data from the Bureau of
Labor Statistics reflects a median hourly
wage of $18.83 839 per hour for a
Medical Records and Health
Information Technician professional.
We calculate the cost of overhead,
including fringe benefits, at 100 percent
of the hourly wage estimate, as has been
done under the Hospital IQR Program in
the previous years (82 FR 38504 through
38505; 83 FR 41689 through 41690).
This is necessarily a rough adjustment,
both because fringe benefits and
overhead costs vary significantly from
employer-to-employer and because
methods of estimating these costs vary
widely from study-to-study.
Nonetheless, we believe that doubling
the hourly wage rate ($18.83 × 2 =
$37.66) to estimate total cost is a
838 In the FY 2019 IPPS/LTCH PPS final rule (83
FR 41697), we finalized an hourly wage estimate of
$18.29 per hour, plus 100 percent overhead and
fringe benefits, for the HAC Reduction Program
using Bureau of Labor Statistics information.
839 Occupational Employment and Wages.
Available at: https://www.bls.gov/ooh/healthcare/
medical-records-and-health-informationtechnicians.htm.
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reasonably accurate estimation method.
Accordingly, we calculate cost burden
to hospitals using a wage plus benefits
estimate of $37.66 per hour.
We estimate a reporting burden of 80
hours (20 hours per record × 1 record
per hospital per quarter × 4 quarters) per
hospital selected for validation per year
to submit the CLABSI and CAUTI
templates, and 64 hours (16 hours per
record × 1 record per hospital per
quarter × 4 quarters) per hospital
selected for validation per year to
submit the MRSA and CDI templates.
We estimate a total burden shift of
43,200 hours ([80 hours per hospital to
submit CLABSI and CAUTI templates +
64 hours per hospital to submit MRSA
and CDI templates] × 300 hospitals
selected for validation) and
approximately $1,626,912.00 (43,200
hours × $37.66 per hour 840) as a result
of our policy to validate NHSN HAI data
under the HAC Reduction Program. A
non-substantive information collection
request will be submitted to OMB under
control number 0938–1352 to account
for the updated costs.
8. ICRs Relating to the Hospital
Readmissions Reduction Program
In section IV.G. of the preamble of
this proposed rule, we discuss proposed
requirements for the Hospital
Readmissions Reduction Program. In
this proposed rule, we are not proposing
to adopt any new measures into the
Hospital Readmissions Reduction
Program. All six of the Hospital
Readmissions Reduction Program’s
measures are claims-based measures.
We do not believe that continuing to use
these claims-based measures creates or
reduces any burden for hospitals
because they will continue to be
collected using Medicare FFS claims
that hospitals are already submitting to
the Medicare program for payment
purposes.
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9. ICRs for the Promoting
Interoperability Programs
a. Background
In section VIII.D. of the preamble of
this proposed rule, we discuss proposed
requirements for the Promoting
Interoperability Programs. OMB has
currently approved 623,562.19 total
burden hours and approximately $61
million under OMB control number
0938–1278, accounting for information
collection burden experienced by
approximately 3,300 eligible hospitals
and CAHs (Medicare-only and dual840 Occupational Employment and Wages.
Available at: https://www.bls.gov/ooh/healthcare/
medical-records-and-health-informationtechnicians.htm.
VerDate Sep<11>2014
17:51 May 02, 2019
Jkt 247001
eligible) that attest to CMS under the
Medicare Promoting Interoperability
Program. The collection of information
burden analysis below will focus on
eligible hospitals and CAHs that attest
to the objectives and measures, and
report CQMs, under the Medicare
Promoting Interoperability Program for
the reporting period in CY 2020.
b. Summary of Proposals for Eligible
Hospitals and CAHs That Attest to CMS
Under the Medicare Promoting
Interoperability Program for CY 2020
In section VIII.D.3.b. of the preamble
of this proposed rule, we are proposing
to change the reporting requirement for
the Query of Prescription Drug
Monitoring Program (PDMP) measure
from numerator and denominator to a
‘‘yes/no’’ response beginning with CY
2019 for eligible hospitals and CAHs
that attest to CMS under the Medicare
Promoting Interoperability Program. We
expect this proposal to affect our
collection of information burden
estimates for CY 2019 and CY 2020.
This proposed rule also includes the
following proposals for eligible
hospitals and CAHs that attest to CMS
under the Medicare Promoting
Interoperability Program, which we do
not expect to affect our collection of
information burden estimates for CY
2020: (1) Eliminate the requirement that,
for the FY 2020 payment adjustment
year, for an eligible hospital that has not
successfully demonstrated it is a
meaningful EHR user in a prior year, the
EHR reporting period in CY 2019 must
end before and the eligible hospital
must successfully register for and attest
to meaningful use no later than October
1, 2019 deadline; (2) establish an EHR
reporting period of a minimum of any
continuous 90-day period in CY 2021
for new and returning participants
(eligible hospitals and CAHs) in the
Medicare Promoting Interoperability
Program attesting to CMS; (3) require
that the Medicare Promoting
Interoperability Program measure
actions must occur within the EHR
reporting period beginning with the
EHR reporting period in CY 2020; (4)
revise the Query of PDMP measure to
make it an optional measure worth five
bonus points in CY 2020, remove the
exclusions associated with this measure
in CY 2020, and clearly state our
intended policy that the measure is
worth a full 5 bonus points in CY 2019
and CY 2020; (5) change the maximum
points available for the e-Prescribing
measure to 10 points beginning in CY
2020, in the event we finalize the
proposed changes to the Query of PDMP
measure; (6) remove the Verify Opioid
Treatment Agreement measure
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beginning in CY 2020 and clearly state
our intended policy that the measure is
worth a full 5 bonus points in CY 2019;
and (7) revise the Support Electronic
Referral Loops by Receiving and
Incorporating Health Information
measure to more clearly capture the
previously established policy regarding
CHERT use. We also are proposing to
amend our regulations to incorporate
several of these proposals.
Although we are proposing to remove
the Verify Opioid Treatment Agreement
measure, we do not anticipate a change
of burden for the Electronic Prescribing
objective that this measure is associated
with. In the Medicare and Medicaid
Programs; Electronic Health Record
Incentive Program—Stage 3 and
Modifications to Meaningful Use in
2015 Through 2017 final rule (80 FR
62917), we estimated it would take an
individual provider or designee
approximately 10 minutes to attest to
each objective and associated measure
that requires a numerator and
denominator to be generated. For
objectives and associated measures
requiring a numerator and denominator,
we limit our estimates to actions taken
in the presence of certified EHR
technology. We do not anticipate a
provider will maintain two
recordkeeping systems when certified
EHR technology is present. Therefore,
we assume that all patient records that
will be counted in the denominator will
be kept using certified EHR technology.
In addition, our estimates, provided in
Table 21—Burden Estimates Stage 3—
495.24 of the Medicare and Medicaid
Programs; Electronic Health Record
Incentive Program—Stage 3 and
Modifications to Meaningful Use in
2015 Through 2017 final rule (80 FR
62918 through 62922), are calculated at
the objective level, not for each
individual measure being reported. We
relied on this approach to create our
burden estimates and determined that
removing the Verify Opioid Treatment
Agreement measure would not change
burden since eligible hospitals and
CAHs would still have to calculate a
numerator and denominator for the ePrescribing measure, which is
associated with the Electronic
Prescribing objective.
We anticipate that the burden will
decrease for the Electronic Prescribing
objective due to the proposal to require
a ‘‘yes/no’’ response instead of a
numerator/denominator manual
calculation for the Query of PDMP
measure. The current numerator/
denominator response for the Query of
PDMP measure may require an eligible
hospital or CAH to manually calculate
the numerators and denominators
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outside of the certified EHR technology.
The burden that was calculated for the
Electronic Prescribing objective
included the numerator/denominator
calculated by the certified EHR
technology, which is 10 minutes per
respondent, plus the calculations
performed manually outside of the
certified EHR technology for the Query
of PDMP measure, which we estimated
at 40 minutes per respondent. We
estimated that all eligible hospitals and
CAHs would take 40 minutes per
respondent to complete this measure by
using the data found in certified EHR
technology and manually tracking the
number of times that they query the
PDMP outside of certified EHR
technology. This is a reduction in total
burden of 40 minutes per respondent
from FY 2019 IPPS/LTCH PPS final rule
(83 FR 41698) reporting estimates which
we estimate a total burden estimate of
7 hours and 10.8 minutes per
respondent. With the proposed
reporting requirement change for the
Query of PDMP measure from a
numerator and denominator to a ‘‘yes/
no’’ response beginning CY 2019, the
certified EHR technology would be able
to capture all of the actions required for
Proposal
Change reporting requirement for the
Query of PDMP
measure.
Estimated time for
reporting CY 2019
3300 eligible hospitals and CAHs ×
40 minutes.
d. Summary of Collection of Information
Burden Estimates
1. Summary of Estimates Used To
Calculate the Collection of Information
Burden
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In the Medicare and Medicaid
Programs; Electronic Health Record
Incentive Program—Stage 3 and
Modifications to Meaningful Use in
2015 Through 2017 final rule (80 FR
62917), we estimated it would take an
individual provider or designee
approximately 10 minutes to attest to
each objective and associated measure
that requires a numerator and
the measures associated with the
Electronic Prescribing objective; as a
result, we estimate 10 minutes per
respondent for this objective.
In section VIII.D.6. of the preamble of
this proposed rule, we are making a
number of proposals with respect to the
reporting of CQM data, including
proposing to add two opioid-related
measures beginning with the reporting
period in CY 2021 and proposing the
reporting period, reporting criteria,
submission period, and form and
method requirements for CQM reporting
in CY 2020. However, for the reporting
period in CY 2020, these proposals are
continuations of current policies and
therefore we do not believe that there
would be a change in burden for CY
2020.
c. Information Collection Burden
Estimates for the Proposed Update to
the Query of PDMP Measure
In section VIII.D.3.b. of the preamble
of this proposed rule, we are proposing
to change the Query of PDMP measure’s
reporting requirement from a numerator
and denominator to a ‘‘yes/no’’ response
beginning in CY 2019. We stated in the
FY 2019 IPPS/LTCH PPS final rule (83
Total time
(+/¥ hours) for CY
2019
¥132,000 minutes or
¥2,200 hours.
Estimated time for
reporting CY 2020
3300 eligible hospitals and CAHs ×
47 minutes.
denominator to be generated. The
measures that require a ‘‘yes/no’’
response would take approximately one
minute to complete. We estimated that
the Security Risk Analysis measure
would take approximately 6 hours for
an individual provider or designee to
complete (we note this measure is still
part of the program, but is not subject
to performance-based scoring). We
continue to believe these are
appropriate burden estimates for
reporting and have used this
methodology in our proposed collection
of information burden estimates for this
proposed rule.
FR 41652) that we acknowledge that due
to the varying integration of PDMPs into
EHR systems, additional time, workflow
changes and manual data capture and
calculation would be needed to
complete the query. This would result
in some eligible hospitals and CAHs
having to manually calculate the
numerator and denominator for the
Query of PDMP measure. We estimated
that the action for eligible hospitals and
CAHs to manually capture this measure
would be a total of 40 minutes
respectively for CY 2019 and CY 2020.
By proposing to reduce the Query of
PDMP measure reporting requirement
from a numerator and denominator to a
‘‘yes/no’’ response, manual calculation
would not be required by eligible
hospitals and CAHs. We estimate that
the change in reporting requirement for
the Query of PDMP measure would
result in a reduction of collection of
information burden of 2,200 hours for
eligible hospitals and CAHs that attest
to CMS under the Medicare Promoting
Interoperability Program for CY 2020.
The total saving for CY 2019 and CY
2020 is 4,400 collection of information
burden hours.
Total time
(+/¥ hours) for CY
2020
Total time
(+/¥ hours) for CYs
2019 and 2020
¥132,100 minutes or
¥2,200 hours.
¥264,000 minutes or
¥4,400 hours.
Given the proposals in this proposed
rule, we estimate a total burden estimate
of 6 hours 31 minutes per respondent.
This is a reduction in total burden of 40
minutes per respondent from FY 2019
IPPS/LTCH PPS final rule (83 FR 41698)
reporting estimates which we estimate a
total burden estimate of 7 hours and
10.8 minutes per respondent. This
represents a reduction of 2,200 total
reporting hours (40 minutes * 3300
respondents = 2,200 hours) for the
Medicare Promoting Interoperability
Program.
MEDICARE PROMOTING INTEROPERABILITY PROGRAM ESTIMATED ANNUAL INFORMATION COLLECTION BURDEN PER
RESPONDENT FOR CY 2020: § 495.24(e)—OBJECTIVES/MEASURES MEDICARE
[Eligible hospitals/CAHs]
Burden estimate per
eligible hospital
and CAH
Objective
Measure
N/A ........................................................
Security Risk Analysis ..........................................................................................
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MEDICARE PROMOTING INTEROPERABILITY PROGRAM ESTIMATED ANNUAL INFORMATION COLLECTION BURDEN PER
RESPONDENT FOR CY 2020: § 495.24(e)—OBJECTIVES/MEASURES MEDICARE—Continued
[Eligible hospitals/CAHs]
Burden estimate per
eligible hospital
and CAH
Objective
Measure
Electronic Prescribing ...........................
e-Prescribing measure .........................................................................................
Query of PDMP.
Support Electronic Referral Loops by Sending Health Information .....................
Support Electronic Referral Loops by Receiving and Incorporating Health.
Provide Patients Electronic Access to Their Health Information .........................
• Syndromic Surveillance Reporting ...................................................................
• Immunization Registry Reporting
• Electronic Case Reporting
• Public Health Registry Reporting
• Clinical Data Registry—Reporting
• Electronic Reportable Laboratory Result Reporting
10 minutes.
...............................................................................................................................
6 hours 31 minutes
(6.52 hours).
Health Information Exchange ...............
Provider to Patient Exchange ...............
Public Health and Clinical Data Exchange.
Total Burden Estimate per Respondent.
2. Hourly Labor Costs
In the Medicare and Medicaid
Programs; Electronic Health Record
Incentive Program—Stage 3 and
Modifications to Meaningful Use in
2015 Through 2017 final rule (80 FR
62917), we estimated a mean hourly rate
of $63.46 for the staff involved in
attesting to EHR technology, meaningful
use objectives and associated measures,
and electronically submitting the
clinical quality measures. We also used
the mean hourly rate of $67.25 for the
staff involved in attesting the objectives
and measures under § 495.24(e) in the
FY 2019 IPPS/LTCH PPS final rule (83
FR 41698). Based on more recent 2017
data from the Bureau of Labor Statistics
10 minutes.
10 minutes.
1 minute.
(BLS), we are proposing to update this
rate to $68.22 per hour for CY 2020.841
Based on the number of respondents
for the Medicare Promoting
Interoperability Program, the estimated
burden response per respondent and the
hourly labor cost of reporting, we
estimate a total cost of $1,442,512.50 for
CY 2019 and $1,463,319 for CY 2020.
MEDICARE PROMOTING INTEROPERABILITY PROGRAM ESTIMATED ANNUAL INFORMATION COLLECTION BURDEN (TOTAL
COST) FOR CY 2019
Regulations section
Number of
respondents
Number of
responses
Burden
per response
(hours)
Total annual
burden
(hours)
Hourly
labor cost
of reporting
($)
Total cost
($)
§ 495.24(e) ...............................................
3,300
3,300
6.5
21,494
$67.25
1,442,512.50
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MEDICARE PROMOTING INTEROPERABILITY PROGRAM ESTIMATED ANNUAL INFORMATION COLLECTION BURDEN (TOTAL
COST) FOR CY 2020
Regulations section
Number of
respondents
Number of
responses
Burden
per response
(hours)
Total annual
burden
(hours)
Hourly
labor cost
of reporting
($)
Total cost
($)
§ 495.24(e) ...............................................
3,300
3,300
6.5
21,494
68.22
1,463,319
This estimate takes into account the
reduction of 2,200 total reporting hours
per CY and the finalized hourly labor
cost for CY 2019 and the proposed
updated hourly labor cost for CY 2020.
This estimate represents a cost
reduction of $150,909.00
($1,593,421.50¥$1,442,512.50) for the
CY 2019 and $130,102.50
($1,593,421.50¥$1,463,319) for the CY
2020 when comparing to the total cost
from the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41698) estimates.
10. ICRs for New Technology Add-On
Payments
Section II.H. of the preamble of this
proposed rule discusses new technology
add-on payments. Applicants for these
add-on payments must submit a formal
request that includes information used
to demonstrate that the medical service
or technology meets the new technology
add-on payment criteria. The burden
associated with this application process
is the time and effort necessary for an
applicant to complete and submit the
application and associated supporting
information. The burden associated
with this requirement is subject to the
PRA, and is currently approved under
OMB control number 0938–1347.
Section II.H.8. of the preamble of this
proposed rule discusses a proposed
alternative inpatient new technology
841 https://www.bls.gov/oes/2017/may/
oes231011.htm.
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add-on payment pathway for
transformative new devices. The burden
associated with the changes that would
be needed to the new technology addon payment application process if this
proposal is finalized will be discussed
in a forthcoming revision of the
information collection requirement
(ICR) request currently approved under
OMB control number 0938–1347. The
revised ICR request is currently under
development. However, upon
completion of the revised ICR request,
we will detail the proposed revisions of
the ICR and publish the required 60-day
and 30-day notices to solicit public
comments in accordance with the
requirements of the PRA.
11. Summary of All Burden in This
Proposed Rule
Below is a chart reflecting the total
burden and associated costs for the
provisions included in this proposed
rule.
Burden hours
increase/decrease
(+/¥) *
Information collection requests
19579
Cost
(+/¥) *
Application for GME Resident Slots ....................................................................................................
Hospital Inpatient Quality Reporting Program .....................................................................................
Hospital Value-Based Purchasing Program 1 ......................................................................................
HAC Reduction Program .....................................................................................................................
Hospital Readmissions Reduction Program 2 ......................................................................................
Promoting Interoperability Programs ...................................................................................................
LTCH Quality Reporting Program .......................................................................................................
PPS-Exempt Cancer Hospital Quality Reporting Program .................................................................
N/A
+2,211
N/A
N/A
N/A
¥2,200
+39,244
¥3
N/A
+$83,266
N/A
N/A
N/A
¥$130,102
+$2,282,346
¥$113
Total ..............................................................................................................................................
+39,252
+$2,235,397
* Numbers rounded.
1 Because the FY 2022 Hospital VBP Program will use data that are also used to calculate quality measures in other programs and Medicare
fee-for-service claims data that hospitals are already submitting to CMS for payment purposes, the program does not anticipate any change in
burden associated with this proposed rule.
2 Because the Hospital Readmissions Reduction Program measures are all collected via Medicare fee-for-service claims that hospitals are already submitting to CMS for payment purposes, there is no unique information collection burden associated with the program.
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C. Response to Comments
Because of the large number of public
comments we normally receive on
Federal Register documents, we are not
able to acknowledge or respond to them
individually. We will consider all
comments we receive by the date and
time specified in the DATES section of
this proposed rule, and, when we
proceed with a subsequent document(s),
we will respond to those comments in
the preamble to that document.
XI. Provider Reimbursement Review
Board Appeals
The Provider Reimbursement Review
Board (PRRB) was established in 1972 to
handle Medicare Part A provider cost
reimbursement appeals. Congress’ intent
with the creation of the PRRB was to
provide an administrative appeals
forum for Medicare payment disputes,
and an opportunity for providers who
are dissatisfied with the reimbursement
determination made by their Medicare
contractor or CMS to request and be
afforded a hearing to adjudicate the
issues involved.
Between 2015 and 2017, Medicare
Part A providers filed cost report
appeals at a higher rate than were
resolved. On average, 3,000 appeals
were filed per year and approximately
2,200 were resolved. The appeals
inventory is now over 10,000 (including
approximately 5,000 group appeals).
The resolution process can take an
average of 4 years, excluding cases in
district court. CMS, providers, and
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MACs must expend considerable time
and resources preparing and processing
appeals.
As part of CMS’ ongoing efforts to
reduce provider burden, we are
examining the growing inventory of
PRRB appeals. To date, we have
identified certain action initiatives that
could be implemented with the goal to:
Decrease the number of appeals
submitted; decrease the number of
appeals in inventory; reduce the time to
resolution; and increase customer
satisfaction. Some examples of these
initiatives are as follows:
• Develop standard formats and more
structured data for submitting cost
reports and supplemental and
supporting documentation.
• Create more clear standards for
documentation to be used in auditing of
cost reports.
• Enhance the Medicare Cost Report
Electronic Filing (MCReF) portal by
creating more automation for letter
notifications, increasing provider
transparency during the cost report
reconciliation process, and improving
the ability for providers to see where
they are in the process.
• Explore opportunities to improve
the process for claiming DSH Medicaid
eligible days as part of the annual
Medicare cost report submission and
settlement process.
• Utilize artificial intelligence (AI)
design risk protocols based on historical
audit outcomes and empirical data to
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drive the audit and desk review
processes.
• Triage the current appeals
inventory and expand the provider’s
utilization of PRRB rules 46 and 47.2.3
(that is, resolve appeal issues through
the cost report reopening process).
As part of this effort, in section IV.F.5.
of the preamble of this proposed rule,
we are requesting public comments on
PRRB appeals related to a hospital’s
Medicaid fraction in the DSH payment
adjustment calculation.
List of Subjects
42 CFR Part 412
Administrative practice and
procedure, Health facilities, Medicare,
Puerto Rico, Reporting and
recordkeeping requirements.
42 CFR Part 413
Health facilities, Kidney diseases,
Medicare, Puerto Rico, Reporting and
recordkeeping requirements.
42 CFR Part 495
Administrative practice and
procedure, Electronic health records,
Health facilities, Health professions,
Health maintenance organizations
(HMO), Medicaid, Medicare, Penalties,
Privacy, Reporting and recordkeeping
requirements.
For the reasons set forth in the
preamble, the Centers for Medicare and
Medicaid Services is proposing to
amend 42 CFR Chapter IV as set forth
below:
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PART 412—PROSPECTIVE PAYMENT
SYSTEMS FOR INPATIENT HOSPITAL
SERVICES
1. The authority citation for part 412
is revised to read as follows:
■
Authority: 42 U.S.C. 1302 and 1395hh.
2. Section 412.64 is amended by
adding paragraph (d)(1)(viii) to read as
follows:
■
§ 412.64 Federal rates for inpatient
operating costs for Federal fiscal year 2005
and subsequent fiscal years.
*
*
*
*
*
(d) * * *
(1) * * *
(viii) For fiscal year 2020 and
subsequent fiscal years, the percentage
increase in the market basket index (as
defined in § 413.40(a)(3) of this chapter)
for prospective payment hospitals,
subject to the provisions of paragraphs
(d)(2) and (3) of this section, less a
multifactor productivity adjustment (as
determined by CMS).
*
*
*
*
*
■ 3. Section 412.87 is amended by—
■ a. Redesignating paragraph (c) as
paragraph (d);
■ b. Adding a new paragraph (c); and
■ c. Revising newly redesignated
paragraph (d).
The addition and revision read as
follows:
§ 412.87 Additional payment for new
medical services and technologies: General
provisions.
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*
*
*
*
*
(c) Eligibility criteria for alternative
pathway for certain transformative new
devices. For discharges occurring on or
after October 1, 2020, CMS provides for
additional payments (as specified in
§ 412.88) beyond the standard DRG
payments and outlier payments to a
hospital for discharges involving
covered inpatient hospital services that
are new medical devices, if the
following conditions are met:
(1) A new medical device has
received Food and Drug Administration
(FDA) marketing authorization and is
part of the FDA’s Breakthrough Devices
Program.
(2) A medical device that meets the
condition in paragraph (c)(1) of this
section will be considered new for not
less than 2 years and not more than 3
years after the point at which data begin
to become available reflecting the
inpatient hospital code (as defined in
section 1886(d)(5)(K)(iii) of the Social
Security Act) assigned to the new
technology (depending on when a new
code is assigned and data on the new
technology become available for DRG
recalibration). After CMS has
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recalibrated the DRGs, based on
available data, to reflect the costs of an
otherwise new medical technology, the
medical technology will no longer be
considered ‘‘new’’ under the criterion of
this section.
(3) The new medical device meets the
conditions described in paragraph (b)(3)
of this section.
(d) Announcement of determinations
and deadline for consideration of new
medical service or technology
applications. CMS will consider
whether a new medical service or
technology meets the eligibility criteria
specified in paragraph (b) or paragraph
(c) of this section and announce the
results in the Federal Register as part of
its annual updates and changes to the
IPPS. CMS will only consider any
particular new medical service or
technology for add-on payments under
paragraph (b) or paragraph (c) of this
section, and not both. In addition, CMS
will only consider, for add-on payments
for a particular fiscal year, an
application for which the new medical
service or technology has received FDA
approval or clearance by July 1 prior to
the particular fiscal year.
■ 4. Section 412.88 is amended by
revising paragraphs (a)(2) and (b) to read
as follows:
§ 412.88 Additional payment for new
medical service or technology.
(a) * * *
(2)(i) For discharges occurring before
October 1, 2019. If the costs of the
discharge (determined by applying the
operating cost-to-charge ratios as
described in § 412.84(h)) exceed the full
DRG payment, an additional amount
equal to the lesser of—
(A) 50 percent of the costs of the new
medical service or technology; or
(B) 50 percent of the amount by which
the costs of the case exceed the standard
DRG payment.
(ii) For discharges occurring on or
after October 1, 2019. If the costs of the
discharge (determined by applying the
operating cost-to-charge ratios as
described in § 412.84(h)) exceed the full
DRG payment, an additional amount
equal to the lesser of—
(A) 65 percent of the costs of the new
medical service or technology; or
(B) 65 percent of the amount by which
the costs of the case exceed the standard
DRG payment.
(b)(1) For discharges occurring before
October 1, 2019. Unless a discharge case
qualifies for outlier payment under
§ 412.84, Medicare will not pay any
additional amount beyond the DRG
payment plus 50 percent of the
estimated costs of the new medical
service or technology.
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(2) For discharges occurring on or
after October 1, 2019. Unless a
discharge case qualifies for outlier
payment under § 412.84, Medicare will
not pay any additional amount beyond
the DRG payment plus 65 percent of the
estimated costs of the new medical
service or technology.
■ 5. Section 412.101 is amended by
revising paragraph (e) to read as follows:
§ 412.101 Special treatment: Inpatient
hospital payment adjustment for lowvolume hospitals.
*
*
*
*
*
(e) Special treatment regarding
hospitals operated by the Indian Health
Service (IHS) or a Tribe. (1) For
discharges occurring in FY 2018 and
subsequent fiscal years—
(i) A hospital operated by the IHS or
a Tribe will be considered to meet the
applicable mileage criterion specified
under paragraph (b)(2) of this section if
it is located more than the specified
number of road miles from the nearest
subsection (d) hospital operated by the
IHS or a Tribe.
(ii) A hospital, other than a hospital
operated by the IHS or a Tribe, will be
considered to meet the applicable
mileage criterion specified under
paragraph (b)(2) of this section if it is
located more than the specified number
of road miles from the nearest
subsection (d) hospital other than a
subsection (d) hospital operated by the
IHS or a Tribe.
(2) Subject to the requirements set
forth in § 405.1885 of this chapter, a
hospital may request the application of
the policy described in paragraph (e)(1)
of this section for discharges occurring
in FY 2011 through FY 2017.
■ 6. Section 412.103 is amended by—
■ a. Revising paragraph (b)(3);
■ b. Adding paragraph (g)(1)(iii);
■ c. Revising paragraph (g)(2)(iii); and
■ d. Adding paragraphs (g)(3) and (4).
The revisions and additions read as
follows:
§ 412.103 Special treatment: Hospitals
located in urban areas and that apply for
reclassification as rural.
*
*
*
*
*
(b) * * *
(3) Submission of application. An
application may be submitted to the
CMS Regional Office by the requesting
hospital by mail or by facsimile or other
electronic means.
*
*
*
*
*
(g) * * *
(1) * * *
(iii) The provisions of paragraphs
(g)(1)(i) and (ii) of this section are
effective for all written requests
submitted by hospitals before October 1,
2019 to cancel rural reclassifications.
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(2) * * *
(iii) The provisions of paragraphs
(g)(2)(i) and (ii) of this section are
effective for all written requests
submitted by hospitals on or after
October 1, 2007 and before October 1,
2019, to cancel rural reclassifications.
(3) Cancellation of rural
reclassification on or after October 1,
2019. For all written requests submitted
by hospitals on or after October, 1, 2019
to cancel rural reclassifications, a
hospital may cancel its rural
reclassification by submitting a written
request to the CMS Regional Office not
less than 120 days prior to the end of
a Federal fiscal year. The hospital’s
cancellation of the classification is
effective beginning with the next
Federal fiscal year.
(4) Special rule for hospitals that opt
to receive county out-migration
adjustment. A rural reclassification will
be considered canceled effective for the
next Federal fiscal year when a hospital,
by submitting a request to CMS within
45 days of the date of public display of
the proposed rule for the next Federal
fiscal year at the Office of the Federal
Register, opts to accept and receives its
county out-migration wage index
adjustment determined under section
1886(d)(13) of the Act in lieu of its
geographic reclassification described
under section 1886(d)(8)(B) of the Act.
■ 7. Section 412.106 is amended by
adding paragraph (g)(1)(iii)(C)(6) to read
as follows:
§ 412.106 Special treatment: Hospitals that
serve a disproportionate share of lowincome patients.
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*
*
*
*
*
(g) * * *
(1) * * *
(iii) * * *
(C) * * *
(6) For fiscal year 2020, CMS will base
its estimates of the amount of hospital
uncompensated care on data on
uncompensated care costs, defined as
charity care costs plus non-Medicare
and non-reimbursable Medicare bad
debt costs from 2015 cost reports from
the most recent HCRIS database extract,
except that, for Puerto Rico hospitals
and Indian Health Service or Tribal
hospitals, CMS will base its estimates
on utilization data for Medicaid and
Medicare SSI patients, as determined by
CMS in accordance with paragraphs
(b)(2)(i) and (b)(4) of this section, using
data on Medicaid utilization from 2013
cost reports from the most recent HCRIS
database extract and the most recent
available year of data on Medicare SSI
utilization (or, for Puerto Rico hospitals,
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a proxy for Medicare SSI utilization
data);
*
*
*
*
*
■ 8. Section 412.152 is amended by
revising the definitions of ‘‘Aggregate
payments for excess readmissions’’,
‘‘Applicable condition’’, ‘‘Base
operating DRG payment amount’’, and
‘‘Dual-eligible’’ to read as follows:
§ 412.152 Definitions for the Hospital
Readmissions Reduction Program.
*
*
*
*
*
Aggregate payments for excess
readmissions is, for a hospital for the
applicable period, the sum, for the
applicable conditions, of the product for
each applicable condition of:
(1) The base operating DRG payment
amount for the hospital for the
applicable period for such condition or
procedure;
(2) The number of admissions for
such condition or procedure for the
hospital for the applicable period;
(3) The excess readmission ratio for
the hospital for the applicable period
minus the peer-group median excess
readmission ratio (ERR); and
(4) The neutrality modifier, a
multiplicative factor that equates total
Medicare savings under the current
stratified methodology to the previous
non-stratified methodology.
Applicable condition is a condition or
procedure selected by the Secretary—
(1) Among the conditions and
procedures for which—
(i) Readmissions represent conditions
or procedures that are high volume or
high expenditures; and
(ii) Measures of such readmissions
have been endorsed by the entity with
a contract under section 1890(a) of the
Act and such endorsed measures have
exclusions for readmissions that are
unrelated to the prior discharge (such as
a planned readmission or transfer to
another applicable hospital); or
(2) Among other conditions and
procedures as determined appropriate
by the Secretary. In expanding the
applicable conditions, the Secretary will
seek endorsement of the entity with a
contract under section 1890(a) of the
Act, but may apply such measures
without such an endorsement in the
case of a specified area or medical topic
determined appropriate by the Secretary
for which a feasible and practical
measure has not been endorsed by the
entity with a contract under section
1890(a) of the Act as long as due
consideration is given to measures that
have been endorsed or adopted by a
consensus organization identified by the
Secretary.
*
*
*
*
*
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19581
Base operating DRG payment amount
is the wage-adjusted DRG operating
payment plus any applicable new
technology add-on payments under
subpart F of this part. This amount is
determined without regard to any
payment adjustments under the
Hospital Value-Based Purchasing
Program, as specified under § 412.162.
This amount does not include any
additional payments for indirect
medical education under § 412.105, the
treatment of a disproportionate share of
low-income patients under § 412.106,
outliers under subpart F of this part, and
a low volume of discharges under
§ 412.101. With respect to a sole
community hospital that receives
payments under § 412.92(d) or a
Medicare-dependent, small rural
hospital that receives payments under
§ 412.108(c), this amount also includes
the difference between the hospitalspecific payment rate and the Federal
payment rate determined under subpart
D of this part. With respect to a hospital
that is paid under section 1814(b)(3) of
the Act, this amount is an amount equal
to the wage-adjusted DRG payment
amount plus new technology payments
that would be paid to such hospitals,
absent the provisions of section
1814(b)(3) of the Act.
Dual-eligible. (1) For payment
adjustment factor calculations prior to
the FY 2021 program year, is a patient
beneficiary who has been identified as
having full benefit status in both the
Medicare and Medicaid programs in the
State Medicare Authorization Act
(MMA) files for the month the
beneficiary was discharged from the
hospital; and
(2) For payment adjustment factor
calculations beginning in the FY 2021
program year, is a patient beneficiary
who has been identified as having full
benefit status in both the Medicare and
Medicaid programs in data sourced from
the State MMA files for the month the
beneficiary was discharged from the
hospital, except for those patient
beneficiaries who die in the month of
discharge, which will be identified
using the previous month’s data as
sourced from the State MMA files.
*
*
*
*
*
■ 9. Section 412.154 is amended by
redesignating paragraph (e)(4) as
paragraph (e)(6) and adding paragraphs
(e)(4) and (5) to read as follows:
§ 412.154 Payment adjustments under the
Hospital Readmissions Reduction Program.
*
*
*
*
*
(e) * * *
(4) The neutrality modifier.
(5) The proportion of dual-eligibles.
*
*
*
*
*
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10. Section 412.172 is amended by
revising paragraphs (f)(2) and (4) to read
as follows:
■
§ 412.172 Payment adjustments under the
Hospital-Acquired Condition Reduction
Program.
*
*
*
*
*
(f) * * *
(2) Hospitals will have a period of 30
days after the receipt of the information
provided under paragraph (f)(1) of this
section to review and submit corrections
for the hospital-acquired condition
program scores for each condition that
is used to calculate the total hospitalacquired condition score for the fiscal
year.
*
*
*
*
*
(4) CMS will post the total hospitalacquired condition score and the score
on each measure for each hospital on
the Hospital Compare website.
*
*
*
*
*
■ 11. Section 412.230 is amended by
revising paragraph (a)(4) to read as
follows:
§ 412.230 Criteria for an individual hospital
seeking redesignation to another rural area
or an urban area.
(a) * * *
(4) Application of criteria. In applying
the numeric criteria contained in
paragraphs (b)(1) and (2) and (d)(1)(iii)
and (iv) of this section, rounding of
numbers to meet the mileage or
qualifying percentage standards is not
permitted.
*
*
*
*
*
■ 12. Section 412.256 is amended by
revising paragraph (a)(1) to read as
follows:
§ 412.256
Application requirements.
(a) * * *
(1) An application must be submitted
to the MGCRB according to the method
prescribed by the MGCRB.
*
*
*
*
*
■ 13. Section 412.522 is amended by
adding paragraphs (d)(3) through (6) to
read as follows:
§ 412.522 Application of site neutral
payment rate.
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*
*
*
*
*
(d) * * *
(3) For cost reporting periods
beginning on or after October 1, 2019, if
a long-term care hospital’s discharge
payment percentage for the cost
reporting period is not at least 50
percent, discharges in all cost reporting
periods beginning after the notification
described under paragraph (d)(2) of this
section will be paid under the payment
adjustment described in paragraph
(d)(4) of this section until reinstated
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under paragraph (d)(5) or (6) of this
section.
(4) For cost reporting periods subject
to the payment adjustment under
paragraph (d)(3) of this section, the
payment for all discharges consists of—
(i) An amount comparable to the
hospital inpatient prospective payment
system amount as determined under
§ 412.529(d)(4)(i)(A) and (d)(4)(ii); and
(ii) If applicable, an additional
payment for high cost outlier cases
based on the fixed-loss amount
established for the hospital inpatient
prospective payment system in effect at
the time of the LTCH discharge.
(5) For full reinstatement—
(i) When the discharge payment
percentage for a cost reporting period is
at least 50 percent, the payment
adjustment described in paragraph
(d)(4) of this section will be
discontinued for cost reporting periods
beginning on or after the notification
described under paragraph (d)(2) of this
section.
(ii) A long-term care hospital
reinstated under paragraph (d)(5)(i) of
this section will be subject to the
payment adjustment under paragraph
(d)(4) of this section if, after being
reinstated, it again meets the criteria in
paragraph (d)(3) of this section.
(6) For special probationary
reinstatement—
(i) A hospital that would be subject to
the payment adjustment under
paragraph (d)(4) of this section for a cost
reporting period will have the payment
adjustment delayed for that period if, for
the period of at least 5 consecutive
months of the immediately preceding 6month period, the discharge payment
percentage is at least 50 percent.
(ii) For any cost reporting period for
which the payment adjustment under
paragraph (d)(4) of this section was
delayed under paragraph (d)(6)(i) of this
section, the payment adjustment under
paragraph (d)(4) of this section will be
applied if the discharge payment
percentage for such cost reporting
period is not at least 50 percent.
■ 14. Section 412.523 is amended by
adding paragraph (c)(3)(xvi) to read as
follows:
§ 412.523 Methodology for calculating the
Federal prospective payment rate.
*
*
*
*
*
(c) * * *
(3) * * *
(xvi) For long-term care prospective
payment system fiscal year beginning
October 1, 2019, and ending September
30, 2020. The long-term care hospital
prospective payment system standard
Federal payment rate for the long-term
care hospital prospective payment
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Fmt 4701
Sfmt 4702
system beginning October 1, 2019 and
ending September 30, 2020 is the
standard Federal payment rate for the
previous long-term care prospective
payment system fiscal year updated by
2.7 percent and further adjusted, as
appropriate, as described in paragraph
(d) of this section.
*
*
*
*
*
■ 15. Section 412.560 is amended by
revising paragraphs (d)(1) and (3) and
(f)(1) to read as follows:
§ 412.560 Requirements under the LongTerm Care Hospital Quality Reporting
Program (LTCH QRP).
*
*
*
*
*
(d) * * *
(1) Written letter of non-compliance
decision. Long-term care hospitals that
do not meet the requirement in
paragraph (b) of this section for a
program year will receive a notification
of non-compliance sent through at least
one of the following methods: The CMS
designated data submission system, the
United States Postal Service, or via an
email from the MAC.
*
*
*
*
*
(3) CMS decision on reconsideration
request. CMS will notify long-term care
hospitals, in writing, of its final decision
regarding any reconsideration request
through at least one of the following
methods: The CMS designated data
submission system, the United States
Postal Service, or via an email from the
MAC.
*
*
*
*
*
(f) * * *
(1) Long-term care hospitals must
meet or exceed two separate data
completeness thresholds: One threshold
set at 80 percent for completion of
measures data and standardized patient
assessment data collected using the
LTCH CARE Data Set submitted through
the CMS designated data submission
system; and a second threshold set at
100 percent for measures data collected
and submitted using the CDC NHSN.
*
*
*
*
*
PART 413—PRINCIPLES OF
REASONABLE COST
REIMBURSEMENT; PAYMENT FOR
END–STAGE RENAL DISEASE
SERVICES; OPTIONAL
PROSPECTIVELY DETERMINED
PAYMENT RATES FOR SKILLED
NURSING FACILITIES
16. The authority for part 413 is
revised to read as follows:
■
Authority: 42 U.S.C. 1302, 1395d(d),
1395f(b), 1395g, 1395l(a), (i), and (n),
1395x(v), 1395hh, 1395rr, 1395tt, and
1395ww.
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17. Section 413.70 is amended by
revising paragraph (b)(5)(i)(C) and
adding paragraph (b)(5)(i)(D) to read as
follows:
■
§ 413.70
Payment for services of a CAH.
*
*
*
*
(b) * * *
(5) * * *
(i) * * *
(C) Effective for cost reporting periods
beginning on or after October 1, 2011
and on or before September 30, 2019,
payment for ambulance services
furnished by a CAH or an entity that is
owned and operated by a CAH is 101
percent of the reasonable costs of the
CAH or the entity in furnishing those
services, but only if the CAH or the
entity is the only provider or supplier of
ambulance services located within a 35mile drive of the CAH. If there is no
provider or supplier of ambulance
services located within a 35-mile drive
of the CAH and there is an entity that
is owned and operated by a CAH that
is more than a 35-mile drive from the
CAH, payment for ambulance services
furnished by that entity is 101 percent
of the reasonable costs of the entity in
furnishing those services, but only if the
entity is the closest provider or supplier
of ambulance services to the CAH. (D)
Effective for cost reporting periods
beginning on or after October 1, 2019,
payment for ambulance services
furnished by a CAH or by a CAH-owned
and operated entity is 101 percent of the
reasonable costs of the CAH or the
entity in furnishing those services, but
only if the CAH or the entity is the only
provider or supplier of ambulance
services located within a 35-mile drive
of the CAH, excluding ambulance
providers or suppliers that are not
legally authorized to furnish ambulance
services to transport individuals to or
from the CAH. If there is no provider or
supplier of ambulance services located
within a 35-mile drive of the CAH and
there is an entity that is owned and
operated by a CAH that is more than a
35-mile drive from the CAH, payment
for ambulance services furnished by that
entity is 101 percent of the reasonable
costs of the entity in furnishing those
services, but only if the entity is the
closest provider or supplier of
ambulance services to the CAH.
*
*
*
*
*
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*
PART 495—STANDARDS FOR THE
ELECTRONIC HEALTH RECORD
TECHNOLOGY INCENTIVE PROGRAM
18. The authority citation for part 495
continues to read as follows:
■
Authority: 42 U.S.C. 1302 and 1395hh.
■
19. Section 495.4 is amended—
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a. In the definition of ‘‘EHR reporting
period’’, by adding paragraph (2)(v); and
■ b. In the definition of ‘‘EHR reporting
period for a payment adjustment year’’,
by revising paragraph (2)(iii)(A) and
adding paragraphs (2)(v) and (3)(v).
The additions and revision read as
follows:
■
§ 495.4
Definitions.
*
*
*
*
*
EHR reporting period. * * *
(2) * * *
(v) For the FY 2021 payment year as
follows: Under the Medicare Promoting
Interoperability Program, for a Puerto
Rico eligible hospital, any continuous
90-day period within CY 2021.
EHR reporting period for a payment
adjustment year. * * *
(2) * * *
(iii) * * *
(A) If an eligible hospital has not
successfully demonstrated it is a
meaningful EHR user in a prior year, the
EHR reporting period is any continuous
90-day period within CY 2019 and
applies for the FY 2020 and FY 2021
payment adjustment years.
*
*
*
*
*
(v) The following are applicable for
2021:
(A) If an eligible hospital has not
successfully demonstrated it is a
meaningful EHR user in a prior year, the
EHR reporting period is any continuous
90-day period within CY 2021 and
applies for the FY 2022 and 2023
payment adjustment years. For the FY
2022 payment adjustment year, the EHR
reporting period must end before and
the eligible hospital must successfully
register for and attest to meaningful use
no later than October 1, 2021.
(B) If in a prior year an eligible
hospital has successfully demonstrated
it is a meaningful EHR user, the EHR
reporting period is any continuous 90day period within CY 2021 and applies
for the FY 2023 payment adjustment
year.
(3) * * *
(v) The following are applicable for
2021:
(A) If a CAH has not successfully
demonstrated it is a meaningful EHR
user in a prior year, the EHR reporting
period is any continuous 90-day period
within CY 2021 and applies for the FY
2021 payment adjustment year.
(B) If in a prior year a CAH has
successfully demonstrated it is a
meaningful EHR user, the EHR reporting
period is any continuous 90-day period
within CY 2021 and applies for the FY
2021 payment adjustment year.
*
*
*
*
*
■ 20. Section 495.24 is amended by
revising paragraphs (e)(1), (e)(4)(iii),
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Fmt 4701
Sfmt 4702
19583
(e)(5)(ii)(B), (e)(5)(iii) through (v), and
(e)(6)(ii)(B) to read as follows:
§ 495.24 Stage 3 meaningful use
objectives and measures for EPs, eligible
hospitals and CAHs for 2019 and
subsequent years.
*
*
*
*
*
(e) * * *
(1) General rule. (i) Except as
specified in paragraph (e)(2) of this
section, eligible hospitals and CAHs
must meet all objectives and associated
measures of the Stage 3 criteria
specified in this paragraph (e) and earn
a total score of at least 50 points to meet
the definition of a meaningful EHR user.
(ii) Beginning in CY 2020, the
numerator and denominator of measures
increment based on actions occurring
during the EHR reporting period
selected by the eligible hospital or CAH,
unless otherwise indicated.
*
*
*
*
*
(4) * * *
(iii) Security risk analysis measure.
Conduct or review a security risk
analysis in accordance with the
requirements under 45 CFR
164.308(a)(1), including addressing the
security (including encryption) of data
created or maintained by CEHRT in
accordance with requirements under 45
CFR 164.312(a)(2)(iv) and 45 CFR
164.306(d)(3), implement security
updates as necessary, and correct
identified security deficiencies as part
of the provider’s risk management
process. Actions included in the
security risk analysis measure may
occur any time during the calendar year
in which the EHR reporting period
occurs.
(5) * * *
(ii) * * *
(B) In 2020 and subsequent years,
eligible hospitals and CAHs must meet
the e-Prescribing measure in paragraph
(e)(5)(iii)(A) of this section and have the
option to report on the query of PDMP
measure in paragraph (e)(5)(iii)(B) of
this section. In 2020 and subsequent
years, the electronic prescribing
objective in paragraph (e)(5)(i) of this
section is worth up to 15 points.
(iii) Measures—(A) e-Prescribing
measure. Subject to paragraph (e)(3) of
this section, at least one hospital
discharge medication order for
permissible prescriptions (for new and
changed prescriptions) is queried for a
drug formulary and transmitted
electronically using CEHRT. This
measure is worth up to 10 points in CY
2019 and subsequent years.
(B) Query of prescription drug
monitoring program (PDMP) measure.
Subject to paragraph (e)(3) of this
section, for at least one Schedule II
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opioid electronically prescribed using
CEHRT during the EHR reporting
period, the eligible hospital or CAH uses
data from CEHRT to conduct a query of
a Prescription Drug Monitoring Program
(PDMP) for prescription drug history,
except where prohibited and in
accordance with applicable law. This
measure is worth 5 bonus points in CY
2019 and CY 2020.
(C) Verify opioid treatment agreement
measure. Subject to paragraph (e)(3) of
this section, for at least one unique
patient for whom a Schedule II opioid
was electronically prescribed by the
eligible hospital or CAH using CEHRT
during the EHR reporting period, if the
total duration of the patient’s Schedule
II opioid prescriptions is at least 30
cumulative days within a 6-month lookback period, the eligible hospital or
CAH seeks to identify the existence of
a signed opioid treatment agreement
and incorporates it into the patient’s
electronic health record using CEHRT.
This measure is worth 5 bonus points in
CY 2019.
(iv) Exclusions in accordance with
paragraph (e)(2) of this section and
redistribution of points. An exclusion
claimed under paragraph (e)(5)(v) of this
section will redistribute 10 points in CY
2019 and CY 2020 equally among the
measures associated with the health
information exchange objective under
paragraph (e)(6) of this section.
(v) Exclusion in accordance with
paragraph (e)(2) of this section.
Beginning with the EHR reporting
period in CY 2019, any eligible hospital
or CAH that does not have an internal
pharmacy that can accept electronic
prescriptions and there are no
pharmacies that accept electronic
prescriptions within 10 miles at the start
of the eligible hospital or CAH’s EHR
reporting period may be excluded from
the measure specified in paragraph
(e)(5)(iii)(A) of this section.
(6) * * *
(ii) * * *
(B) Support electronic referral loops
by receiving and incorporating health
information measure: Subject to
paragraph (e)(3) of this section, for at
least one electronic summary of care
record received using CEHRT for patient
encounters during the EHR reporting
period for which an eligible hospital or
CAH was the receiving party of a
transition of care or referral, or for
patient encounters during the EHR
reporting period in which the eligible
hospital or CAH has never before
encountered the patient, the eligible
hospital or CAH conducts clinical
information reconciliation for
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medication, medication allergy, and
current problem list using CEHRT.
*
*
*
*
*
Dated: March 26, 2019.
Seema Verma,
Administrator, Centers for Medicare and
Medicaid Services.
Dated: April 2, 2019.
Alex M. Azar II,
Secretary, Department of Health and Human
Services.
Note: The following Addendum and
Appendices will not appear in the Code of
Federal Regulations.
Addendum—Schedule of Standardized
Amounts, Update Factors, Rate-ofIncrease Percentages Effective With
Cost Reporting Periods Beginning on or
After October 1, 2019, and Payment
Rates for LTCHs Effective for
Discharges Occurring on or After
October 1, 2019
I. Summary and Background
In this Addendum, we are setting
forth a description of the methods and
data we used to determine the proposed
prospective payment rates for Medicare
hospital inpatient operating costs and
Medicare hospital inpatient capitalrelated costs for FY 2020 for acute care
hospitals. We also are setting forth the
rate-of-increase percentage for updating
the target amounts for certain hospitals
excluded from the IPPS for FY 2020. We
note that, because certain hospitals
excluded from the IPPS are paid on a
reasonable cost basis subject to a rate-ofincrease ceiling (and not by the IPPS),
these hospitals are not affected by the
proposed figures for the standardized
amounts, offsets, and budget neutrality
factors. Therefore, in this proposed rule,
we are setting forth the rate-of-increase
percentage for updating the target
amounts for certain hospitals excluded
from the IPPS that will be effective for
cost reporting periods beginning on or
after October 1, 2019.
In addition, we are setting forth a
description of the methods and data we
used to determine the proposed LTCH
PPS standard Federal payment rate that
would be applicable to Medicare LTCHs
for FY 2020.
In general, except for SCHs and
MDHs, for FY 2020, each hospital’s
payment per discharge under the IPPS
is based on 100 percent of the Federal
national rate, also known as the national
adjusted standardized amount. This
amount reflects the national average
hospital cost per case from a base year,
updated for inflation.
SCHs are paid based on whichever of
the following rates yields the greatest
aggregate payment: The Federal national
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Frm 00428
Fmt 4701
Sfmt 4702
rate (including, as discussed in section
IV.G. of the preamble of this proposed
rule, uncompensated care payments
under section 1886(r)(2) of the Act); the
updated hospital-specific rate based on
FY 1982 costs per discharge; the
updated hospital-specific rate based on
FY 1987 costs per discharge; the
updated hospital-specific rate based on
FY 1996 costs per discharge; or the
updated hospital-specific rate based on
FY 2006 costs per discharge.
Under section 1886(d)(5)(G) of the
Act, MDHs historically were paid based
on the Federal national rate or, if higher,
the Federal national rate plus 50 percent
of the difference between the Federal
national rate and the updated hospitalspecific rate based on FY 1982 or FY
1987 costs per discharge, whichever was
higher. However, section 5003(a)(1) of
Public Law 109–171 extended and
modified the MDH special payment
provision that was previously set to
expire on October 1, 2006, to include
discharges occurring on or after October
1, 2006, but before October 1, 2011.
Under section 5003(b) of Public Law
109–171, if the change results in an
increase to an MDH’s target amount, we
must rebase an MDH’s hospital specific
rates based on its FY 2002 cost report.
Section 5003(c) of Public Law 109–171
further required that MDHs be paid
based on the Federal national rate or, if
higher, the Federal national rate plus 75
percent of the difference between the
Federal national rate and the updated
hospital specific rate. Further, based on
the provisions of section 5003(d) of
Public Law 109–171, MDHs are no
longer subject to the 12-percent cap on
their DSH payment adjustment factor.
Section 50205 of the Bipartisan Budget
Act of 2018 extended the MDH program
for discharges on or after October 1,
2017 through September 30, 2022.
As discussed in section IV.B. of the
preamble of this proposed rule, in
accordance with section 1886(d)(9)(E) of
the Act as amended by section 601 of
the Consolidated Appropriations Act,
2016 (Pub. L. 114–113), for FY 2020,
subsection (d) Puerto Rico hospitals will
continue to be paid based on 100
percent of the national standardized
amount. Because Puerto Rico hospitals
are paid 100 percent of the national
standardized amount and are subject to
the same national standardized amount
as subsection (d) hospitals that receive
the full update, our discussion below
does not include references to the
Puerto Rico standardized amount or the
Puerto Rico-specific wage index.
As discussed in section II. of this
Addendum, we are proposing to make
changes in the determination of the
prospective payment rates for Medicare
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inpatient operating costs for acute care
hospitals for FY 2020. In section III. of
this Addendum, we discuss our
proposed policy changes for
determining the prospective payment
rates for Medicare inpatient capitalrelated costs for FY 2020. In section IV.
of this Addendum, we are setting forth
the rate-of-increase percentage for
determining the rate-of-increase limits
for certain hospitals excluded from the
IPPS for FY 2020. In section V. of this
Addendum, we discuss proposed policy
changes for determining the LTCH PPS
standard Federal rate for LTCHs paid
under the LTCH PPS for FY 2020. The
tables to which we refer to in the
preamble of this proposed rule are listed
in section VI. of this Addendum and are
available via the internet on the CMS
website.
II. Proposed Changes to Prospective
Payment Rates for Hospital Inpatient
Operating Costs for Acute Care
Hospitals for FY 2020
The basic methodology for
determining prospective payment rates
for hospital inpatient operating costs for
acute care hospitals for FY 2005 and
subsequent fiscal years is set forth under
§ 412.64. The basic methodology for
determining the prospective payment
rates for hospital inpatient operating
costs for hospitals located in Puerto
Rico for FY 2005 and subsequent fiscal
years is set forth under §§ 412.211 and
412.212. Below we discuss the factors
we are proposing to use for determining
the proposed prospective payment rates
for FY 2020.
In summary, the proposed
standardized amounts set forth in
Tables 1A, 1B, and 1C that are listed
and published in section VI. of this
Addendum (and available via the
internet on the CMS website) reflect—
• Equalization of the standardized
amounts for urban and other areas at the
level computed for large urban hospitals
during FY 2004 and onward, as
provided for under section
1886(d)(3)(A)(iv)(II) of the Act.
• The labor-related share that is
applied to the standardized amounts to
give the hospital the highest payment,
as provided for under sections
1886(d)(3)(E) and 1886(d)(9)(C)(iv) of
the Act. For FY 2020, depending on
whether a hospital submits quality data
under the rules established in
accordance with section
1886(b)(3)(B)(viii) of the Act (hereafter
referred to as a hospital that submits
quality data) and is a meaningful EHR
user under section 1886(b)(3)(B)(ix) of
the Act (hereafter referred to as a
hospital that is a meaningful EHR user),
there are four possible applicable
percentage increases that can be applied
to the national standardized amount.
We refer readers to section IV.B. of the
preamble of this proposed rule for a
complete discussion on the proposed
FY 2020 inpatient hospital update.
Below is a table with these four
scenarios:
PROPOSED FY 2020 APPLICABLE PERCENTAGE INCREASES FOR THE IPPS
Hospital submitted quality
data and is a
meaningful
EHR user
FY 2020
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Proposed Market Basket Rate-of-Increase .....................................................
Proposed Adjustment for Failure to Submit Quality Data under Section
1886(b)(3)(B)(viii) of the Act ........................................................................
Proposed Adjustment for Failure to be a Meaningful EHR User under Section 1886(b)(3)(B)(ix) of the Act ...................................................................
Proposed MFP Adjustment under Section 1886(b)(3)(B)(xi) of the Act ..........
Proposed Applicable Percentage Increase Applied to Standardized Amount
We note that section
1886(b)(3)(B)(viii) of the Act, which
specifies the adjustment to the
applicable percentage increase for
‘‘subsection (d)’’ hospitals that do not
submit quality data under the rules
established by the Secretary, is not
applicable to hospitals located in Puerto
Rico.
In addition, section 602 of Public Law
114–113 amended section 1886(n)(6)(B)
of the Act to specify that Puerto Rico
hospitals are eligible for incentive
payments for the meaningful use of
certified EHR technology, effective
beginning FY 2016, and also to apply
the adjustments to the applicable
percentage increase under section
1886(b)(3)(B)(ix) of the Act to Puerto
Rico hospitals that are not meaningful
EHR users, effective FY 2022.
Accordingly, because the provisions of
section 1886(b)(3)(B)(ix) of the Act are
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Hospital did
NOT submit
quality data
and is a
meaningful
EHR user
Hospital did
NOT submit
quality data
and is NOT a
meaningful
EHR user
3.2
3.2
3.2
3.2
0
0
¥0.8
¥0.8
0
¥0.5
2.7
¥2.4
¥0.5
0.3
0
¥0.5
1.9
¥2.4
¥0.5
¥0.5
not applicable to hospitals located in
Puerto Rico until FY 2022, the
adjustments under this provision are not
applicable for FY 2020.
• An adjustment to the standardized
amount to ensure budget neutrality for
DRG recalibration and reclassification,
as provided for under section
1886(d)(4)(C)(iii) of the Act.
• An adjustment to ensure the wage
index and labor-related share changes
(depending on the fiscal year) are
budget neutral, as provided for under
section 1886(d)(3)(E)(i) of the Act (as
discussed in the FY 2006 IPPS final rule
(70 FR 47395) and the FY 2010 IPPS
final rule (74 FR 44005). We note that
section 1886(d)(3)(E)(i) of the Act
requires that when we compute such
budget neutrality, we assume that the
provisions of section 1886(d)(3)(E)(ii) of
the Act (requiring a 62-percent labor-
PO 00000
Hospital submitted quality
data and is
NOT a
meaningful
EHR user
related share in certain circumstances)
had not been enacted.
• An adjustment to ensure the effects
of geographic reclassification are budget
neutral, as provided for under section
1886(d)(8)(D) of the Act, by removing
the FY 2019 budget neutrality factor and
applying a revised factor.
• A positive adjustment of 0.5 percent
in FYs 2019 through 2023 as required
under section 414 of the MACRA.
• An adjustment to ensure the effects
of the Rural Community Hospital
Demonstration program are budget
neutral as required under section
410A(c)(2) of Public Law 108–173. This
demonstration program is required
under section 410A of Public Law 108–
173, as amended by sections 3123 and
10313 of Public Law 111–148, which
extended the demonstration program for
an additional 5 years, as amended by
section 15003 of Public Law 114–255
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which amended section 410A of Public
Law 108–173 to provide for a 10-year
extension of the demonstration program
(in place of the 5-year extension
required by the Affordable Care Act)
beginning on the date immediately
following the last day of the initial 5year period under section 410A(a)(5) of
Public Law 108–173.
• An adjustment to the standardized
amount (using our exceptions and
adjustments authority under section
1886(d)(5)(I)(i) of the Act) to implement
in a budget neutral manner our
proposed transition (described in
section III.N.3.d. of the preamble of this
proposed rule) for hospitals negatively
impacted due to proposed changes to
the wage index. We refer readers to
section III.N. of the preamble of this
proposed rule for a detailed discussion.
• An adjustment to remove the FY
2019 outlier offset and apply an offset
for FY 2020, as provided for in section
1886(d)(3)(B) of the Act.
For FY 2020, consistent with current
law, we are proposing to apply the rural
floor budget neutrality adjustment to
hospital wage indexes. In addition, our
proposals to increase the wage index
values for hospitals with a wage index
value in the lowest quartile of the wage
index values across all hospitals and
offset the estimated increase in IPPS
payments by decreasing the wage index
values for hospitals with a wage index
value in the highest quartile of the wage
index values across all hospitals (high
wage index hospitals) are adjustments
applied to hospital wage indexes. We
refer readers to section III.N. of the
preamble of this proposed rule for a
detailed discussion. Also, consistent
with section 3141 of the Affordable Care
Act, instead of applying a State-level
rural floor budget neutrality adjustment
to the wage index, we are proposing to
apply a uniform, national budget
neutrality adjustment to the FY 2020
wage index for the rural floor.
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A. Calculation of the Proposed Adjusted
Standardized Amount
1. Standardization of Base-Year Costs or
Target Amounts
In general, the national standardized
amount is based on per discharge
averages of adjusted hospital costs from
a base period (section 1886(d)(2)(A) of
the Act), updated and otherwise
adjusted in accordance with the
provisions of section 1886(d) of the Act.
The September 1, 1983 interim final
rule (48 FR 39763) contained a detailed
explanation of how base-year cost data
(from cost reporting periods ending
during FY 1981) were established for
urban and rural hospitals in the initial
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development of standardized amounts
for the IPPS.
Sections 1886(d)(2)(B) and
1886(d)(2)(C) of the Act require us to
update base-year per discharge costs for
FY 1984 and then standardize the cost
data in order to remove the effects of
certain sources of cost variations among
hospitals. These effects include casemix, differences in area wage levels,
cost-of-living adjustments for Alaska
and Hawaii, IME costs, and costs to
hospitals serving a disproportionate
share of low-income patients.
For FY 2020, we are proposing to
continue to use the national laborrelated and nonlabor-related shares
(which are based on the 2014-based
hospital market basket) that were used
in FY 2019. Specifically, under section
1886(d)(3)(E) of the Act, the Secretary
estimates, from time to time, the
proportion of payments that are laborrelated and adjusts the proportion (as
estimated by the Secretary from time to
time) of hospitals’ costs which are
attributable to wages and wage-related
costs of the DRG prospective payment
rates. We refer to the proportion of
hospitals’ costs that are attributable to
wages and wage-related costs as the
‘‘labor-related share.’’ For FY 2020, as
discussed in section III. of the preamble
of this proposed rule, we are proposing
to continue to use a labor-related share
of 68.3 percent for the national
standardized amounts for all IPPS
hospitals (including hospitals in Puerto
Rico) that have a wage index value that
is greater than 1.0000. Consistent with
section 1886(d)(3)(E) of the Act, we are
proposing to apply the wage index to a
labor-related share of 62 percent of the
national standardized amount for all
IPPS hospitals (including hospitals in
Puerto Rico) whose wage index values
are less than or equal to 1.0000.
The proposed standardized amounts
for operating costs appear in Tables 1A,
1B, and 1C that are listed and published
in section VI. of the Addendum to this
proposed rule and are available via the
internet on the CMS website.
2. Computing the National Average
Standardized Amount
Section 1886(d)(3)(A)(iv)(II) of the Act
requires that, beginning with FY 2004
and thereafter, an equal standardized
amount be computed for all hospitals at
the level computed for large urban
hospitals during FY 2003, updated by
the applicable percentage update.
Accordingly, we are proposing to
calculate the FY 2020 national average
standardized amount irrespective of
whether a hospital is located in an
urban or rural location.
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3. Updating the National Average
Standardized Amount
Section 1886(b)(3)(B) of the Act
specifies the applicable percentage
increase used to update the
standardized amount for payment for
inpatient hospital operating costs. We
note that, in compliance with section
404 of the MMA, in this proposed rule,
we are proposing to use the 2014-based
IPPS operating and capital market
baskets for FY 2020. As discussed in
section IV.B. of the preamble of this
proposed rule, in accordance with
section 1886(b)(3)(B) of the Act, as
amended by section 3401(a) of the
Affordable Care Act, we are proposing
to reduce the FY 2020 applicable
percentage increase (which for this
proposed rule is based on IGI’s fourth
quarter 2018 forecast of the 2014-based
IPPS market basket) by the MFP
adjustment (the 10-year moving average
of MFP for the period ending FY 2020)
of 0.5 percentage point, which for this
proposed rule is also calculated based
on IGI’s fourth quarter 2018 forecast.
Based on IGI’s 2018 fourth quarter
forecast of the hospital market basket
increase (as discussed in Appendix B of
this proposed rule), the forecast of the
hospital market basket increase for FY
2020 for this proposed rule is 3.2
percent. As discussed earlier, for FY
2020, depending on whether a hospital
submits quality data under the rules
established in accordance with section
1886(b)(3)(B)(viii) of the Act and is a
meaningful EHR user under section
1886(b)(3)(B)(ix) of the Act, there are
four possible applicable percentage
increases that can be applied to the
standardized amount. We refer readers
to section IV.B. of the preamble of this
proposed rule for a complete discussion
on the FY 2020 inpatient hospital
update to the standardized amount. We
also refer readers to the table above for
the four possible applicable percentage
increases that would be applied to
update the national standardized
amount. The proposed standardized
amounts shown in Tables 1A through
1C that are published in section VI. of
this Addendum and that are available
via the internet on the CMS website
reflect these differential amounts.
Although the update factors for FY
2020 are set by law, we are required by
section 1886(e)(4) of the Act to
recommend, taking into account
MedPAC’s recommendations,
appropriate update factors for FY 2020
for both IPPS hospitals and hospitals
and hospital units excluded from the
IPPS. Section 1886(e)(5)(A) of the Act
requires that we publish our
recommendations in the Federal
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Register for public comment. Our
recommendation on the update factors
is set forth in Appendix B of this
proposed rule.
4. Methodology for Calculation of the
Average Standardized Amount
The methodology we used to calculate
the proposed FY 2020 standardized
amount is as follows:
• To ensure we are only including
hospitals paid under the IPPS in the
calculation of the standardized amount,
we applied the following inclusion and
exclusion criteria: Include hospitals
whose last four digits fall between 0001
and 0879 (section 2779A1 of Chapter 2
of the State Operations Manual on the
CMS website at: https://www.cms.gov/
Regulations-and-Guidance/Guidance/
Manuals/Downloads/som107c02.pdf);
exclude CAHs at the time of this
proposed rule; exclude hospitals in
Maryland (because these hospitals are
paid under an all payer model under
section 1115A of the Act); and remove
PPS-excluded cancer hospitals that have
a ‘‘V’’ in the fifth position of their
provider number or a ‘‘E’’ or ‘‘F’’ in the
sixth position.
• As in the past, we are proposing to
adjust the FY 2020 standardized amount
to remove the effects of the FY 2019
geographic reclassifications and outlier
payments before applying the FY 2020
updates. We then applied budget
neutrality offsets for outliers and
geographic reclassifications to the
standardized amount based on proposed
FY 2020 payment policies.
• We do not remove the prior year’s
budget neutrality adjustments for
reclassification and recalibration of the
DRG relative weights and for updated
wage data because, in accordance with
sections 1886(d)(4)(C)(iii) and
1886(d)(3)(E) of the Act, estimated
aggregate payments after updates in the
DRG relative weights and wage index
should equal estimated aggregate
payments prior to the changes. If we
removed the prior year’s adjustment, we
would not satisfy these conditions.
Budget neutrality is determined by
comparing aggregate IPPS payments
before and after making changes that are
required to be budget neutral (for
example, changes to MS–DRG
classifications, recalibration of the MS–
DRG relative weights, updates to the
wage index, and different geographic
reclassifications). We include outlier
payments in the simulations because
they may be affected by changes in these
parameters.
• Consistent with our methodology
established in the FY 2011 IPPS/LTCH
PPS final rule (75 FR 50422 through
50433), because IME Medicare
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Advantage payments are made to IPPS
hospitals under section 1886(d) of the
Act, we believe these payments must be
part of these budget neutrality
calculations. However, we note that it is
not necessary to include Medicare
Advantage IME payments in the outlier
threshold calculation or the outlier
offset to the standardized amount
because the statute requires that outlier
payments be not less than 5 percent nor
more than 6 percent of total ‘‘operating
DRG payments,’’ which does not
include IME and DSH payments. We
refer readers to the FY 2011 IPPS/LTCH
PPS final rule for a complete discussion
on our methodology of identifying and
adding the total Medicare Advantage
IME payment amount to the budget
neutrality adjustments.
• Consistent with the methodology in
the FY 2012 IPPS/LTCH PPS final rule,
in order to ensure that we capture only
fee-for-service claims, we are only
including claims with a ‘‘Claim Type’’
of 60 (which is a field on the MedPAR
file that indicates a claim is an FFS
claim).
• Consistent with our methodology
established in the FY 2017 IPPS/LTCH
PPS final rule (81 FR 57277), in order
to further ensure that we capture only
FFS claims, we are excluding claims
with a ‘‘GHOPAID’’ indicator of 1
(which is a field on the MedPAR file
that indicates a claim is not an FFS
claim and is paid by a Group Health
Organization).
• Consistent with our methodology
established in the FY 2011 IPPS/LTCH
PPS final rule (75 FR 50422 through
50423), we examine the MedPAR file
and remove pharmacy charges for antihemophilic blood factor (which are paid
separately under the IPPS) with an
indicator of ‘‘3’’ for blood clotting with
a revenue code of ‘‘0636’’ from the
covered charge field for the budget
neutrality adjustments. We also remove
organ acquisition charges from the
covered charge field for the budget
neutrality adjustments because organ
acquisition is a pass-through payment
not paid under the IPPS.
• The participation of hospitals under
the BPCI (Bundled Payments for Care
Improvement) Advanced Model started
on October 1, 2018. The BPCI Advanced
Model, tested under the authority of
section 3021 of the Affordable Care Act
(codified at section 1115A of the Act),
is comprised of a single payment and
risk track, which bundles payments for
multiple services beneficiaries receive
during a Clinical Episode. Acute care
hospitals may participate in the BPCI
Advanced Model in one of two
capacities: As a model Participant or as
a downstream Episode Initiator.
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Regardless of the capacity in which they
participate in the BPCI Advanced
Model, participating acute care
hospitals will continue to receive IPPS
payments under section 1886(d) of the
Act. Acute care hospitals that are
Participants also assume financial and
quality performance accountability for
Clinical Episodes in the form of a
reconciliation payment. For additional
information on the BPCI Advanced
Model, we refer readers to the BPCI
Advanced web page on the CMS Center
for Medicare and Medicaid Innovation’s
website at: https://innovation.cms.gov/
initiatives/bpci-advanced/.
For FY 2020, consistent with how we
treated hospitals that participated in the
BPCI Advanced Model in the FY 2019
IPPS/LTCH PPS final rule (83 FR
41259), we are proposing to include all
applicable data from subsection (d)
hospitals participating in the BPCI
Advanced Model in our IPPS payment
modeling and ratesetting calculations.
We believe it is appropriate to include
all applicable data from the subsection
(d) hospitals participating in the BPCI
Advanced Model in our IPPS payment
modeling and ratesetting calculations
because these hospitals are still
receiving regular IPPS fee-for-service
payments under section 1886(d) of the
Act. For the same reasons, we also are
proposing to include all applicable data
from subsection (d) hospitals
participating in the Comprehensive Care
for Joint Replacement (CJR) Model in
our IPPS payment modeling and
ratesetting calculations.
• Consistent with our methodology
established in the FY 2013 IPPS/LTCH
PPS final rule (77 FR 53687 through
53688), we believe that it is appropriate
to include adjustments for the Hospital
Readmissions Reduction Program and
the Hospital VBP Program (established
under the Affordable Care Act) within
our budget neutrality calculations.
Both the hospital readmissions
payment adjustment (reduction) and the
hospital VBP payment adjustment
(redistribution) are applied on a claimby-claim basis by adjusting, as
applicable, the base-operating DRG
payment amount for individual
subsection (d) hospitals, which affects
the overall sum of aggregate payments
on each side of the comparison within
the budget neutrality calculations.
In order to properly determine
aggregate payments on each side of the
comparison, consistent with the
approach we have taken in prior years,
for FY 2020 and subsequent years, we
are proposing to apply a proposed proxy
based on the prior fiscal year hospital
readmissions payment adjustment (for
FY 2020, this would be FY 2019 final
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adjustment factors) and a proposed
proxy based on the prior fiscal year
hospital VBP payment adjustment (for
FY 2020, this would be FY 2019 final
adjustment factors) on each side of the
comparison, consistent with the
methodology that we adopted in the FY
2013 IPPS/LTCH PPS final rule (77 FR
53687 through 53688). That is, we are
proposing to apply a proxy
readmissions payment adjustment factor
and a proxy hospital VBP payment
adjustment factor from the prior final
rule on both sides of our comparison of
aggregate payments when determining
all budget neutrality factors described in
section II.A.4. of this Addendum.
For the purpose of calculating the
proposed proxy FY 2020 readmissions
payment adjustment factors, for both
this proposed rule and the final rule, as
discussed in section IV.H. of the
preamble of this proposed rule, we are
proposing to use the proportion of
dually-eligible Medicare beneficiaries,
excess readmission ratios, and aggregate
payments for excess readmissions from
the prior fiscal year’s applicable period
because, at the time of the development
of this proposed rule and the final rule,
hospitals will not yet have had the
opportunity to review and correct the
data (program calculations based on the
proposed FY 2020 applicable period of
July 1, 2015 to June 30, 2018) before the
data are made public under our policy
regarding the reporting of hospitalspecific readmission rates, consistent
with section 1886(q)(6) of the Act. (For
additional information on our general
policy for the reporting of hospitalspecific readmission rates, consistent
with section 1886(q)(6) of the Act, we
refer readers to the FY 2013 IPPS/LTCH
PPS final rule (77 FR 53399 through
53400) and section IV.G. of the
preamble of this proposed rule.)
In addition, for FY 2020, for the
purpose of modeling aggregate
payments when determining all budget
neutrality factors, we are proposing to
use proxy hospital VBP payment
adjustment factors for FY 2020 that are
based on data from the prior fiscal year’s
applicable period because hospitals
have not yet had an opportunity to
review and submit corrections for their
data from the FY 2020 performance
period. (For additional information on
our policy regarding the review and
correction of hospital-specific measure
rates under the Hospital VBP Program,
consistent with section
1886(o)(10)(A)(ii) of the Act, we refer
readers to the FY 2013 IPPS/LTCH PPS
final rule (77 FR 53578 through 53581),
the CY 2012 OPPS/ASC final rule with
comment period (76 FR 74544 through
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74547), and the Hospital Inpatient VBP
final rule (76 FR 26534 through 26536).)
• The Affordable Care Act also
established section 1886(r) of the Act,
which modifies the methodology for
computing the Medicare DSH payment
adjustment beginning in FY 2014.
Beginning in FY 2014, IPPS hospitals
receiving Medicare DSH payment
adjustments receive an empirically
justified Medicare DSH payment equal
to 25 percent of the amount that would
previously have been received under the
statutory formula set forth under section
1886(d)(5)(F) of the Act governing the
Medicare DSH payment adjustment. In
accordance with section 1886(r)(2) of
the Act, the remaining amount, equal to
an estimate of 75 percent of what
otherwise would have been paid as
Medicare DSH payments, reduced to
reflect changes in the percentage of
individuals who are uninsured and any
additional statutory adjustment, will be
available to make additional payments
to Medicare DSH hospitals based on
their share of the total amount of
uncompensated care reported by
Medicare DSH hospitals for a given time
period. In order to properly determine
aggregate payments on each side of the
comparison for budget neutrality, prior
to FY 2014, we included estimated
Medicare DSH payments on both sides
of our comparison of aggregate
payments when determining all budget
neutrality factors described in section
II.A.4. of this Addendum.
To do this for FY 2020 (as we did for
the last 6 fiscal years), we are proposing
to include estimated empirically
justified Medicare DSH payments that
will be paid in accordance with section
1886(r)(1) of the Act and estimates of
the additional uncompensated care
payments made to hospitals receiving
Medicare DSH payment adjustments as
described by section 1886(r)(2) of the
Act. That is, we are proposing to
consider estimated empirically justified
Medicare DSH payments at 25 percent
of what would otherwise have been
paid, and also the estimated additional
uncompensated care payments for
hospitals receiving Medicare DSH
payment adjustments on both sides of
our comparison of aggregate payments
when determining all budget neutrality
factors described in section II.A.4. of
this Addendum.
• When calculating total payments for
budget neutrality, to determine total
payments for SCHs, we model total
hospital-specific rate payments and total
Federal rate payments and then include
whichever one of the total payments is
greater. As discussed in section IV.F. of
the preamble of this proposed rule and
below, we are proposing to continue to
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use the FY 2014 finalized methodology
under which we take into consideration
uncompensated care payments in the
comparison of payments under the
Federal rate and the hospital-specific
rate for SCHs. Therefore, we are
proposing to include estimated
uncompensated care payments in this
comparison.
Similarly, for MDHs, as discussed in
section IV.F. of the preamble of this
proposed rule, when computing
payments under the Federal national
rate plus 75 percent of the difference
between the payments under the
Federal national rate and the payments
under the updated hospital-specific rate,
we are proposing to continue to take
into consideration uncompensated care
payments in the computation of
payments under the Federal rate and the
hospital-specific rate for MDHs.
• We are proposing to include an
adjustment to the standardized amount
for those hospitals that are not
meaningful EHR users in our modeling
of aggregate payments for budget
neutrality for FY 2020. Similar to FY
2019, we are including this adjustment
based on data on the prior year’s
performance. Payments for hospitals
will be estimated based on the proposed
applicable standardized amount in
Tables 1A and 1B for discharges
occurring in FY 2020.
• In our determination of all
proposed budget neutrality factors
described in section II.A.4. of this
Addendum, we use transfer-adjusted
discharges. Specifically, we calculated
the transfer-adjusted discharges using
the statutory expansion of the postacute
care transfer policy to include
discharges to hospice care by a hospice
program as discussed in section
IV.A.2.b. of the preamble of this
proposed rule.
a. Proposed Recalibration of MS–DRG
Relative Weights
Section 1886(d)(4)(C)(iii) of the Act
specifies that, beginning in FY 1991, the
annual DRG reclassification and
recalibration of the relative weights
must be made in a manner that ensures
that aggregate payments to hospitals are
not affected. As discussed in section
II.H. of the preamble of this proposed
rule, we normalized the recalibrated
MS–DRG relative weights by an
adjustment factor so that the average
case relative weight after recalibration is
equal to the average case relative weight
prior to recalibration. However,
equating the average case relative
weight after recalibration to the average
case relative weight before recalibration
does not necessarily achieve budget
neutrality with respect to aggregate
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payments to hospitals because payments
to hospitals are affected by factors other
than average case relative weight.
Therefore, as we have done in past
years, we are proposing to make a
budget neutrality adjustment to ensure
that the requirement of section
1886(d)(4)(C)(iii) of the Act is met.
For FY 2020, to comply with the
requirement that MS–DRG
reclassification and recalibration of the
relative weights be budget neutral for
the standardized amount and the
hospital-specific rates, we used FY 2018
discharge data to simulate payments
and compared the following:
• Aggregate payments using the FY
2019 labor-related share percentages,
the FY 2019 relative weights, and the
FY 2019 pre-reclassified wage data, and
applied the proposed FY 2020 hospital
readmissions payment adjustments and
estimated FY 2020 hospital VBP
payment adjustments; and
• Aggregate payments using the FY
2019 labor-related share percentages,
the proposed FY 2020 relative weights,
and the FY 2019 pre-reclassified wage
data, and applied the proposed FY 2020
hospital readmissions payment
adjustments and estimated FY 2020
hospital VBP payment adjustments
applied above.
Based on this comparison, we
computed a proposed budget neutrality
adjustment factor equal to 0.998768 and
applied this factor to the standardized
amount. As discussed in section IV. of
this Addendum, we also are proposing
to apply the MS–DRG reclassification
and recalibration budget neutrality
factor of 0.998768 to the hospitalspecific rates that are effective for cost
reporting periods beginning on or after
October 1, 2019.
b. Updated Wage Index—Budget
Neutrality Adjustment
Section 1886(d)(3)(E)(i) of the Act
requires us to update the hospital wage
index on an annual basis beginning
October 1, 1993. This provision also
requires us to make any updates or
adjustments to the wage index in a
manner that ensures that aggregate
payments to hospitals are not affected
by the change in the wage index.
Section 1886(d)(3)(E)(i) of the Act
requires that we implement the wage
index adjustment in a budget neutral
manner. However, section
1886(d)(3)(E)(ii) of the Act sets the
labor-related share at 62 percent for
hospitals with a wage index less than or
equal to 1.0000, and section
1886(d)(3)(E)(i) of the Act provides that
the Secretary shall calculate the budget
neutrality adjustment for the
adjustments or updates made under that
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provision as if section 1886(d)(3)(E)(ii)
of the Act had not been enacted. In
other words, this section of the statute
requires that we implement the updates
to the wage index in a budget neutral
manner, but that our budget neutrality
adjustment should not take into account
the requirement that we set the laborrelated share for hospitals with wage
indexes less than or equal to 1.0000 at
the more advantageous level of 62
percent. Therefore, for purposes of this
budget neutrality adjustment, section
1886(d)(3)(E)(i) of the Act prohibits us
from taking into account the fact that
hospitals with a wage index less than or
equal to 1.0000 are paid using a laborrelated share of 62 percent. Consistent
with current policy, for FY 2020, we are
proposing to adjust 100 percent of the
wage index factor for occupational mix.
We describe the occupational mix
adjustment in section III.E. of the
preamble of this proposed rule.
To compute a proposed budget
neutrality adjustment factor for wage
index and labor-related share percentage
changes, we used FY 2018 discharge
data to simulate payments and
compared the following:
• Aggregate payments using the
proposed FY 2020 relative weights and
the FY 2019 pre-reclassified wage
indexes, applied the FY 2019 laborrelated share of 68.3 percent to all
hospitals (regardless of whether the
hospital’s wage index was above or
below 1.0000), and applied the
proposed FY 2020 hospital
readmissions payment adjustment and
the estimated FY 2020 hospital VBP
payment adjustment; and
• Aggregate payments using the
proposed FY 2020 relative weights and
the proposed FY 2020 pre-reclassified
wage indexes, applied the proposed
labor-related share for FY 2020 of 68.3
percent to all hospitals (regardless of
whether the hospital’s wage index was
above or below 1.0000), and applied the
same proposed FY 2020 hospital
readmissions payment adjustments and
estimated FY 2020 hospital VBP
payment adjustments applied above.
In addition, we applied the proposed
MS–DRG reclassification and
recalibration budget neutrality
adjustment factor (derived in the first
step) to the proposed payment rates that
were used to simulate payments for this
comparison of aggregate payments from
FY 2019 to FY 2020. By applying this
methodology, we determined a
proposed budget neutrality adjustment
factor of 1.000915 for proposed changes
to the wage index.
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c. Reclassified Hospitals—Proposed
Budget Neutrality Adjustment
Section 1886(d)(8)(B) of the Act
provides that certain rural hospitals are
deemed urban. In addition, section
1886(d)(10) of the Act provides for the
reclassification of hospitals based on
determinations by the MGCRB. Under
section 1886(d)(10) of the Act, a hospital
may be reclassified for purposes of the
wage index.
Under section 1886(d)(8)(D) of the
Act, the Secretary is required to adjust
the standardized amount to ensure that
aggregate payments under the IPPS after
implementation of the provisions of
sections 1886(d)(8)(B) and (C) and
1886(d)(10) of the Act are equal to the
aggregate prospective payments that
would have been made absent these
provisions. We note that, with regard to
the requirement under section
1886(d)(8)(C)(iii) of the Act, in our
calculation of a proposed budget
neutrality adjustment factor, we applied
the provisions of our proposal discussed
in section III.N. of the preamble of this
proposed rule to exclude the wage data
of urban hospitals that have reclassified
as rural under section 1886(d)(8)(E) of
the Act (as implemented in § 412.103)
from the calculation of ‘‘the wage index
for rural areas in the State in which the
county is located.’’ We refer readers to
the FY 2015 IPPS final rule (79 FR
50371 through 50372) for a complete
discussion regarding the requirement of
section 1886(d)(8)(C)(iii) of the Act. We
further note that the wage index
adjustments provided for under section
1886(d)(13) of the Act are not budget
neutral. Section 1886(d)(13)(H) of the
Act provides that any increase in a wage
index under section 1886(d)(13) shall
not be taken into account in applying
any budget neutrality adjustment with
respect to such index under section
1886(d)(8)(D) of the Act. To calculate
the proposed budget neutrality
adjustment factor for FY 2020, we used
FY 2018 discharge data to simulate
payments and compared the following:
• Aggregate payments using the
proposed FY 2020 labor-related share
percentages, the proposed FY 2020
relative weights, and the proposed FY
2020 wage data prior to any
reclassifications under sections
1886(d)(8)(B) and (C) and 1886(d)(10) of
the Act, and applied the proposed FY
2020 hospital readmissions payment
adjustments and the estimated FY 2020
hospital VBP payment adjustments; and
• Aggregate payments using the
proposed FY 2020 labor-related share
percentages, the proposed FY 2020
relative weights, and the proposed FY
2020 wage data after such
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reclassifications, and applied the same
proposed FY 2020 hospital
readmissions payment adjustments and
the estimated FY 2020 hospital VBP
payment adjustments applied above.
We note that the reclassifications
applied under the second simulation
and comparison are those listed in Table
2 associated with this proposed rule,
which is available via the internet on
the CMS website. This table reflects
reclassification crosswalks proposed for
FY 2020, and apply the proposed
policies explained in section III. of the
preamble of this proposed rule. Based
on these simulations, we calculated a
proposed budget neutrality adjustment
factor of 0.986451 to ensure that the
effects of these provisions are budget
neutral, consistent with the statute.
The proposed FY 2020 budget
neutrality adjustment factor was applied
to the proposed standardized amount
after removing the effects of the FY 2019
budget neutrality adjustment factor. We
note that the proposed FY 2020 budget
neutrality adjustment reflects FY 2020
wage index reclassifications approved
by the MGCRB or the Administrator at
the time of development of this
proposed rule.
d. Rural Floor Budget Neutrality
Adjustment
Under § 412.64(e)(4), we make an
adjustment to the wage index to ensure
that aggregate payments after
implementation of the rural floor under
section 4410 of the BBA (Pub. L. 105–
33) is equal to the aggregate prospective
payments that would have been made in
the absence of this provision. Consistent
with section 3141 of the Affordable Care
Act and as discussed in section III.G. of
the preamble of this proposed rule and
codified at § 412.64(e)(4)(ii), the budget
neutrality adjustment for the rural floor
is a national adjustment to the wage
index. We note, as discussed in section
III.N. of the preamble of this proposed
rule, we are proposing to calculate the
rural floor without including the wage
data of urban hospitals that have
reclassified as rural under section
1886(d)(8)(E) of the Act (as
implemented in § 412.103).
Similar to our calculation in the FY
2015 IPPS/LTCH PPS final rule (79 FR
50369 through 50370), for FY 2020, we
are proposing to calculate a national
rural Puerto Rico wage index. Because
there are no rural Puerto Rico hospitals
with established wage data, our
calculation of the proposed FY 2020
rural Puerto Rico wage index is based
on the policy adopted in the FY 2008
IPPS final rule with comment period (72
FR 47323). That is, we use the
unweighted average of the wage indexes
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from all CBSAs (urban areas) that are
contiguous (share a border with) to the
rural counties to compute the rural floor
(72 FR 47323; 76 FR 51594). Under the
OMB labor market area delineations,
except for Arecibo, Puerto Rico (CBSA
11640), all other Puerto Rico urban areas
are contiguous to a rural area. Therefore,
based on our existing policy, the
proposed FY 2020 rural Puerto Rico
wage index is calculated based on the
average of the proposed FY 2020 wage
indexes for the following urban areas:
Aguadilla-Isabela, PR (CBSA 10380);
Guayama, PR (CBSA 25020); Mayaguez,
PR (CBSA 32420); Ponce, PR (CBSA
38660); San German, PR (CBSA 41900);
and San Juan-Carolina-Caguas, PR
(CBSA 41980).
To calculate the proposed national
rural floor budget neutrality adjustment
factor, we used FY 2018 discharge data
to simulate payments and the proposed
post-reclassified national wage indexes
and compared the following:
• National simulated payments
without the proposed national rural
floor; and
• National simulated payments with
the proposed national rural floor.
Based on this comparison, we
determined a proposed national rural
floor budget neutrality adjustment factor
of 0.996316. The national adjustment
was applied to the national wage
indexes to produce a proposed national
rural floor budget neutral wage index.
e. Proposed Rural Community Hospital
Demonstration Program Adjustment
In section IV.K. of the preamble of
this proposed rule, we discuss the Rural
Community Hospital Demonstration
program, which was originally
authorized for a 5-year period by section
410A of the Medicare Prescription Drug,
Improvement, and Modernization Act of
2003 (MMA) (Pub. L. 108–173), and
extended for another 5-year period by
sections 3123 and 10313 of the
Affordable Care Act (Pub. L. 111–148).
Subsequently, section 15003 of the 21st
Century Cures Act (Pub. L. 114–255),
enacted December 13, 2016, amended
section 410A of Public Law 108–173 to
require a 10-year extension period (in
place of the 5-year extension required
by the Affordable Care Act, as further
discussed below). We make an
adjustment to the standardized amount
to ensure the effects of the Rural
Community Hospital Demonstration
program are budget neutral as required
under section 410A(c)(2) of Public Law
108–173. We refer readers to section
IV.K. of the preamble of this proposed
rule for complete details regarding the
Rural Community Hospital
Demonstration.
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With regard to budget neutrality, as
mentioned earlier, we make an
adjustment to the standardized amount
to ensure the effects of the Rural
Community Hospital Demonstration are
budget neutral, as required under
section 410A(c)(2) of Public Law 108–
173. For FY 2020, the total amount that
we are proposing to apply to make an
adjustment to the standardized amounts
to ensure the effects of the Rural
Community Hospital Demonstration
program are budget neutral is
$47,038,507. Accordingly, using the
most recent data available to account for
the estimated costs of the demonstration
program, for FY 2020, we computed a
proposed factor of 0.999580 for the
Rural Community Hospital
Demonstration budget neutrality
adjustment that will be applied to the
IPPS standard Federal payment rate. We
refer readers to section IV.K. of the
preamble of this proposed rule for
complete details regarding the
calculation of the amount we are
applying to make an adjustment to the
standardized amount.
We note that, as discussed in section
IV.K. of the preamble of this proposed
rule, if updated or additional data
become available prior to issuance of
the FY 2020 IPPS/LTCH PPS final rule,
we would use those data to the extent
appropriate to determine the budget
neutrality offset amount for FY 2020.
We refer readers to section IV.K. of the
preamble of this proposed rule for
complete details regarding the
availability of additional data prior to
the FY 2020 IPPS/LTCH PPS final rule.
f. Proposed Policy for Lowest and
Highest Quartile Wage Index Hospitals
As discussed in section III.N. of the
preamble of this proposed rule, to
address wage index disparities, we are
proposing to increase the wage index
values for hospitals with a wage index
value below the 25th percentile wage
index value across all hospitals. In
addition, under our proposal, in order to
offset the estimated increase in IPPS
payments to hospitals with wage index
values below the 25th percentile, we are
proposing to decrease the wage index
values for hospitals with a wage index
value above the 75th percentile wage
index value across all hospitals (high
wage index hospitals). We note that this
budget neutrality adjustment is applied
to the wage index and not to the
standardized amount. In addition, we
are proposing that our proposed policy
to increase the wage index for hospitals
with wage indexes below the 25th
percentile would be budget neutral
using our authority under both section
1886(d)(3)(E) of the Act, which gives the
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Secretary broad authority to adjust for
area differences in hospital wage levels
by a factor (established by the Secretary)
reflecting the relative hospital wage
level in the geographic area of the
hospital compared to the national
average hospital wage level, and
requires those adjustments to be budget
neutral, and our exceptions and
adjustments authority under section
1886(d)(5)(I) of the Act. We refer readers
to section III.N. of the preamble of this
proposed rule for a complete discussion
regarding this proposal.
g. Proposed Transition Budget
Neutrality Adjustment Reflecting the
Proposed FY 2020 Wage Index Changes
In section III.N. of the preamble of
this proposed rule, we state that we
recognize that, absent further
adjustments, the combined effect of the
proposed changes to the FY 2020 wage
index could lead to significant decreases
in the wage index values for some
hospitals depending on the data for the
final rule. Therefore, for FY 2020, we
are proposing a transition wage index to
help mitigate any significant decreases
in the wage index values of hospitals
compared to their final wage indexes for
FY 2019. Specifically, we are proposing
to place a 5-percent cap on any decrease
in a hospital’s wage index from the
hospital’s final wage index in FY 2019.
In other words, we are proposing that a
hospital’s final wage index for FY 2020
would not be less than 95 percent of its
final wage index for FY 2019. For FY
2020, we are proposing to use our
exceptions and adjustments authority
under section 1886(d)(5)(I)(i) of the Act
to apply a budget neutrality adjustment
to the standardized amount so that our
proposed transition for hospitals
negatively impacted (described in
section III.N.3.d. of the preamble of this
proposed rule) is implemented in a
budget neutral manner. We refer readers
to section III.N. of the preamble of this
proposed rule for a complete discussion
regarding this proposal.
To calculate a proposed transition
budget neutrality adjustment factor for
FY 2020, we used FY 2018 discharge
data to simulate payments and
compared the following:
• Aggregate payments using the
proposed FY 2020 labor-related share
percentages, the proposed FY 2020
relative weights, and the proposed FY
2020 wage index for each hospital after
adjusting the wage indexes under the
proposed policy for lowest and highest
quartile wage index hospitals but
without the proposed 5-percent cap, and
applied the proposed FY 2020 hospital
readmissions payment adjustments and
the estimated FY 2020 hospital VBP
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payment adjustments, and the proposed
operating outlier reconciliation adjusted
outlier percentage; and
• Aggregate payments using the
proposed FY 2020 labor-related share
percentages, the proposed FY 2020
relative weights, and the proposed FY
2020 wage index for each hospital after
adjusting the wage indexes under the
proposed policy for lowest and highest
quartile wage index hospitals and with
the proposed 5-percent cap, and applied
the same proposed FY 2020 hospital
readmissions payment adjustments and
the estimated FY 2020 hospital VBP
payment adjustments applied above,
and the proposed operating outlier
reconciliation adjusted outlier
percentage.
This proposed FY 2020 budget
neutrality adjustment factor was applied
to the proposed standardized amount.
Based on this comparison, we
determined a proposed transition
budget neutrality adjustment factor of
0.998349. We note that Table 2
associated with this proposed rule
(which is available via the internet on
the CMS website) contains the proposed
wage index by provider before adjusting
the wage indexes under the proposed
policy for lowest and highest quartile
wage index hospitals and the proposed
5-percent cap and the proposed wage
index by provider after the application
of these proposals.
h. Proposed Adjustment for FY 2020
Required Under Section 414 of Public
Law 114–10 (MACRA)
As stated in the FY 2017 IPPS/LTCH
PPS final rule (81 FR 56785), once the
recoupment required under section 631
of the ATRA was complete, we had
anticipated making a single positive
adjustment in FY 2018 to offset the
reductions required to recoup the $11
billion under section 631 of the ATRA.
However, section 414 of the MACRA
(which was enacted on April 16, 2015)
replaced the single positive adjustment
we intended to make in FY 2018 with
a 0.5 percent positive adjustment for
each of FYs 2018 through 2023. (As
noted in the FY 2018 IPPS/LTCH PPS
proposed and final rules, section 15005
of the 21st Century Cures Act (Pub. L.
114–255), which was enacted December
13, 2016, reduced the adjustment for FY
2018 from 0.5 percentage points to
0.4588 percentage points.) Therefore, for
FY 2020, we are proposing to
implement the required +0.5 percent
adjustment to the standardized amount.
This is a permanent adjustment to the
payment rates.
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i. Proposed Outlier Payments
Section 1886(d)(5)(A) of the Act
provides for payments in addition to the
basic prospective payments for ‘‘outlier’’
cases involving extraordinarily high
costs. To qualify for outlier payments, a
case must have costs greater than the
sum of the prospective payment rate for
the MS–DRG, any IME and DSH
payments, uncompensated care
payments, any new technology add-on
payments, and the ‘‘outlier threshold’’
or ‘‘fixed-loss’’ amount (a dollar amount
by which the costs of a case must
exceed payments in order to qualify for
an outlier payment). We refer to the sum
of the prospective payment rate for the
MS–DRG, any IME and DSH payments,
uncompensated care payments, any new
technology add-on payments, and the
outlier threshold as the outlier ‘‘fixedloss cost threshold.’’ To determine
whether the costs of a case exceed the
fixed-loss cost threshold, a hospital’s
CCR is applied to the total covered
charges for the case to convert the
charges to estimated costs. Payments for
eligible cases are then made based on a
marginal cost factor, which is a
percentage of the estimated costs above
the fixed-loss cost threshold. The
marginal cost factor for FY 2020 is 80
percent, or 90 percent for burn MS–
DRGs 927, 928, 929, 933, 934 and 935.
We have used a marginal cost factor of
90 percent since FY 1989 (54 FR 36479
through 36480) for designated burn
DRGs as well as a marginal cost factor
of 80 percent for all other DRGs since
FY 1995 (59 FR 45367).
In accordance with section
1886(d)(5)(A)(iv) of the Act, outlier
payments for any year are projected to
be not less than 5 percent nor more than
6 percent of total operating DRG
payments (which does not include IME
and DSH payments) plus outlier
payments. Similar to prior years, when
setting the outlier threshold, we
compute the percent target by dividing
the total operating outlier payments by
the total operating DRG payments plus
outlier payments. As discussed in the
next section, for FY 2020 we are
proposing to incorporate an estimate of
outlier reconciliation when setting the
outlier threshold. We do not include
any other payments such as IME and
DSH within the outlier target amount.
Therefore, it is not necessary to include
Medicare Advantage IME payments in
the outlier threshold calculation.
Section 1886(d)(3)(B) of the Act requires
the Secretary to reduce the average
standardized amount by a factor to
account for the estimated proportion of
total DRG payments made to outlier
cases. More information on outlier
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payments may be found on the CMS
website at: https://www.cms.gov/
Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS/
outlier.htm.
(1) Proposed Methodology To
Incorporate an Estimate of Outlier
Reconciliation in the FY 2020 Outlier
Fixed-Loss Cost Threshold
The regulations in 42 CFR 412.84(i)(4)
state that any outlier reconciliation at
cost report settlement will be based on
operating and capital cost-to-charge
ratios (CCRs) calculated based on a ratio
of costs to charges computed from the
relevant cost report and charge data
determined at the time the cost report
coinciding with the discharge is settled.
We have instructed MACs to identify for
CMS any instances where: (1) A
hospital’s actual CCR for the cost
reporting period fluctuates plus or
minus 10 percentage points compared to
the interim CCR used to calculate
outlier payments when a bill is
processed; and (2) the total outlier
payments for the hospital exceeded
$500,000.00 for that cost reporting
period. If we determine that a hospital’s
outlier payments should be reconciled,
we reconcile both operating and capital
outlier payments. We refer readers to
section 20.1.2.5 of Chapter 3 of the
Medicare Claims Processing Manual
(available on the CMS website at:
https://www.cms.gov/Regulations-andGuidance/Guidance/Manuals/
Downloads/clm104c03.pdf) for
complete details regarding outlier
reconciliation. The regulation at
§ 412.84(m) further states that at the
time of any outlier reconciliation under
§ 412.84(i)(4), outlier payments may be
adjusted to account for the time value of
any underpayments or overpayments.
Section 20.1.2.6 of Chapter 3 of the
Medicare Claims Processing Manual
contains instructions on how to assess
the time value of money for reconciled
outlier amounts.
If the operating CCR of a hospital
subject to outlier reconciliation is lower
at cost report settlement compared to
the operating CCR used for payment, the
hospital will owe CMS money because
it received an outlier overpayment at the
time of claim payment. Conversely, if
the operating CCR increases at cost
report settlement compared to the
operating CCR used for payment, CMS
will owe the hospital money because
the hospital outlier payments were
underpaid. In prior fiscal years,
commenters have requested that CMS
incorporate outlier reconciliation in the
development of the outlier threshold.
As we have stated in prior
rulemaking, outlier reconciliation is a
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function of the cost report, and MACs
record the outlier reconciliation amount
on each provider’s cost report.
Therefore, as the MACs continue to
perform these outlier reconciliations,
they record these amounts on the cost
report, which are then publicly
available through the HCRIS database.
Therefore, the outlier reconciliation data
used in the following proposed process
would be publicly available through the
cost report.
In the FY 2004 IPPS final rule (68 FR
45476 through 45477), we included an
estimate for outlier reconciliation that
identified and adjusted the CCRs of
hospitals in our calculation of the
outlier fixed loss threshold. However,
outlier cases are difficult to predict with
regard to their occurrence for any
individual hospital. Generally, an
outlier payment is made if the estimated
costs of the case exceed the sum of the
outlier threshold plus the relevant
payment amounts. There are many
different variables that determine
whether a case will be eligible for an
outlier payment, including the CCR, the
estimated costs of the case, the payment
amounts, and the outlier threshold
itself. We refer readers to section II.C.1.
of this Addendum for additional detail
regarding how the outlier payment is
computed. In addition, predicting both
the specific hospitals that will have
outlier payments reconciled and the
dollar amount of any such outlier
reconciliation is difficult, which makes
incorporating reconciliation into the
modeling of the outlier threshold
challenging.
In the FY 2019 IPPS/LTCH PPS final
rule and other prior rulemaking, we
have stated that we continue to believe
that, due to the policy implemented in
the June 9, 2003 Outlier Final Rule (68
FR 34494), CCRs will no longer
fluctuate as significantly and, therefore,
few hospitals will actually have their
outlier payments reconciled upon cost
report settlement. In addition, we stated
that it is difficult to predict the specific
hospitals that will have fluctuating
CCRs and outlier payments reconciled
in any given year. In the FY 2019 IPPS/
LTCH PPS final rule, in response to
comments expressing concern with
CMS’ decision not to consider outlier
reconciliation in developing the outlier
threshold, we stated that we intended to
revisit this issue in next year’s proposed
rule (that is, this FY 2020 proposed rule)
as we continue to consider the
feasibility of including outlier
reconciliation in the modeling of the
outlier threshold.
Since the issuance of the FY 2019
IPPS/LTCH PPS final rule, we have
continued to consider how outlier
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reconciliation could be included in the
modeling of the outlier threshold.
Rather than trying to predict which
claims and/or hospitals may be subject
to outlier reconciliation for FY 2020, we
believe a methodology that incorporates
an estimate of outlier reconciliation
dollars based on actual outlier
reconciliation amounts reported in
historical cost reports would be a more
feasible approach and provide a better
estimate and predictor of outlier
reconciliation for the upcoming fiscal
year. We believe this proposed
methodology would address concerns
on the impact of outlier reconciliation
on the modeling of the outlier threshold.
We also believe the cost report data
available in the HCRIS may be
sufficiently complete for certain
historical fiscal years to allow for
calculating an estimate of outlier
reconciliation for FY 2020. We issued
Change Request 7192 on December 3,
2010 (available via the internet on the
CMS website at: https://www.cms.gov/
Regulations-and-Guidance/Guidance/
Transmittals/downloads/R2111CP.pdf)
which updated a utility to reprice
outlier claims for purposes of outlier
reconciliation. Prior to this update, cost
reports subject to outlier reconciliation
were being held open until there was a
mechanism to perform the outlier
reconciliation. The outlier
reconciliation amounts on the cost
report are reflected in HCRIS once the
cost report is final settled. As MACs
began performing the outlier
reconciliations, they were able to final
settle many of these cost reports and the
data for outlier reconciliation began to
become available in HCRIS. However,
even with a utility available beginning
in 2010, not all cost reports were final
settled for reasons other than outlier
reconciliation. Therefore, HCRIS may
not have reflected all of the hospitals
subject to outlier reconciliation. We
believe that many of these other reasons
for the delay in cost reports being final
settled have now been resolved. In
contrast to prior years, HCRIS now
contains more final settled cost reports
that include outlier reconciliation, in
particular for FY 2014, as we discuss
below, which can be used to develop an
annual estimate of total dollars related
to outlier reconciliation payments based
on this historical cost report data.
Therefore, for FY 2020, we are
proposing to incorporate into the outlier
model the total outlier reconciliation
dollars based on historical data. We are
providing below a step-by-step
explanation of how we are proposing to
incorporate these dollars into the model.
Currently, outlier reconciliation is
among the last steps before the cost
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report is final settled. In order to
determine if a hospital meets the outlier
reconciliation criteria, all cost report
adjustments must be finalized in order
to compare the final settled operating
CCR from the cost report to the
operating CCR used for the original
claim payment. Generally, MACs
attempt to have a cost report final
settled 12 months after the cost report
is submitted by the provider to CMS.
However, there are sometimes issues or
adjustments that are unique to the cost
report that extend the final settlement
beyond 12 months. This will delay the
MAC from recording the outlier
reconciliation amounts on the cost
report, which will also delay the
availability of these amounts in HCRIS.
Because of these potential delays, we
are proposing to use the historical
outlier reconciliation amounts from the
FY 2014 cost reports (cost reports with
a begin date on or after October 1, 2013,
and on or before September 30, 2014),
which are currently the most recent and
complete set of outlier reconciliation
data, which are finalized and/or
approved by the MAC as of the time of
development of this FY 2020 proposed
rule. We note that approximately 90
percent of the FY 2014 cost reports are
final settled, as compared to
approximately 60 percent of the FY
2015 cost reports that are final settled.
As of the December 2018 HCRIS, 16 of
the FY 2014 cost reports and 8 of the FY
2015 cost reports had completed outlier
reconciliation amounts. Therefore, we
believe that the FY 2014 cost reports
provide the most recent and complete
available data to estimate the effect of
outlier reconciliation dollars on the
outlier cost threshold. We considered
using FY 2015 cost report data.
However, because, as previously noted,
the FY 2015 and later years cost reports
have a larger percent of not final settled
cost reports, outlier reconciliation
dollars for these years may not be
sufficiently available in the HCRIS.
Therefore, we currently believe that it
may not be appropriate to use those
more recent cost reports to estimate
outlier reconciliation for the FY 2020
proposed and final rules. In order to
prospectively determine the outlier
threshold, we are proposing to use the
FY 2014 cost reports from the most
recent publically available HCRIS
extract at the time of development of the
proposed and final rules. For this FY
2020 proposed rule, we used the
December 2018 HCRIS extract to
calculate the proposed percentage
adjustment for outlier reconciliation.
For the FY 2020 final rule, we are
proposing to use the latest quarterly
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HCRIS extract that is publically
available at the time of the development
of that rule which, for FY 2020, would
be the March 2019 extract. We believe
hospitals that have a FY 2014 cost
report approved for outlier
reconciliation will have had their cost
reports final settled by the issuance of
this proposed rule and, therefore, would
have outlier reconciliation estimates
available for use in the FY 2020 final
rule.
We are proposing the following
methodology to incorporate a projection
of outlier payment reconciliations for
the FY 2020 outlier threshold
calculation.
Step 1.—Use the Federal FY 2014 cost
reports for hospitals paid under the
IPPS from the most recent publicly
available quarterly HCRIS extract
available at the time of development of
the proposed and final rules, and
exclude sole community hospitals
(SCHs) that were paid under their
hospital-specific rate (that is, if
Worksheet E, Part A, Line 48 is greater
than Line 47). We used the December
2018 HCRIS extract for this proposed
rule and expect to use the March 2019
HCRIS extract for the FY 2020 final rule.
Step 2.—Calculate the aggregate
amount of historical total of operating
outlier reconciliation dollars (Worksheet
E, Part A, Line 2.01) using the Federal
FY 2014 cost reports from Step 1.
Step 3.—Calculate the aggregate
amount of total Federal operating
payments using the Federal FY 2014
cost reports from Step 1. The total
Federal operating payments consist of
the Federal payments (Worksheet E, Part
A, Line 1.01 and Line 1.02, plus Line
1.03 and Line 1.04), outlier payments
(Worksheet E, Part A, Line 2 and Line
2.02), and the outlier reconciliation
payments (Worksheet E, Part A, Line
2.01). We note that a negative amount
on Worksheet E, Part A, Line 2.01 for
outlier reconciliation indicates an
amount that was owed by the hospital,
and a positive amount indicates this
amount was paid to the hospital.
Step 4.—Divide the amount from Step
2 by the amount from Step 3 and
multiply the resulting amount by 100 to
produce the percentage of total
operating outlier reconciliation dollars
to total Federal operating payments for
FY 2014. This percentage amount would
be used to adjust the outlier target for
FY 2020 as described in Step 5.
Step 5.—Because the outlier
reconciliation dollars are only available
on the cost reports, and not in the
Medicare claims data in the MedPAR
file used to model the outlier threshold,
we are proposing to target 5.1 percent
minus the percentage determined in
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19593
Step 4 in determining the outlier
threshold. Using the FY 2014 cost
reports based on the December 2018
HCRIS extract, because the aggregate
outlier reconciliation dollars from Step
2 are negative, we are targeting an
amount higher than 5.1 percent for
outlier payments for FY 2020 under our
proposed methodology.
For this FY 2020 proposed rule, based
on the December 2018 HCRIS, 16
hospitals had an outlier reconciliation
amount recorded on Worksheet E, Part
A, Line 2.01 for total operating outlier
reconciliation dollars of negative
$24,433,087 (Step 2). The total Federal
operating payments based on the
December 2018 HCRIS was
$82,969,541,296 (Step 3). The ratio
(Step 4) is a negative 0.029448 percent,
which, when rounded to the second
digit, is negative 0.03 percent.
Therefore, for FY 2020, we are
proposing to incorporate a projection of
outlier reconciliation dollars by
targeting an outlier threshold at 5.13
percent [5.1 percent¥(¥.03 percent)].
When the percentage of operating
outlier reconciliation dollars to total
Federal operating payments is negative
(such is the case when the aggregate
amount of outlier reconciliation is
negative), the effect is a decrease to the
outlier threshold compared to an outlier
threshold that is calculated without
including this estimate of operating
outlier reconciliation dollars. In section
II.A.4.i.(2) of this Addendum, we
provide the FY 2020 outlier threshold as
calculated for this proposed rule both
with and without including this
proposed percentage estimate of
operating outlier reconciliation.
As explained earlier, we believe this
is an appropriate method to include
outlier reconciliation dollars in the
outlier model because it uses the total
outlier reconciliation dollars based on
historic data rather than predicting
which specific hospitals will have
outlier payments reconciled for FY
2020. However, we would continue to
use a 5.1 percent target (or an outlier
offset factor of 0.949) in calculating the
outlier offset to the standardized
amount. In the past, the outlier offset
was six decimals because we targeted
and set the threshold at 5.1 percent by
adjusting the standardized amount by
the outlier offset until operating outlier
payments divided by total operating
Federal payments plus operating outlier
payments equaled approximately 5.1
percent (this approximation resulted in
an offset beyond three decimals).
However, under our proposed
methodology, we believe a three
decimal offset of 0.949 reflecting 5.1
percent is appropriate rather than the
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unrounded six decimal offset that we
have calculated for prior fiscal years.
Specifically, as discussed in section
II.A.5. of this Addendum, we are
proposing to determine an outlier
adjustment by applying a factor to the
standardized amount that accounts for
the projected proportion of total
estimated FY 2020 operating Federal
payments paid as outliers. Our proposed
modification to the outlier threshold
methodology is designed to adjust the
total estimated outlier payments for FY
2020 by incorporating the projection of
negative outlier reconciliation. That is,
under this proposal, total estimated
outlier payments for FY 2020 would be
the sum of the estimated FY 2020
outlier payments based on the claims
data from the outlier model and the
estimated FY 2020 total operating
outlier reconciliation dollars. We
believe the proposed methodology
would more accurately estimate the
outlier adjustment to the standardized
amount by increasing the accuracy of
the calculation of the total estimated FY
2020 operating Federal payments paid
as outliers. In other words, the net effect
of our outlier proposal to incorporate a
projection for outlier reconciliation
dollars into the threshold methodology
would be that FY 2020 outlier payments
(which include the estimated
recoupment percentage for FY 2020 of
0.03 percent) would be 5.1 percent of
total operating Federal payments plus
total outlier payments. Therefore, the
operating outlier offset to the
standardized amount is 0.949
(1¥0.051).
Although we are not making any
proposals with respect to the
methodology for FY 2021 and
subsequent fiscal years, the abovedescribed proposed methodology could
advance by one year the cost reports
used to determine the historical outlier
reconciliation (for example, for FY 2021,
the FY 2015 outlier reconciliations
would be expected to be complete). We
are considering additional options in
order to have available more recent
estimates of outlier reconciliation for
future rulemaking.
We establish an outlier threshold that
is applicable to both hospital inpatient
operating costs and hospital inpatient
capital related costs (58 FR 46348).
Similar to the calculation of the
proposed adjustment to the
standardized amount to account for the
projected proportion of operating
payments paid as outlier payments, as
discussed in greater detail in section
III.A.2. of this Addendum, we are
proposing to reduce the FY 2020 capital
standard Federal rate by an adjustment
factor to account for the projected
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proportion of capital IPPS payments
paid as outliers. The regulations in 42
CFR 412.84(i)(4) state that any outlier
reconciliation at cost report settlement
will be based on operating and capital
CCRs calculated based on a ratio of costs
to charges computed from the relevant
cost report and charge data determined
at the time the cost report coinciding
with the discharge is settled. As such,
any reconciliation also applies to capital
outlier payments. As part of our
proposal for FY 2020 to incorporate into
the outlier model the total outlier
reconciliation dollars from the most
recent and most complete fiscal year
cost report data, we also are proposing
to adjust our estimate of FY 2020 capital
outlier payments to incorporate a
projection of capital outlier
reconciliation payments when
determining the adjustment factor to be
applied to the capital standard Federal
rate to account for the projected
proportion of capital IPPS payments
paid as outliers. To do so, we are
proposing to use the following
methodology, which generally parallels
the proposed methodology to
incorporate a projection of operating
outlier reconciliation payments for the
FY 2020 outlier threshold calculation.
Step 1.—Use the Federal FY 2014 cost
reports for hospitals paid under the
IPPS from the most recent publicly
available quarterly HCRIS extract
available at the time of development of
the proposed and final rules, and
exclude SCHs that were paid under
their hospital-specific rate (that is, if
Worksheet E, Part A, Line 48 is greater
than Line 47). We used the December
2018 HCRIS extract for this proposed
rule and expect to use the March 2019
HCRIS extract for the FY 2020 final rule.
Step 2.—Calculate the aggregate
amount of the historical total of capital
outlier reconciliation dollars (Worksheet
E, Part A, Line 93, Column 1) using the
Federal FY 2014 cost reports from Step
1.
Step 3.—Calculate the aggregate
amount of total capital Federal
payments using the Federal FY 2014
cost reports from Step 1. The total
capital Federal payments consist of the
capital DRG payments, including capital
indirect medical education (IME) and
capital disproportionate share hospital
(DSH) payments (Worksheet E, Part A,
Line 50, Column 1) and the capital
outlier reconciliation payments
(Worksheet E, Part A, Line 93, Column
1). We note that a negative amount on
Worksheet E, Part A, Line 93 for capital
outlier reconciliation indicates an
amount that was owed by the hospital,
and a positive amount indicates this
amount was paid to the hospital.
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Step 4.—Divide the amount from Step
2 by the amount from Step 3 and
multiply the resulting amount by 100 to
produce the percentage of total capital
outlier reconciliation dollars to total
capital Federal payments for FY 2014.
This percentage amount would be used
to adjust the estimate of capital outlier
payments for FY 2020 as described in
Step 5.
Step 5.—Because the outlier
reconciliation dollars are only available
on the cost reports, and not in the
specific Medicare claims data in the
MedPAR file used to estimate outlier
payments, we are proposing that the
estimate of capital outlier payments for
FY 2020 would be determined by
adding the percentage in Step 4 to the
estimated percentage of capital outlier
payments otherwise determined using
the shared outlier threshold that is
applicable to both hospital inpatient
operating costs and hospital inpatient
capital-related costs. (We note that this
percentage is added for capital outlier
payments but subtracted in the
analogous step for operating outlier
payments. We have a unified outlier
payment methodology that uses a
shared threshold to identify outlier
cases for both operating and capital
payments. The difference stems from
the fact that operating outlier payments
are determined by first setting a ‘‘target’’
percentage of operating outlier
payments relative to aggregate operating
payments which produces the outlier
threshold. Once the shared threshold is
set, it is used to estimate the percentage
of capital outlier payments to total
capital payments based on that
threshold. Because the threshold is
already set based on the operating
target, rather than adjusting the
threshold (or operating target), we adjust
the percentage of capital outlier to total
capital payments to account for the
estimated effect of capital outlier
reconciliation payments. This
percentage is adjusted by adding the
capital outlier reconciliation percentage
from Step 4 to the estimate of the
percentage of capital outlier payments
to total capital payments based on the
shared threshold.) Because the aggregate
capital outlier reconciliation dollars
from Step 2 are negative, the estimate of
capital outlier payments for FY 2020
under our proposed methodology would
be lower than the percentage of capital
outlier payments otherwise determined
using the shared outlier threshold.
For this FY 2020 proposed rule, the
estimated percentage of FY 2020 capital
outlier payments otherwise determined
using the shared outlier threshold is
5.39 percent (estimated capital outlier
payments of $433,416,367 divided by
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(estimated capital outlier payments of
$433,416,367 plus the estimated total
capital Federal payment of
$7,603,919,535)). Based on the
December 2018 HCRIS, 16 hospitals had
an outlier reconciliation amount
recorded on Worksheet E, Part A, Line
93 for total capital outlier reconciliation
dollars of negative $3,860,075 (Step 2).
The total Federal capital payments
based on the December 2018 HCRIS was
$7,506,907,042 (Step 3) which results in
a ratio (Step 4) of ¥0.05 percent.
Therefore, for FY 2020, taking into
account projected capital outlier
reconciliation payments under our
proposed methodology would decrease
the estimated percentage of FY 2020
aggregate capital outlier payments by
0.05 percent.
As explained in our discussion of the
outlier threshold methodology above,
we believe this is an appropriate
method to include capital outlier
reconciliation dollars in the estimated
percentage of capital outlier payments
because it uses the total outlier
reconciliation dollars based on historic
data rather than predicting which
specific hospitals will have outlier
payments reconciled for FY 2020. As
discussed in section III.A.2. of this
Addendum, we are proposing to
incorporate the capital outlier
reconciliation dollars from Step 5 when
applying the outlier adjustment factor in
determining the capital Federal rate
based on the estimated percentage of
capital outlier payments to total capital
Federal rate payments for FY 2020.
We are inviting public comment on
our proposed methodology for
projecting the estimate of outlier
reconciliation and incorporating that
estimate into the modeling for the fixedloss cost outlier threshold and our
proposed methodology for projecting
the estimate of capital outlier
reconciliation and incorporating that
estimate into the modeling of the
estimate of FY 2020 capital outlier
payments for purposes of determining
the capital outlier adjustment factor.
(2) Proposed FY 2020 Outlier FixedLoss Cost Threshold
In the FY 2014 IPPS/LTCH PPS final
rule (78 FR 50977 through 50983), in
response to public comments on the FY
2013 IPPS/LTCH PPS proposed rule, we
made changes to our methodology for
projecting the outlier fixed-loss cost
threshold for FY 2014. We refer readers
to the FY 2014 IPPS/LTCH PPS final
rule for a detailed discussion of the
changes.
As we have done in the past, to
calculate the proposed FY 2020 outlier
threshold, we simulated payments by
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applying proposed FY 2020 payment
rates and policies using cases from the
FY 2018 MedPAR file. As noted in
section II.C. of this Addendum, we
specify the formula used for actual
claim payment which is also used by
CMS to project the outlier threshold for
the upcoming fiscal year. The difference
is the source of some of the variables in
the formula. For example, operating and
capital CCRs for actual claim payment
are from the PSF while CMS uses an
adjusted CCR (as described below) to
project the threshold for the upcoming
fiscal year. In addition, charges for a
claim payment are from the bill while
charges to project the threshold are from
the MedPAR data with an inflation
factor applied to the charges (as
described earlier).
In order to determine the proposed FY
2020 outlier threshold, we inflated the
charges on the MedPAR claims by 2
years, from FY 2018 to FY 2020. To
produce the most stable measure of
charge inflation, we applied the
following inclusion and exclusion
criteria of hospitals claims in our
measure of charge inflation:
• Include hospitals whose last four
digits fall between 0001 and 0899
(section 2779A1 of Chapter 2 of the
State Operations Manual on the CMS
website at https://www.cms.gov/
Regulations-and-Guidance/Guidance/
Manuals/Downloads/som107c02.pdf);
include CAHs that were IPPS hospitals
for the time period of the MedPAR data
being used to calculate the charge
inflation factor; include hospitals in
Maryland; and remove PPS-excluded
cancer hospitals who have a ‘‘V’’ in the
fifth position of their provider number
or a ‘‘E’’ or ‘‘F’’ in the sixth position.
• Include providers that are in both
periods of charge data that are used to
calculate the 1-year average annual rateof-change in charges per case. We note
this is consistent with the methodology
used since FY 2014 and are providing
this as a technical clarification.
• We excluded Medicare Advantage
IME claims for the reasons described in
section I.A.4. of this Addendum. We
refer readers to the FY 2011 IPPS/LTCH
PPS final rule for a complete discussion
on our methodology of identifying and
adding the total Medicare Advantage
IME payment amount to the budget
neutrality adjustments.
• In order to ensure that we capture
only FFS claims, we included claims
with a ‘‘Claim Type’’ of 60 (which is a
field on the MedPAR file that indicates
a claim is an FFS claim).
• In order to further ensure that we
capture only FFS claims, we excluded
claims with a ‘‘GHOPAID’’ indicator of
1 (which is a field on the MedPAR file
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19595
that indicates a claim is not an FFS
claim and is paid by a Group Health
Organization).
• We examined the MedPAR file and
removed pharmacy charges for antihemophilic blood factor (which are paid
separately under the IPPS) with an
indicator of ‘‘3’’ for blood clotting with
a revenue code of ‘‘0636’’ from the
covered charge field. We also removed
organ acquisition charges from the
covered charge field because organ
acquisition is a pass-through payment
not paid under the IPPS.
Our general methodology to inflate
the charges computes the 1-year average
annual rate-of-change in charges per
case which is then applied twice to
inflate the charges on the MedPAR
claims by 2 years (for example, FY 2018
to FY 2020). Specifically, under the
methodology we have used since FY
2014, we compare the average charge
per case from the latest 12 month period
of MedPAR claims data available at the
time of the proposed rule and the final
rule to the average charge per case for
the 12 month period from the prior year.
For example, for the FY 2019 IPPS/
LTCH PPS proposed rule (83 FR 20581),
we used the December 2017 update of
MedPAR claims data to calculate the
average charges per case for the periods
of January through December for CYs
2016 and 2017. Because the publicly
released MedPAR claims do not contain
claims beyond the end of the Federal
fiscal year, the data for the last quarter
of CY 2017 were not included in the
publicly available December 2017
release. As we have in prior rulemaking,
we included in the FY 2019 proposed
rule a table grouping the claims data
used in the calculation by quarter, and
also made available on the CMS website
more detailed summary tables by
provider with the monthly charges that
were used to compute the charge
inflation factor.
As summarized in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41718), we
have continued to receive comments
expressing concern with what
commenters stated was a lack of
transparency with respect to the charge
inflation component of the fixed-loss
threshold calculation. The commenters
concluded that, in the absence of access
to the data or more specific data and
information about how CMS arrived at
the totals used in the charge inflation
calculation, their ability to comment or
to review the calculation of the charge
inflation factor was limited.
Another commenter stated that CMS
has not made the necessary data
available or any guidance that describes
whether and how CMS edited such data
to arrive at the total of quarterly charges
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and charges per case used to measure
charge inflation. Consequently, the
commenter stated that the table of
quarterly charges provided in the
proposed rule was not useful in
assessing the accuracy of the charge
inflation figure that CMS used in the
proposed rule to calculate the outlier
threshold.
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41718), we noted that we
responded to similar comments in the
FY 2015 IPPS/LTCH PPS final rule (79
FR 50375), the FY 2016 IPPS/LTCH PPS
final rule (80 FR 49779 through 49780),
the FY 2017 IPPS/LTCH PPS final rule
(81 FR 57283), and the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38524). We
also explained that we have not yet been
able to restructure the files (such as
ensuring that personal identification
information is compliant with privacy
regulations) for release with the
publication of the proposed rule and the
final rule, and we continue to be
confronted with the dilemma of either
using older data that commenters can
access earlier or using the most up-todate data which will be more accurate,
but will not be available to the public
until after publication of the proposed
and final rules. We stated that we
continue to prefer using the latest data
available at the time of the development
of the proposed and final rules to
compute the charge inflation factor
because we believe it leads to greater
accuracy in the calculation of the fixedloss cost outlier threshold. We also
noted that commenters did not
recommend using charge data from a
different period to compute the charge
inflation factor. However, we stated
that, for this FY 2020 IPPS/LTCH PPS
proposed rule, we are continuing to
consider using data that commenters
can access earlier.
For this FY 2020 IPPS/LTCH PPS
proposed rule, after further
consideration, we believe balancing our
preference to use the latest available
data from the MedPAR files and
stakeholders’ concerns about being able
to use publicly available MedPAR files
to review the charge inflation factor can
be achieved by modifying our
methodology to use the publicly
available Federal fiscal year period (that
is, for FY 2020, we would use the charge
data from Federal fiscal years 2017 and
2018), rather than the most recent data
available to CMS. That is, for FY 2020,
we are proposing to use the charge data
from Federal fiscal years 2017 and 2018
to calculate the 1-year average annual
rate-of-change in charges per case for
purposes of calculating both the
proposed and final charge inflation
factors, rather than the charge data from
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CYs 2017 and 2018 for purposes of
calculating the proposed charge
inflation factor and charge data from the
periods April 1, 2017 through March 31,
2018 and April 1, 2018 through March
31, 2019 for purposes of calculating the
final charge inflation factor as we would
under our prior methodology. We
believe there are benefits to using
comparable Federal fiscal year periods
rather than the most recent available
data to calculate charge inflation, such
as seasonality effects and the
completeness of claims (that is, runout). Specifically, under the
methodology used for FYs 2014 through
2019, there is no run-out time between
some of the claims and the MedPAR
release. For example, under our current
methodology, the most recent data
available for purposes of this proposed
rule would be the December 2018
MedPAR release, with the final month
of charge data being December 2018,
and for the FY 2020 IPPS/LTCH PPS
final rule, the most recent data available
would be the March 2019 MedPAR
release, with the final month of charge
data being March 2019. With no run-out
time between the end of the claims data
period and the MedPAR release, some
claims are not included from the last
month of the applicable MedPAR
release due to factors such as when the
claim is submitted and claims
processing time. In comparison, there is
a 3-month run-out between the end of
Federal fiscal year 2018 (September 30,
2018) and the December 2018 MedPAR
release (cut-off as of December 31, 2018)
for the proposed rule and a 6-month
run-out between the end of Federal
fiscal year 2018 (September 30, 2018)
and the March 2019 MedPAR release
(cut off as of March 31, 2019) for the
final rule, which allows for more
completeness in those FY 2018 claims.
In addition to the completeness of the
data, we believe this would also address
commenters’ concerns regarding
transparency with respect to the data
used to calculate the charge inflation
factor. Adopting a methodology that
uses charge data based on Federal fiscal
years would allow for the MedPAR data
to be readily available after publication
of the proposed and final rules.
After further consideration of the
issue and for the reasons discussed
above, we are proposing to use the
publicly available MedPAR files for the
2 most recent Federal fiscal year time
periods to calculate the charge inflation
factor beginning in FY 2020.
Specifically, for this proposed rule, we
used the December 2017 MedPAR file of
FY 2017 (October 1, 2016 through
September 30, 2017) charge data
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(released in conjunction with the FY
2019 IPPS/LTCH PPS proposed rule)
and the December 2018 MedPAR file of
FY 2018 (October 1, 2017 through
September 30, 2018) charge data
(released in conjunction with this FY
2020 IPPS/LTCH PPS proposed rule) to
compute the proposed charge inflation
factor. In addition, we are proposing
that, for the FY 2020 final rule, we
would use the most recent available
data; that is, the MedPAR files from
March 2018 for the FY 2017 charge data
and the MedPAR files from March 2019
for the FY 2018 charge data. Because
these data are publicly available at the
time of the issuance of the proposed and
final rules, we are proposing that,
beginning with the FY 2020 final rule,
we would no longer provide the table of
quarterly charges that we have included
in prior rulemaking, if this proposed
change to our methodology is finalized.
(We note that we are providing this
information in this proposed rule for
comparison purposes below.) We are
inviting public comments on this
proposed change to our methodology to
use in this proposed rule the December
2017 and December 2018 MedPAR
releases for the respective FY 2017 and
FY 2018 October to September
applicable periods rather than the
respective CY 2017 and CY 2018
January to December applicable periods
for purposes of calculating the proposed
charge inflation factor for the FY 2020
outlier threshold calculation.
For FY 2020, under this proposed
methodology, to compute the 1-year
average annual rate-of-change in charges
per case, we compared the average
covered charge per case of $58,355.91
($562,621,348,420/9,641,206) from
October 1, 2016 through September 31,
2017, to the average covered charge per
case of $61,533.91 ($583,577,793,654/
9,483,841) from October 1, 2017 through
September 31, 2018. This rate-of-change
was 5.4 percent (1.05446) or 11.2
percent (1.11189) over 2 years. The
billed charges are obtained from the
claims from the MedPAR file and
inflated by the inflation factor specified
above.
We also are providing below our
calculation of the 1-year average annual
rate-of-change in charges per case based
on the December 2018 MedPAR release
with applicable periods of January to
December for CY 2017 and CY 2018 for
comparison consistent with the
methodology we used for FYs 2014
through 2019. As we did for prior
rulemaking, we grouped claims by
quarter and present the sum total for
each time period in the table that
follows. Specifically, under the
methodology we used for FYs 2014
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through 2019, the 1-year average
annualized rate-of-change in charges per
case for FY 2020 is computed by
comparing the average covered charge
per case of $59,137.57
Covered charges
(January 1, 2017
through December 31,
2017)
Quarter
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($572,976,462,154/9,688,874) from
January 1, 2017 through December 31,
2017 to the average covered charge per
case of $62,241.46 ($549,618,561,649/
8,830,425) from January 1, 2018 through
Cases
(January 1, 2017
through December 31,
2017)
19597
December 31, 2018. This rate-of-change
was 5.2 percent (1.05249) or 10.8
percent (1.10775) over 2 years.
Covered charges
(January 1, 2018
through December 31,
2018)
Cases
(January 1, 2018
through December 31,
2018)
Jan–Mar ...........................................
Apr–Jun ............................................
Jul–Sep ............................................
Oct–Dec ...........................................
$149,423,349,880
141,253,933,908
137,549,332,685
144,749,845,681
2,550,360
2,407,205
2,328,520
2,402,789
$155,383,152,668
144,511,911,637
138,928,539,807
110,794,957,537
2,507,345
2,336,261
2,238,344
1,748,475
Total ..........................................
572,976,462,154
9,688,874
549,618,561,649
8,830,425
As we have done in the past, in this
FY 2020 IPPS/LTCH PPS proposed rule,
we are proposing to establish the
proposed FY 2020 outlier threshold
using hospital CCRs from the December
2018 update to the Provider-Specific
File (PSF)—the most recent available
data at the time of the development of
this proposed rule. We are proposing to
apply the following edits to providers’
CCRs in the PSF. We believe these edits
are appropriate in order to accurately
model the outlier threshold. We first
search for Indian Health Service
providers and those providers assigned
the statewide average CCR from the
current fiscal year. We then replace
these CCRs with the statewide average
CCR for the upcoming fiscal year. We
also assign the statewide average CCR
(for the upcoming fiscal year) to those
providers that have no value in the CCR
field in the PSF or whose CCRs exceed
the ceilings described later in this
section (3.0 standard deviations from
the mean of the log distribution of CCRs
for all hospitals). We do not apply the
adjustment factors described below to
hospitals assigned the statewide average
CCR. For FY 2020, we also are
proposing to continue to apply an
adjustment factor to the CCRs to account
for cost and charge inflation (as
explained below). We also are proposing
that, if more recent data become
available, we would use that data to
calculate the final FY 2020 outlier
threshold.
In the FY 2014 IPPS/LTCH PPS final
rule (78 FR 50979), we adopted a new
methodology to adjust the CCRs.
Specifically, we finalized a policy to
compare the national average caseweighted operating and capital CCR
from the most recent update of the PSF
to the national average case-weighted
operating and capital CCR from the
same period of the prior year.
Therefore, as we have done since FY
2014, we are proposing to adjust the
CCRs from the December 2018 update of
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the PSF by comparing the percentage
change in the national average caseweighted operating CCR and capital
CCR from the December 2017 update of
the PSF to the national average caseweighted operating CCR and capital
CCR from the December 2018 update of
the PSF. We note that we used total
transfer-adjusted cases from FY 2018 to
determine the national average caseweighted CCRs for both sides of the
comparison. As stated in the FY 2014
IPPS/LTCH PPS final rule (78 FR
50979), we believe that it is appropriate
to use the same case count on both sides
of the comparison because this will
produce the true percentage change in
the average case-weighted operating and
capital CCR from one year to the next
without any effect from a change in case
count on different sides of the
comparison.
Using the proposed methodology
above, for this proposed rule, we
calculated a proposed December 2017
operating national average caseweighted CCR of 0.263267 and a
proposed December 2018 operating
national average case-weighted CCR of
0.256730. We then calculated the
percentage change between the two
national operating case-weighted CCRs
by subtracting the proposed December
2017 operating national average caseweighted CCR from the proposed
December 2018 operating national
average case-weighted CCR and then
dividing the result by the proposed
December 2017 national operating
average case-weighted CCR. This
resulted in a proposed national
operating CCR adjustment factor of
0.975167.
We used the same methodology
proposed above to adjust the capital
CCRs. Specifically, we calculated a
proposed December 2017 capital
national average case-weighted CCR of
0.022094 and a proposed December
2018 capital national average caseweighted CCR of 0.021121. We then
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calculated the percentage change
between the two national capital caseweighted CCRs by subtracting the
proposed December 2017 capital
national average case-weighted CCR
from the proposed December 2018
capital national average case-weighted
CCR and then dividing the result by the
proposed December 2017 capital
national average case-weighted CCR.
This resulted in a proposed national
capital CCR adjustment factor of
0.955983.
For purposes of estimating the
proposed outlier threshold for FY 2020,
we used a wage index that is based on
the proposed FY 2020 wage index that
hospitals would be paid. This includes
our proposal to remove urban to rural
reclassifications from the calculation of
the rural floor, the frontier State floor
adjustment in accordance with section
10324(a) of the Affordable Care Act, and
the out-migration adjustment as added
by section 505 of Public Law 108–173,
and incorporates our FY 2020 wage
index proposals to (1) increase the wage
index values for hospitals with a wage
index value below the 25th percentile
wage index value across all hospitals
and offset the estimated increase in IPPS
payments to hospitals with wage index
values below the 25th percentile by
decreasing the wage index values for
hospitals with a wage index value above
the 75th percentile wage index value
across all hospitals, and (2) apply a 5percent cap for FY 2020 on any decrease
in a hospital’s final wage index from the
hospital’s final wage index in FY 2019.
If we did not take the above into
account, our estimate of total FY 2020
payments would be too low, and, as a
result, our proposed outlier threshold
would be too high, such that estimated
outlier payments would be less than our
projected 5.13 percent of total payments
(which reflects the estimate of outlier
reconciliation).
As described in sections IV.G. and
IV.H., respectively, of the preamble of
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this proposed rule, sections 1886(q) and
1886(o) of the Act establish the Hospital
Readmissions Reduction Program and
the Hospital VBP Program, respectively.
We do not believe that it is appropriate
to include the proposed hospital VBP
payment adjustments and the hospital
readmissions payment adjustments in
the proposed outlier threshold
calculation or the proposed outlier
offset to the standardized amount.
Specifically, consistent with our
definition of the base operating DRG
payment amount for the Hospital
Readmissions Reduction Program under
§ 412.152 and the Hospital VBP Program
under § 412.160, outlier payments under
section 1886(d)(5)(A) of the Act are not
affected by these payment adjustments.
Therefore, outlier payments would
continue to be calculated based on the
unadjusted base DRG payment amount
(as opposed to using the base-operating
DRG payment amount adjusted by the
hospital readmissions payment
adjustment and the hospital VBP
payment adjustment). Consequently, we
are proposing to exclude the proposed
hospital VBP payment adjustments and
the estimated hospital readmissions
payment adjustments from the
calculation of the proposed outlier
fixed-loss cost threshold.
We note that, to the extent section
1886(r) of the Act modifies the DSH
payment methodology under section
1886(d)(5)(F) of the Act, the
uncompensated care payment under
section 1886(r)(2) of the Act, like the
empirically justified Medicare DSH
payment under section 1886(r)(1) of the
Act, may be considered an amount
payable under section 1886(d)(5)(F) of
the Act such that it would be reasonable
to include the payment in the outlier
determination under section
1886(d)(5)(A) of the Act. As we have
done since the implementation of
uncompensated care payments in FY
2014, for FY 2020, we also are
proposing to allocate an estimated perdischarge uncompensated care payment
amount to all cases for the hospitals
eligible to receive the uncompensated
care payment amount in the calculation
of the outlier fixed-loss cost threshold
methodology. We continue to believe
that allocating an eligible hospital’s
estimated uncompensated care payment
to all cases equally in the calculation of
the outlier fixed-loss cost threshold
would best approximate the amount we
would pay in uncompensated care
payments during the year because,
when we make claim payments to a
hospital eligible for such payments, we
would be making estimated perdischarge uncompensated care
payments to all cases equally.
Furthermore, we continue to believe
that using the estimated per-claim
uncompensated care payment amount to
determine outlier estimates provides
predictability as to the amount of
uncompensated care payments included
in the calculation of outlier payments.
Therefore, consistent with the
methodology used since FY 2014 to
calculate the outlier fixed-loss cost
threshold, for FY 2020, we are
proposing to include estimated FY 2020
uncompensated care payments in the
computation of the proposed outlier
fixed-loss cost threshold. Specifically,
we are proposing to use the estimated
per-discharge uncompensated care
payments to hospitals eligible for the
uncompensated care payment for all
cases in the calculation of the proposed
outlier fixed-loss cost threshold
methodology.
Using this methodology, we used the
formula described in section I.C.1. of
this Addendum to simulate and
calculate the Federal payment rate and
outlier payments for all claims. In
addition, as described in the earlier
section to this Addendum, we are
proposing to incorporate an estimate of
FY 2020 outlier reconciliation in the
methodology for determining the outlier
threshold. Under this proposed
approach, we determined a threshold of
$26,994 and calculated total operating
Federal payments of $90,721,309,065
and total outlier payments of
$4,905,819,657. We then divided total
outlier payments by total operating
Federal payments plus total outlier
payments and determined that this
threshold matched with the 5.13 percent
target, which reflects our proposal to
incorporate an estimate of outlier
reconciliation in the determination of
the outlier threshold (as discussed in
more detail in the previous section of
this Addendum). We note that, if
calculated without applying our
proposed methodology for incorporating
an estimate of outlier reconciliation in
the determination of the outlier
threshold, the proposed threshold
would be $27,154. We are proposing an
outlier fixed-loss cost threshold for FY
2020 equal to the prospective payment
rate for the MS–DRG, plus any IME,
empirically justified Medicare DSH
payments, estimated uncompensated
care payment, and any add-on payments
for new technology, plus $26,994.
(2) Other Proposed Changes Concerning
Outliers
As stated in the FY 1994 IPPS final
rule (58 FR 46348), we establish an
outlier threshold that is applicable to
both hospital inpatient operating costs
and hospital inpatient capital-related
costs. When we modeled the combined
operating and capital outlier payments,
we found that using a common
threshold resulted in a lower percentage
of outlier payments for capital-related
costs than for operating costs. We
project that the threshold for FY 2020 of
$26,994 (which reflects our proposed
methodology to incorporate an estimate
of outlier reconciliations) would result
in outlier payments that will equal 5.1
percent of operating DRG payments and
5.33 percent of capital payments based
on the Federal rate.
In accordance with section
1886(d)(3)(B) of the Act and as
discussed above, we are proposing to
reduce the FY 2020 standardized
amount by 5.1 percent to account for the
projected proportion of payments paid
as outliers.
The proposed outlier adjustment
factors that would be applied to the
operating standardized amount and
capital Federal rate based on the
proposed FY 2020 outlier threshold are
as follows:
National ....................................................................................................................................................................
Operating
standardized
amounts
Capital federal
rate *
0.949
0.9466388
* The proposed adjustment factor for the capital Federal rate includes an adjustment to the estimated percentage of FY 2020 capital outlier
payments for capital outlier reconciliation, as discussed above and in section II.A.4.j.(1) in the Addendum to this proposed rule.
We are proposing to apply the outlier
adjustment factors to the proposed FY
2020 payment rates after removing the
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effects of the FY 2019 outlier adjustment
factors on the standardized amount.
To determine whether a case qualifies
for outlier payments, we currently apply
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hospital-specific CCRs to the total
covered charges for the case. Estimated
operating and capital costs for the case
are calculated separately by applying
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separate operating and capital CCRs.
These costs are then combined and
compared with the outlier fixed-loss
cost threshold.
Under our current policy at § 412.84,
we calculate operating and capital CCR
ceilings and assign a statewide average
CCR for hospitals whose CCRs exceed
3.0 standard deviations from the mean
of the log distribution of CCRs for all
hospitals. Based on this calculation, for
hospitals for which the MAC computes
operating CCRs greater than 1.151 or
capital CCRs greater than 0.141, or
hospitals for which the MAC is unable
to calculate a CCR (as described under
§ 412.84(i)(3) of our regulations),
statewide average CCRs are used to
determine whether a hospital qualifies
for outlier payments. Table 8A listed in
section VI. of this Addendum (and
available only via the internet on the
CMS website) contains the proposed
statewide average operating CCRs for
urban hospitals and for rural hospitals
for which the MAC is unable to
compute a hospital-specific CCR within
the above range. These statewide
average ratios would be effective for
discharges occurring on or after October
1, 2019 and would replace the statewide
average ratios from the prior fiscal year.
Table 8B listed in section VI. of this
Addendum (and available via the
internet on the CMS website) contains
the comparable proposed statewide
average capital CCRs. As previously
stated, the proposed CCRs in Tables 8A
and 8B would be used during FY 2020
when hospital-specific CCRs based on
the latest settled cost report either are
not available or are outside the range
noted above. Table 8C listed in section
VI. of this Addendum (and available via
the internet on the CMS website)
contains the proposed statewide average
total CCRs used under the LTCH PPS as
discussed in section V. of this
Addendum.
We finally note that we published a
manual update (Change Request 3966)
to our outlier policy on October 12,
2005, which updated Chapter 3, Section
20.1.2 of the Medicare Claims
Processing Manual. The manual update
covered an array of topics, including
CCRs, reconciliation, and the time value
of money. We encourage hospitals that
are assigned the statewide average
operating and/or capital CCRs to work
with their MAC on a possible alternative
operating and/or capital CCR as
explained in Change Request 3966. Use
of an alternative CCR developed by the
hospital in conjunction with the MAC
can avoid possible overpayments or
underpayments at cost report
settlement, thereby ensuring better
accuracy when making outlier payments
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and negating the need for outlier
reconciliation. We also note that a
hospital may request an alternative
operating or capital CCR at any time as
long as the guidelines of Change
Request 3966 are followed. In addition,
as mentioned above, we published an
additional manual update (Change
Request 7192) to our outlier policy on
December 3, 2010, which also updated
Chapter 3, Section 20.1.2 of the
Medicare Claims Processing Manual.
The manual update outlines the outlier
reconciliation process for hospitals and
Medicare contractors. To download and
view the manual instructions on outlier
reconciliation, we refer readers to the
CMS website: https://www.cms.hhs.gov/
manuals/downloads/clm104c03.pdf.
(3) FY 2018 Outlier Payments
Our current estimate, using available
FY 2018 claims data, is that actual
outlier payments for FY 2018 were
approximately 4.94 percent of actual
total MS–DRG payments. Therefore, the
data indicate that, for FY 2018, the
percentage of actual outlier payments
relative to actual total payments is lower
than we projected for FY 2018.
Consistent with the policy and statutory
interpretation we have maintained since
the inception of the IPPS, we do not
make retroactive adjustments to outlier
payments to ensure that total outlier
payments for FY 2018 are equal to 5.1
percent of total MS–DRG payments. As
explained in the FY 2003 Outlier Final
Rule (68 FR 34502), if we were to make
retroactive adjustments to all outlier
payments to ensure total payments are
5.1 percent of MS–DRG payments (by
retroactively adjusting outlier
payments), we would be removing the
important aspect of the prospective
nature of the IPPS. Because such an
across-the-board adjustment would
either lead to more or less outlier
payments for all hospitals, hospitals
would no longer be able to reliably
approximate their payment for a patient
while the patient is still hospitalized.
We believe it would be neither
necessary nor appropriate to make such
an aggregate retroactive adjustment.
Furthermore, we believe it is consistent
with the statutory language at section
1886(d)(5)(A)(iv) of the Act not to make
retroactive adjustments to outlier
payments. This section states that
outlier payments be equal to or greater
than 5 percent and less than or equal to
6 percent of projected or estimated (not
actual) MS–DRG payments. We believe
that an important goal of a PPS is
predictability. Therefore, we believe
that the fixed-loss outlier threshold
should be projected based on the best
available historical data and should not
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19599
be adjusted retroactively. A retroactive
change to the fixed-loss outlier
threshold would affect all hospitals
subject to the IPPS, thereby
undercutting the predictability of the
system as a whole.
We note that, because the MedPAR
claims data for the entire FY 2019 will
not be available until after September
30, 2019, we are unable to provide an
estimate of actual outlier payments for
FY 2019 based on FY 2019 claims data
in this proposed rule. We will provide
an estimate of actual FY 2019 outlier
payments in the FY 2021 IPPS/LTCH
PPS proposed rule.
5. Proposed FY 2020 Standardized
Amount
The adjusted standardized amount is
divided into labor-related and nonlaborrelated portions. Tables 1A and 1B
listed and published in section VI. of
this Addendum (and available via the
internet on the CMS website) contain
the national standardized amounts that
we are proposing to apply to all
hospitals, except hospitals located in
Puerto Rico, for FY 2020. The proposed
standardized amount for hospitals in
Puerto Rico is shown in Table 1C listed
and published in section VI. of this
Addendum (and available via the
internet on the CMS website). The
proposed amounts shown in Tables 1A
and 1B differ only in that the laborrelated share applied to the
standardized amounts in Table 1A is
68.3 percent, and the labor-related share
applied to the standardized amounts in
Table 1B is 62 percent. In accordance
with sections 1886(d)(3)(E) and
1886(d)(9)(C)(iv) of the Act, we are
proposing to apply a labor-related share
of 62 percent, unless application of that
percentage would result in lower
payments to a hospital than would
otherwise be made. In effect, the
statutory provision means that we will
apply a labor-related share of 62 percent
for all hospitals whose wage indexes are
less than or equal to 1.0000.
In addition, Tables 1A and 1B include
the proposed standardized amounts
reflecting the proposed applicable
percentage increases for FY 2020.
The proposed labor-related and
nonlabor-related portions of the national
average standardized amounts for
Puerto Rico hospitals for FY 2020 are set
forth in Table 1C listed and published
in section VI. of this Addendum (and
available via the internet on the CMS
website). Similar to above, section
1886(d)(9)(C)(iv) of the Act, as amended
by section 403(b) of Public Law 108–
173, provides that the labor-related
share for hospitals located in Puerto
Rico be 62 percent, unless the
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application of that percentage would
result in lower payments to the hospital.
The following table illustrates the
changes from the FY 2019 national
standardized amounts to the proposed
FY 2020 national standardized amounts.
The second through fifth columns
display the changes from the FY 2019
standardized amounts for each
applicable proposed FY 2020
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standardized amount. The first row of
the table shows the updated (through
FY 2019) average standardized amount
after restoring the FY 2019 offsets for
outlier payments and the geographic
reclassification budget neutrality. The
MS–DRG reclassification and
recalibration and wage index budget
neutrality adjustment factors are
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cumulative. Therefore, those FY 2019
adjustment factors are not removed from
this table. Additionally, for FY 2020, we
have applied the proposed budget
neutrality factor for the proposed policy
for lowest quartile wage index hospitals
and proposed transition, described
above.
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FY 2020 Base Rate after
removmg:
1. FY 20 19 Geographic
Reclassification Budget
Neutrality (0.985932)
2. FY 2019 Operating
Outlier Offset (0.948999)
3. FY 2019 Rural
Demonstration Budget
Neutrality Factor
(0.999467)
Hospital
Submitted
Quality Data
and is a
Meaningful
EHR User
IfWage Index is
Greater Than
1.0000:
Hospital
Submitted
Quality Data
and is NOT a
Meaningful
EHR User
IfWage Index
is Greater Than
1.0000:
Hospital Did
NOT Submit
Quality Data
and is a
Meaningful
EHR User
If Wage
Index is
Greater Than
1.0000:
Hospital Did
NOT Submit
Quality Data
and is NOT a
Meaningful
EHR User
IfWage Index
is Greater
Than 1.0000:
Labor (68.3%):
$4,123.70
Labor (68.3%):
$4,123.70
Labor
(68.3%):
$4,123.70
Labor
(68.3%):
$4,123.70
Nonlabor
(30.4%):
$1,913.93
Nonlabor
(30.4%):
$1,913.93
Nonlabor
(30.4%):
$1,913.93
Nonlabor
(30.4%):
$1,913.93
If Wage Index
is less Than or
Equal to
1.0000:
If Wage
Index is less
Than or Equal
to 1.0000:
If Wage
Index is less
Than or
Equal to
1.0000:
If Wage
Index is less
Than or
Equal to
1.0000:
Labor (62%):
$3,743.33
Labor
(62%):
$3,743.33
Labor (62%):
$3,743.33
Nonlabor
(38%):
$2,294.3
Nonlabor
(38%):
$2,294.3
Labor (62%):
$3,743.33
Nonlabor
(38%):
$2,294.3
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Proposed FY 2020 Update
Factor
Proposed FY 2020
MS-DRG Recalibration
Budget Neutrality Factor
Proposed FY 2020 Wage
Index Budget Neutrality
Factor
Proposed FY 2020
Reclassification Budget
Neutrality Factor
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Nonlabor
(38%):
$2,294.30
1.027
1.003
1.019
0.995
0.998768
0.998768
0.998768
0998768
1.000915
1.000915
1.000915
1.000915
0.986451
0.986451
0.986451
0.986451
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CHANGES FROM FY 2019 STANDARDIZED AMOUNTS TO THE PROPOSED
FY 2020 STANDARDIZED AMOUNTS
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B. Proposed Adjustments for Area Wage
Levels and Cost-of-Living
Tables 1A through 1C, as published in
section VI. of this Addendum (and
available via the internet on the CMS
website), contain the proposed laborrelated and nonlabor-related shares that
we are proposing to use to calculate the
prospective payment rates for hospitals
located in the 50 States, the District of
Columbia, and Puerto Rico for FY 2020.
This section addresses two types of
adjustments to the standardized
amounts that are made in determining
the proposed prospective payment rates
as described in this Addendum.
1. Proposed Adjustment for Area Wage
Levels
Sections 1886(d)(3)(E) and
1886(d)(9)(C)(iv) of the Act require that
we make an adjustment to the laborrelated portion of the national
prospective payment rate to account for
area differences in hospital wage levels.
This adjustment is made by multiplying
the labor-related portion of the adjusted
standardized amounts by the
appropriate wage index for the area in
which the hospital is located. For FY
2020, as discussed in section IV.B.3. of
the preamble of this proposed rule, we
are proposing to apply a labor-related
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share of 68.3 percent for the national
standardized amounts for all IPPS
hospitals (including hospitals in Puerto
Rico) that have a wage index value that
is greater than 1.0000. Consistent with
section 1886(d)(3)(E) of the Act, we are
proposing to apply the wage index to a
labor-related share of 62 percent of the
national standardized amount for all
IPPS hospitals (including hospitals in
Puerto Rico) whose wage index values
are less than or equal to 1.0000. In
section III. of the preamble of this
proposed rule, we discuss the data and
methodology for the proposed FY 2020
wage index.
2. Proposed Adjustment for Cost-ofLiving in Alaska and Hawaii
Section 1886(d)(5)(H) of the Act
provides discretionary authority to the
Secretary to make adjustments as the
Secretary deems appropriate to take into
account the unique circumstances of
hospitals located in Alaska and Hawaii.
Higher labor-related costs for these two
States are taken into account in the
adjustment for area wages described
above. To account for higher nonlaborrelated costs for these two States, we
multiply the nonlabor-related portion of
the standardized amount for hospitals
located in Alaska and Hawaii by an
adjustment factor.
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In the FY 2013 IPPS/LTCH PPS final
rule, we established a methodology to
update the COLA factors for Alaska and
Hawaii that were published by the U.S.
Office of Personnel Management (OPM)
every 4 years (at the same time as the
update to the labor-related share of the
IPPS market basket), beginning in FY
2014. We refer readers to the FY 2013
IPPS/LTCH PPS proposed and final
rules for additional background and a
detailed description of this methodology
(77 FR 28145 through 28146 and 77 FR
53700 through 53701, respectively).
For FY 2018, in the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38530
through 38531), we updated the COLA
factors published by OPM for 2009 (as
these are the last COLA factors OPM
published prior to transitioning from
COLAs to locality pay) using the
methodology that we finalized in the FY
2013 IPPS/LTCH PPS final rule.
Based on the policy finalized in the
FY 2013 IPPS/LTCH PPS final rule, we
are proposing to continue to use the
same COLA factors in FY 2020 that were
used in FY 2019 to adjust the nonlaborrelated portion of the standardized
amount for hospitals located in Alaska
and Hawaii. Below is a table listing the
proposed COLA factors for FY 2020.
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PROPOSED FY 2020 COST-OF-LIVING ADJUSTMENT FACTORS: ALASKA AND HAWAII HOSPITALS
Cost of living
adjustment
factor
Area
Alaska:
City of Anchorage and 80-kilometer (50-mile) radius by road .....................................................................................................
City of Fairbanks and 80-kilometer (50-mile) radius by road ......................................................................................................
City of Juneau and 80-kilometer (50-mile) radius by road ..........................................................................................................
Rest of Alaska ..............................................................................................................................................................................
City and County of Honolulu ........................................................................................................................................................
County of Hawaii ..........................................................................................................................................................................
County of Kauai ............................................................................................................................................................................
County of Maui and County of Kalawao ......................................................................................................................................
Based on the policy finalized in the
FY 2013 IPPS/LTCH PPS final rule, the
next update to the COLA factors for
Alaska and Hawaii would occur at the
same time as the update to the laborrelated share of the IPPS market basket
(no later than FY 2022).
C. Calculation of the Proposed
Prospective Payment Rates
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General Formula for Calculation of the
Prospective Payment Rates for FY 2020
In general, the operating prospective
payment rate for all hospitals (including
hospitals in Puerto Rico) paid under the
IPPS, except SCHs and MDHs, for FY
2020 equals the Federal rate (which
includes uncompensated care
payments).
Under current law, the MDH program
has been extended for discharges
through September 30, 2022.
SCHs are paid based on whichever of
the following rates yields the greatest
aggregate payment: The Federal national
rate (which, as discussed in section
IV.F. of the preamble of this proposed
rule, includes uncompensated care
payments); the updated hospitalspecific rate based on FY 1982 costs per
discharge; the updated hospital-specific
rate based on FY 1987 costs per
discharge; the updated hospital-specific
rate based on FY 1996 costs per
discharge; or the updated hospitalspecific rate based on FY 2006 costs per
discharge to determine the rate that
yields the greatest aggregate payment.
The prospective payment rate for
SCHs for FY 2020 equals the higher of
the applicable Federal rate, or the
hospital-specific rate as described
below. The prospective payment rate for
MDHs for FY 2020 equals the higher of
the Federal rate, or the Federal rate plus
75 percent of the difference between the
Federal rate and the hospital-specific
rate as described below. For MDHs, the
updated hospital-specific rate is based
on FY 1982, FY 1987, or FY 2002 costs
per discharge, whichever yields the
greatest aggregate payment.
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1. Operating and Capital Federal
Payment Rate and Outlier Payment
Calculation
Note: The formula below is used for
actual claim payment and is also used
by CMS to project the outlier threshold
for the upcoming fiscal year. The
difference is the source of some of the
variables in the formula. For example,
operating and capital CCRs for actual
claim payment are from the PSF while
CMS uses an adjusted CCR (as described
above) to project the threshold for the
upcoming fiscal year. In addition,
charges for a claim payment are from
the bill, while charges to project the
threshold are from the MedPAR data
with an inflation factor applied to the
charges (as described earlier).
Step 1—Determine the MS–DRG and
MS–DRG relative weight for each claim
based on the ICD–10–CM procedure and
diagnosis codes on the claim.
Step 2—Select the applicable average
standardized amount depending on
whether the hospital submitted
qualifying quality data and is a
meaningful EHR user, as described
above.
Step 3—Compute the operating and
capital Federal payment rate:
Federal Payment Rate for Operating
Costs = MS–DRG Relative Weight ×
[(Labor-Related Applicable
Standardized Amount × Applicable
CBSA Wage Index) + (NonlaborRelated Applicable Standardized
Amount × Cost-of-Living
Adjustment)] × (1 + IME + (DSH *
0.25))
Federal Payment for Capital Costs =
MS–DRG Relative Weight × Federal
Capital Rate × Geographic
Adjustment Fact × (1 + IME + DSH)
Step 4—Determine operating and
capital costs:
Operating Costs = (Billed Charges ×
Operating CCR)
Capital Costs = (Billed Charges × Capital
CCR).
Step 5—Compute operating and
capital outlier threshold (CMS applies a
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1.25
1.25
1.25
1.25
1.25
1.21
1.25
1.25
geographic adjustment to the operating
and capital outlier threshold to account
for local cost variation):
Operating CCR to Total CCR =
(Operating CCR)/(Operating CCR +
Capital CCR)
Operating Outlier Threshold = [Fixed
Loss Threshold × ((Labor-Related
Portion × CBSA Wage Index) +
Nonlabor-Related portion)] ×
Operating CCR to Total CCR +
Federal Payment with IME, DSH +
Uncompensated Care Payment +
New Technology Add-On Payment
Amount
Capital CCR to Total CCR = (Capital
CCR)/(Operating CCR + Capital
CCR)
Capital Outlier Threshold = (Fixed Loss
Threshold × Geographic
Adjustment Factor × Capital CCR to
Total CCR) + Federal Payment with
IME and DSH
Step 6—Compute operating and
capital outlier payments:
Marginal Cost Factor = 0.80 or 0.90
(depending on the MS–DRG)
Operating Outlier Payment = (Operating
Costs—Operating Outlier
Threshold) × Marginal Cost Factor
Capital Outlier Payment = (Capital
Costs—Capital Outlier Threshold) ×
Marginal Cost Factor
The payment rate may then be further
adjusted for hospitals that qualify for a
low-volume payment adjustment under
section 1886(d)(12) of the Act and 42
CFR 412.101(b). The base-operating
DRG payment amount may be further
adjusted by the hospital readmissions
payment adjustment and the hospital
VBP payment adjustment as described
under sections 1886(q) and 1886(o) of
the Act, respectively. Payments also
may be reduced by the 1-percent
adjustment under the HAC Reduction
Program as described in section 1886(p)
of the Act. We also make new
technology add-on payments in
accordance with section 1886(d)(5)(K)
and (L) of the Act. Finally, we add the
uncompensated care payment to the
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total claim payment amount. As noted
in the formula above, we take
uncompensated care payments and new
technology add-on payments into
consideration when calculating outlier
payments.
2. Hospital-Specific Rate (Applicable
Only to SCHs and MDHs)
a. Calculation of Hospital-Specific Rate
Section 1886(b)(3)(C) of the Act
provides that SCHs are paid based on
whichever of the following rates yields
the greatest aggregate payment: The
Federal rate; the updated hospitalspecific rate based on FY 1982 costs per
discharge; the updated hospital-specific
rate based on FY 1987 costs per
discharge; the updated hospital-specific
rate based on FY 1996 costs per
discharge; or the updated hospitalspecific rate based on FY 2006 costs per
discharge to determine the rate that
yields the greatest aggregate payment.
As noted above, the MDH program
has been extended under current law for
discharges occurring through September
30, 2022. For MDHs, the updated
hospital-specific rate is based on FY
1982, FY 1987, or FY 2002 costs per
discharge, whichever yields the greatest
aggregate payment.
For a more detailed discussion of the
calculation of the hospital-specific rates,
we refer readers to the FY 1984 IPPS
interim final rule (48 FR 39772); the
April 20, 1990 final rule with comment
period (55 FR 15150); the FY 1991 IPPS
final rule (55 FR 35994); and the FY
2001 IPPS final rule (65 FR 47082).
b. Updating the FY 1982, FY 1987, FY
1996, FY 2002 and FY 2006 HospitalSpecific Rate for FY 2019
Section 1886(b)(3)(B)(iv) of the Act
provides that the applicable percentage
Hospital
submitted
quality data
and is a
meaningful
EHR user
FY 2020
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Proposed Market Basket Rate-of-Increase .....................................................
Proposed Adjustment for Failure to Submit Quality Data under Section
1886(b)(3)(B)(viii) of the Act ........................................................................
Proposed Adjustment for Failure to be a Meaningful EHR User under Section 1886(b)(3)(B)(ix) of the Act ...................................................................
Proposed MFP Adjustment under Section 1886(b)(3)(B)(xi) of the Act ..........
Proposed Applicable Percentage Increase Applied to Standardized Amount
For a complete discussion of the
applicable percentage increase applied
to the hospital-specific rates for SCHs
and MDHs, we refer readers to section
IV.B. of the preamble of this proposed
rule.
In addition, because SCHs and MDHs
use the same MS–DRGs as other
hospitals when they are paid based in
whole or in part on the hospital-specific
rate, the hospital-specific rate is
adjusted by a budget neutrality factor to
ensure that changes to the MS–DRG
classifications and the recalibration of
the MS–DRG relative weights are made
in a manner so that aggregate IPPS
payments are unaffected. Therefore, the
proposed hospital-specific rate for an
SCH or an MDH is adjusted by the
proposed MS–DRG reclassification and
recalibration budget neutrality factor of
0.998768, as discussed in section III. of
this Addendum. The resulting rate is
used in determining the payment rate
that an SCH or MDH would receive for
its discharges beginning on or after
October 1, 2019. We note that, in this
proposed rule, for FY 2020, we are not
proposing to make a documentation and
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Hospital
submitted
quality data
and is NOT a
meaningful
EHR user
3.2
3.2
0
0
¥0.8
¥0.8
0
¥0.5
2.7
¥2.4
¥0.5
0.3
0
¥0.5
1.9
¥2.4
¥0.5
¥0.5
The PPS for acute care hospital
inpatient capital-related costs was
implemented for cost reporting periods
beginning on or after October 1, 1991.
The basic methodology for determining
Federal capital prospective rates is set
forth in the regulations at 42 CFR
412.308 through 412.352. Below we
discuss the factors that we are proposing
to use to determine the capital Federal
rate for FY 2020, which would be
effective for discharges occurring on or
after October 1, 2019.
All hospitals (except ‘‘new’’ hospitals
under § 412.304(c)(2)) are paid based on
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Hospital did
NOT submit
quality data
and is NOT a
meaningful
EHR user
3.2
III. Proposed Changes to Payment Rates
for Acute Care Hospital Inpatient
Capital-Related Costs for FY 2020
Frm 00448
Hospital did
NOT submit
quality data
and is a
meaningful
EHR user
3.2
coding adjustment to the hospitalspecific rate. We refer readers to section
II.D. of the preamble of this proposed
rule for a complete discussion regarding
our proposed policies and previously
finalized policies (including our
historical adjustments to the payment
rates) relating to the effect of changes in
documentation and coding that do not
reflect real changes in case-mix.
PO 00000
increase applicable to the hospitalspecific rates for SCHs and MDHs
equals the applicable percentage
increase set forth in section
1886(b)(3)(B)(i) of the Act (that is, the
same update factor as for all other
hospitals subject to the IPPS). Because
the Act sets the update factor for SCHs
and MDHs equal to the update factor for
all other IPPS hospitals, the update to
the hospital-specific rates for SCHs and
MDHs is subject to the amendments to
section 1886(b)(3)(B) of the Act made by
sections 3401(a) and 10319(a) of the
Affordable Care Act. Accordingly, the
proposed applicable percentage
increases to the hospital-specific rates
applicable to SCHs and MDHs are the
following:
the capital Federal rate. We annually
update the capital standard Federal rate,
as provided in § 412.308(c)(1), to
account for capital input price increases
and other factors. The regulations at
§ 412.308(c)(2) also provide that the
capital Federal rate be adjusted annually
by a factor equal to the estimated
proportion of outlier payments under
the capital Federal rate to total capital
payments under the capital Federal rate.
In addition, § 412.308(c)(3) requires that
the capital Federal rate be reduced by an
adjustment factor equal to the estimated
proportion of payments for exceptions
under § 412.348. (We note that, as
discussed in the FY 2013 IPPS/LTCH
PPS final rule (77 FR 53705), there is
generally no longer a need for an
exceptions payment adjustment factor.)
However, in limited circumstances, an
additional payment exception for
extraordinary circumstances is provided
for under § 412.348(f) for qualifying
hospitals. Therefore, in accordance with
§ 412.308(c)(3), an exceptions payment
adjustment factor may need to be
applied if such payments are made.
Section 412.308(c)(4)(ii) requires that
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the capital standard Federal rate be
adjusted so that the effects of the annual
DRG reclassification and the
recalibration of DRG weights and
changes in the geographic adjustment
factor (GAF) are budget neutral.
Section 412.374 provides for
payments to hospitals located in Puerto
Rico under the IPPS for acute care
hospital inpatient capital-related costs,
which currently specifies capital IPPS
payments to hospitals located in Puerto
Rico are based on 100 percent of the
Federal rate.
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A. Determination of the Proposed
Federal Hospital Inpatient CapitalRelated Prospective Payment Rate
Update for FY 2020
In the discussion that follows, we
explain the factors that we are
proposing to use to determine the
capital Federal rate for FY 2020. In
particular, we explain why the proposed
FY 2020 capital Federal rate would
increase approximately 0.96 percent,
compared to the FY 2019 capital Federal
rate. As discussed in the impact analysis
in Appendix A to this proposed rule, we
estimate that capital payments per
discharge would increase approximately
1.9 percent during that same period.
Because capital payments constitute
approximately 10 percent of hospital
payments, a 1-percent change in the
capital Federal rate yields only
approximately a 0.1 percent change in
actual payments to hospitals.
1. Projected Capital Standard Federal
Rate Update
Under § 412.308(c)(1), the capital
standard Federal rate is updated on the
basis of an analytical framework that
takes into account changes in a capital
input price index (CIPI) and several
other policy adjustment factors.
Specifically, we adjust the projected
CIPI rate of change, as appropriate, each
year for case-mix index-related changes,
for intensity, and for errors in previous
CIPI forecasts. The proposed update
factor for FY 2020 under that framework
is 1.5 percent based on a projected 1.5
percent increase in the 2014-based CIPI,
a proposed 0.0 percentage point
adjustment for intensity, a proposed 0.0
percentage point adjustment for casemix, a proposed 0.0 percentage point
adjustment for the DRG reclassification
and recalibration, and a proposed
forecast error correction of 0.0
percentage point. As discussed in
section III.C. of this Addendum, we
continue to believe that the CIPI is the
most appropriate input price index for
capital costs to measure capital price
changes in a given year. We also explain
the basis for the FY 2020 CIPI projection
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in that same section of this Addendum.
Below we describe the proposed policy
adjustments that we are proposing to
apply in the update framework for FY
2020.
The case-mix index is the measure of
the average DRG weight for cases paid
under the IPPS. Because the DRG weight
determines the prospective payment for
each case, any percentage increase in
the case-mix index corresponds to an
equal percentage increase in hospital
payments.
The case-mix index can change for
any of several reasons:
• The average resource use of
Medicare patient changes (‘‘real’’ casemix change);
• Changes in hospital documentation
and coding of patient records result in
higher-weighted DRG assignments
(‘‘coding effects’’); and
• The annual DRG reclassification
and recalibration changes may not be
budget neutral (‘‘reclassification
effect’’).
We define real case-mix change as
actual changes in the mix (and resource
requirements) of Medicare patients, as
opposed to changes in documentation
and coding behavior that result in
assignment of cases to higher-weighted
DRGs, but do not reflect higher resource
requirements. The capital update
framework includes the same case-mix
index adjustment used in the former
operating IPPS update framework (as
discussed in the May 18, 2004 IPPS
proposed rule for FY 2005 (69 FR
28816)). (We no longer use an update
framework to make a recommendation
for updating the operating IPPS
standardized amounts, as discussed in
section II. of Appendix B to the FY 2006
IPPS final rule (70 FR 47707).)
For FY 2020, we are projecting a 0.5
percent total increase in the case-mix
index. We estimated that the real casemix increase would equal 0.5 percent
for FY 2020. The net adjustment for
change in case-mix is the difference
between the projected real increase in
case-mix and the projected total
increase in case-mix. Therefore, the
proposed net adjustment for case-mix
change in FY 2020 is 0.0 percentage
point.
The capital update framework also
contains an adjustment for the effects of
DRG reclassification and recalibration.
This adjustment is intended to remove
the effect on total payments of prior
year’s changes to the DRG classifications
and relative weights, in order to retain
budget neutrality for all case-mix indexrelated changes other than those due to
patient severity of illness. Due to the lag
time in the availability of data, there is
a 2-year lag in data used to determine
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the adjustment for the effects of DRG
reclassification and recalibration. For
example, we have data available to
evaluate the effects of the FY 2018 DRG
reclassification and recalibration as part
of our update for FY 2020. We assume,
for purposes of this adjustment, that the
estimate of FY 2018 DRG
reclassification and recalibration would
result in no change in the case-mix
when compared with the case-mix
index that would have resulted if we
had not made the reclassification and
recalibration changes to the DRGs.
Therefore, we are proposing to make a
0.0 percentage point adjustment for
reclassification and recalibration in the
update framework for FY 2020.
The capital update framework also
contains an adjustment for forecast
error. The input price index forecast is
based on historical trends and
relationships ascertainable at the time
the update factor is established for the
upcoming year. In any given year, there
may be unanticipated price fluctuations
that may result in differences between
the actual increase in prices and the
forecast used in calculating the update
factors. In setting a prospective payment
rate under the framework, we make an
adjustment for forecast error only if our
estimate of the change in the capital
input price index for any year is off by
0.25 percentage point or more. There is
a 2-year lag between the forecast and the
availability of data to develop a
measurement of the forecast error.
Historically, when a forecast error of the
CIPI is greater than 0.25 percentage
point in absolute terms, it is reflected in
the update recommended under this
framework. A forecast error of ¥0.1
percentage point was calculated for the
FY 2018 update, for which there are
historical data. That is, current
historical data indicated that the
forecasted FY 2018 CIPI (1.3 percent)
used in calculating the FY 2018 update
factor was 0.1 percentage point higher
than actual realized price increases (1.2
percent). As this does not exceed the
0.25 percentage point threshold, we are
not proposing an adjustment for forecast
error in the update for FY 2020.
Under the capital IPPS update
framework, we also make an adjustment
for changes in intensity. Historically, we
calculate this adjustment using the same
methodology and data that were used in
the past under the framework for
operating IPPS. The intensity factor for
the operating update framework reflects
how hospital services are utilized to
produce the final product, that is, the
discharge. This component accounts for
changes in the use of quality-enhancing
services, for changes within DRG
severity, and for expected modification
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of practice patterns to remove noncosteffective services. Our intensity measure
is based on a 5-year average.
We calculate case-mix constant
intensity as the change in total cost per
discharge, adjusted for price level
changes (the CPI for hospital and related
services) and changes in real case-mix.
Without reliable estimates of the
proportions of the overall annual
intensity changes that are due,
respectively, to ineffective practice
patterns and the combination of qualityenhancing new technologies and
complexity within the DRG system, we
assume that one-half of the annual
change is due to each of these factors.
The capital update framework thus
provides an add-on to the input price
index rate of increase of one-half of the
estimated annual increase in intensity,
to allow for increases within DRG
severity and the adoption of qualityenhancing technology.
In this proposed rule, we are
proposing to continue to use a
Medicare-specific intensity measure that
is based on a 5-year adjusted average of
cost per discharge for FY 2020 (we refer
readers to the FY 2011 IPPS/LTCH PPS
final rule (75 FR 50436) for a full
description of our Medicare-specific
intensity measure). Specifically, for FY
2020, we are proposing to use an
intensity measure that is based on an
average of cost per discharge data from
the 5-year period beginning with FY
2013 and extending through FY 2017.
Based on these data, we estimated that
case-mix constant intensity declined
during FYs 2013 through 2017. In the
past, when we found intensity to be
declining, we believed a zero (rather
than a negative) intensity adjustment
was appropriate. Consistent with this
approach, because we estimated that
intensity would decline during that 5year period, we believe it is appropriate
to continue to apply a zero intensity
adjustment for FY 2020. Therefore, we
are proposing to make a 0.0 percentage
point adjustment for intensity in the
update for FY 2020.
Above we described the basis of the
components we used to develop the
proposed 1.5 percent capital update
factor under the capital update
framework for FY 2020, as shown in the
following table.
PROPOSED FY 2020 UPDATE FACTOR FY 2020. Thus, we estimate that the
TO THE CAPITAL FEDERAL RATE— percentage of capital outlier payments
to total capital Federal rate payments for
Continued
FY 2020 would be higher than the
percentage for FY 2019.
0.0
The outlier reduction factors are not
0.0 built permanently into the capital rates;
1.5 that is, they are not applied
* The capital input price index represents the cumulatively in determining the capital
2014-based CIPI.
Federal rate. The proposed FY 2020
outlier adjustment of 0.9466 is a 0.29
2. Outlier Payment Adjustment Factor
percent change from the FY 2019 outlier
Section 412.312(c) establishes a
adjustment of 0.9494. Therefore, the
unified outlier payment methodology
proposed net change in the outlier
for inpatient operating and inpatient
adjustment to the capital Federal rate for
capital-related costs. A shared threshold FY 2020 is 0.9971 (0.9466/0.9494;
is used to identify outlier cases for both
calculation performed on unrounded
inpatient operating and inpatient
numbers) so that the proposed outlier
capital-related payments. Section
adjustment would decrease the FY 2020
412.308(c)(2) provides that the standard capital Federal rate by approximately
Federal rate for inpatient capital-related 0.29 percent compared to the FY 2019
costs be reduced by an adjustment factor outlier adjustment.
equal to the estimated proportion of
3. Budget Neutrality Adjustment Factor
capital-related outlier payments to total
for Changes in DRG Classifications and
inpatient capital-related PPS payments.
Weights and the GAF
The outlier threshold is set so that
operating outlier payments are projected
Section 412.308(c)(4)(ii) requires that
to be 5.1 percent of total operating IPPS
the capital Federal rate be adjusted so
DRG payments. For FY 2020, we are
that aggregate payments for the fiscal
proposing to incorporate the estimated
year based on the capital Federal rate,
outlier reconciliation payment amounts after any changes resulting from the
into the outlier threshold model. (For
annual DRG reclassification and
more details on our proposal to
recalibration and changes in the GAF,
incorporate estimated outlier
are projected to equal aggregate
reconciliation payment amounts into
payments that would have been made
the outlier threshold model, we refer
on the basis of the capital Federal rate
readers to section II.A.4.h. of this
without such changes.
In section III.N. of the preamble of
Addendum.)
For FY 2019, we estimated that outlier this proposed rule, we discuss our
payments for capital-related PPS
proposals to address wage index
payments would equal 5.06 percent of
disparities between high and low wage
inpatient capital-related payments based index hospitals. Specifically, we are
on the capital Federal rate in FY 2019.
proposing to: (1) Increase the wage
Based on the threshold discussed in
index for hospitals with a wage index
section II.A. of this Addendum, we
value below the 25th percentile wage
estimate that prior to taking into
index, where the increase in the wage
account projected capital outlier
index value for these hospitals would be
reconciliation payments, outlier
equal to half the difference between the
payments for capital-related costs would otherwise applicable final wage index
equal 5.39 percent for inpatient capitalvalue for a year for that hospital and the
related payments based on the proposed 25th percentile wage index value for
capital Federal rate in FY 2020.
that year across all hospitals; (2)
However, using the methodology
decrease the wage index for hospitals
outlined in section II.A.4.h. of this
with a wage index value above the 75th
Addendum, we estimate that taking into percentile wage index, where the wage
account projected capital outlier
index value for these hospitals would be
reconciliation payments would decrease decreased by a percentage of the
FY 2020 aggregate estimated capital
difference between the otherwise
outlier payments by 0.05 percent.
applicable final wage index value for a
Therefore, accounting for estimated
year for that hospital and the 75th
capital outlier reconciliation, the
percentile wage index value for that
PROPOSED FY 2020 UPDATE FACTOR estimated outlier payments for capitalyear across all hospitals in order to
TO THE CAPITAL FEDERAL RATE
related PPS payments would equal 5.34 offset the estimated aggregate increase
percent (5.39 percent–0.05 percent) of
in payments for a fiscal year under the
Capital Input Price Index * ................
1.5 inpatient capital-related payments based
proposal under (1) above; (3) calculate
Intensity ............................................
0.0
on
the
capital
Federal
rate
in
FY
2020.
the rural floor without including the
Case-Mix Adjustment Factors:
wage data of urban hospitals that have
Real Across DRG Change ........
0.5 Accordingly, we are proposing to apply
Projected Case-Mix Change .....
0.5 an outlier adjustment factor of 0.9466 in reclassified as rural under section
Subtotal .............................................
1.5 determining the capital Federal rate for
1886(d)(8)(E) of the Act (as
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Effect of FY 2018 Reclassification
and Recalibration ..........................
Forecast Error Correction .................
Total Proposed Update ....................
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implemented in § 412.103) and remove
urban to rural reclassifications under
§ 412.103 from the calculation of ‘‘the
wage index for rural areas in the State
in which the county is located’’ in
applying the provisions of section
1886(d)(8)(C)(iii) of the Act; and (4)
place a 5-percent cap in FY 2020 on any
decrease in a hospital’s wage index from
the hospital’s final wage index in FY
2019. These proposals directly affect the
GAF because it is calculated based on
the hospital wage index value that is
applicable to the hospital under 42 CFR
part 412, subpart D (Basic Methodology
for Determining Prospective Payment
Federal Rates for Inpatient Operating
Costs). Given these proposed changes
would affect the GAFs, we are
proposing to augment our historical
methodology for computing the budget
neutrality factor for proposed changes in
the GAFs. Historically, we determine a
budget neutrality factor for changes in
the GAF that accounts for changes
resulting from the update to the wage
data, wage index reclassifications and
redesignations, and the rural floor in a
single step. (We note that this historical
GAF budget neutrality factor does not
reflect changes in the frontier State
adjustment or the out-migration
adjustment because these statutory
adjustments to the wage index are not
budget neutral.)
In light of these proposed changes to
the wage index, which directly affect
the GAF, we are proposing to compute
a budget neutrality factor for proposed
changes in the GAFs in two steps.
Under our proposed 2-step
methodology, we first calculate a factor
to ensure budget neutrality for proposed
changes to the FY 2020 GAFs due to the
update to the wage data, wage index
reclassifications and redesignations,
including our proposal to remove urban
to rural reclassifications under § 412.103
from the calculation of ‘‘the wage index
for rural areas in the State in which the
county is located’’ in applying the
provisions of section 1886(d)(8)(C)(iii)
of the Act, and the rural floor, including
our proposal to calculate the rural floor
without including the wage data of
urban hospitals that have reclassified as
rural under § 412.103, consistent with
our historical GAF budget neutrality
factor methodology. In the second step,
we would calculate a factor to ensure
budget neutrality for proposed changes
to the FY 2020 GAFs due to our
proposal to increase the wage index for
hospitals with a wage index value below
the 25th percentile wage index, decrease
the wage index for hospitals with a
wage index value above the 75th
percentile wage index, and place a 5-
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percent cap on any decrease in a
hospital’s wage index from the
hospital’s final wage index in FY 2019.
In this section, we refer to these three
proposals as the proposed lowest
quartile hospital wage index
adjustment, the proposed highest
quartile hospital wage index
adjustment, and the proposed 5-percent
cap on wage index decreases. We
discuss our proposed 2-step calculation
of the GAF budget neutrality factors
below.
To determine the GAF budget
neutrality factors for FY 2020, we first
compared estimated aggregate capital
Federal rate payments based on the FY
2019 MS–DRG classifications and
relative weights and the FY 2019 GAFs
to estimated aggregate capital Federal
rate payments based on the FY 2019
MS–DRG classifications and relative
weights and the FY 2020 GAFs without
incorporating the effects on the GAFs of
our proposed lowest quartile hospital
wage index adjustment, the proposed
highest quartile hospital wage index
adjustment, and the proposed 5-percent
cap on wage index decreases. To
achieve budget neutrality for these
proposed changes in the GAFs, we
calculated an incremental GAF budget
neutrality adjustment factor of 0.9999
for FY 2020. Next, we compared
estimated aggregate capital Federal rate
payments based on the FY 2020 GAFs
with and without incorporating the
effects on the GAFs of the proposed
lowest quartile hospital wage index
adjustment, the proposed highest
quartile hospital wage index
adjustment, and the proposed 5-percent
cap on wage index decreases. For this
calculation, estimated aggregate capital
Federal rate payments were calculated
using the proposed FY 2020 MS–DRG
classifications and relative weights, and
the proposed FY 2020 GAFs (both with
and without incorporating the effects on
the GAF of our proposed lowest quartile
hospital wage index adjustment, the
proposed highest quartile hospital wage
index adjustment, and the proposed 5percent cap on wage index decreases).
(We note that, for this calculation, the
GAFs included the out-migration and
frontier State adjustments.) To achieve
budget neutrality for the effects of the
proposed lowest quartile hospital wage
index adjustment, the proposed highest
quartile hospital wage index
adjustment, and the proposed 5-percent
cap on wage index decreases on the FY
2020 GAFs, we calculated an
incremental GAF budget neutrality
adjustment factor of 0.9977. Therefore,
to achieve budget neutrality for the
proposed changes in the GAFs, based on
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19607
the proposed calculations described
above, we are proposing to apply an
incremental budget neutrality
adjustment factor of 0.9976 (0.9999 ×
0.9977) for FY 2020 to the previous
cumulative FY 2019 adjustment factor.
We also compared estimated aggregate
capital Federal rate payments based on
the FY 2019 MS–DRG classifications
and relative weights and the proposed
FY 2020 GAFs to estimated aggregate
capital Federal rate payments based on
the cumulative effects of the proposed
FY 2020 MS–DRG classifications and
relative weights and the proposed FY
2020 GAFs without the effects of the
proposed lowest quartile hospital wage
index adjustment, the proposed highest
quartile hospital wage index
adjustment, and the proposed 5-percent
cap on wage index decreases. The
proposed incremental adjustment factor
for DRG classifications and changes in
relative weights is 0.99998. The
proposed incremental adjustment factor
for MS–DRG classifications and changes
in relative weights (0.99998) and for
changes in the GAFs through FY 2020
(0.9976) is 0.9976 (0.99998 × 0.9976).
We note that all the values are
calculated with unrounded numbers.
The GAF/DRG budget neutrality
adjustment factors are built permanently
into the capital rates; that is, they are
applied cumulatively in determining the
capital Federal rate. This follows the
requirement under § 412.308(c)(4)(ii)
that estimated aggregate payments each
year be no more or less than they would
have been in the absence of the annual
DRG reclassification and recalibration
and changes in the GAFs.
The methodology used to determine
the recalibration and geographic
adjustment factor (GAF/DRG) budget
neutrality adjustment is similar to the
methodology used in establishing
budget neutrality adjustments under the
IPPS for operating costs. One difference
is that, under the operating IPPS, the
budget neutrality adjustments for the
effect of geographic reclassifications are
determined separately from the effects
of other changes in the hospital wage
index and the MS–DRG relative weights.
Under the capital IPPS, there is a single
GAF/DRG budget neutrality adjustment
factor for changes in the GAF (including
geographic reclassification and the
proposed lowest quartile hospital wage
index adjustment, the proposed highest
quartile hospital wage index
adjustment, and the proposed 5-percent
cap on wage index decreases described
above) and the MS–DRG relative
weights. In addition, there is no
adjustment for the effects that
geographic reclassification or the
proposed lowest quartile hospital wage
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index adjustment and the proposed 5percent cap on wage index decreases
described above have on the other
payment parameters, such as the
payments for DSH or IME.
The proposed incremental GAF/DRG
adjustment factor of 0.9976 (the product
of the proposed incremental GAF
budget neutrality adjustment factor of
0.9976 and the proposed incremental
DRG budget neutrality adjustment factor
of 0.99998) accounts for the MS–DRG
reclassifications and recalibration and
for changes in the GAFs. As noted
above, it also incorporates the effects on
the GAFs of FY 2020 geographic
reclassification decisions made by the
MGCRB compared to FY 2019 decisions
and the proposed lowest quartile
hospital wage index adjustment, the
proposed highest quartile hospital wage
index adjustment, and the proposed 5percent cap on wage index decreases
described above. However, it does not
account for changes in payments due to
changes in the DSH and IME adjustment
factors.
4. Proposed Capital Federal Rate for FY
2020
For FY 2019, we established a capital
Federal rate of $459.41 (83 FR 41729, as
corrected at 83 FR 49845). We are
proposing to establish an update of 1.5
percent in determining the FY 2020
capital Federal rate for all hospitals. As
a result of this proposed update and the
proposed budget neutrality factors
discussed earlier, we are proposing to
establish a national capital Federal rate
of $463.81 for FY 2020. The proposed
national capital Federal rate for FY 2020
was calculated as follows:
• The proposed FY 2020 update
factor is 1.015; that is, the proposed
update is 1.5 percent.
• The proposed FY 2020 budget
neutrality adjustment factor that is
applied to the capital Federal rate for
changes in the MS–DRG classifications
and relative weights and changes in the
GAFs is 0.9976.
• The proposed FY 2020 outlier
adjustment factor is 0.9466.
We are providing the following chart
that shows how each of the proposed
factors and adjustments for FY 2020
affects the computation of the proposed
FY 2020 national capital Federal rate in
comparison to the FY 2019 national
capital Federal rate. The proposed FY
2020 update factor has the effect of
increasing the capital Federal rate by 1.5
percent compared to the FY 2019 capital
Federal rate. The proposed GAF/DRG
budget neutrality adjustment factor has
the effect of decreasing the capital
Federal rate by 0.24 percent. The
proposed FY 2020 outlier adjustment
factor has the effect of decreasing the
capital Federal rate by 0.29 percent
compared to the FY 2019 capital Federal
rate. The combined effect of all the
proposed changes would increase the
national capital Federal rate by
approximately 0.96 percent, compared
to the FY 2019 national capital Federal
rate.
COMPARISON OF FACTORS AND ADJUSTMENTS: FY 2019 CAPITAL FEDERAL RATE AND THE PROPOSED FY 2020 CAPITAL
FEDERAL RATE
FY 2019
Update Factor 1 ................................................................................................
GAF/DRG Adjustment Factor 1 ........................................................................
Outlier Adjustment Factor 2 ..............................................................................
Capital Federal Rate ........................................................................................
1.0140
0.9969
0.9494
$459.41
Proposed
FY 2020
1.0150
0.9976
0.9466
$463.81
Proposed
change
1.015
0.9976
0.9971
1.0096
Proposed
percent
change
1.50
¥0.24
¥0.29
3 0.96
1 The proposed update factor and the GAF/DRG budget neutrality adjustment factors are built permanently into the capital Federal rates. Thus,
for example, the proposed incremental change from FY 2019 to FY 2020 resulting from the application of the proposed 0.9976 GAF/DRG budget
neutrality adjustment factor for FY 2020 is a net change of 0.9976 (or ¥0.24 percent).
2 The outlier reduction factor is not built permanently into the capital Federal rate; that is, the factor is not applied cumulatively in determining
the capital Federal rate. Thus, for example, the proposed net change resulting from the application of the proposed FY 2020 outlier adjustment
factor is 0.9466/0.9494 or 0.9971 (or ¥0.29 percent) (calculation performed on unrounded numbers).
3 Percent change may not sum due to rounding.
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B. Calculation of the Proposed Inpatient
Capital-Related Prospective Payments
for FY 2020
For purposes of calculating payments
for each discharge during FY 2020, the
capital Federal rate is adjusted as
follows: (Standard Federal Rate) × (DRG
Weight) × (GAF) × (COLA for hospitals
located in Alaska and Hawaii) × (1 +
DSH Adjustment Factor + IME
Adjustment Factor, if applicable). The
result is the adjusted capital Federal
rate.
Hospitals also may receive outlier
payments for those cases that qualify
under the thresholds established for
each fiscal year. Section 412.312(c)
provides for a single set of thresholds to
identify outlier cases for both inpatient
operating and inpatient capital-related
payments. The proposed outlier
thresholds for FY 2020 are in section
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II.A. of this Addendum. For FY 2020, a
case will qualify as a cost outlier if the
cost for the case plus the (operating)
IME and DSH payments (including both
the empirically justified Medicare DSH
payment and the estimated
uncompensated care payment, as
discussed in section II.A.4.h.(1) of this
Addendum) is greater than the
prospective payment rate for the MS–
DRG plus the proposed fixed-loss
amount of $26,994.
Currently, as provided under
§ 412.304(c)(2), we pay a new hospital
85 percent of its reasonable costs during
the first 2 years of operation, unless it
elects to receive payment based on 100
percent of the capital Federal rate.
Effective with the third year of
operation, we pay the hospital based on
100 percent of the capital Federal rate
(that is, the same methodology used to
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pay all other hospitals subject to the
capital PPS).
C. Capital Input Price Index
1. Background
Like the operating input price index,
the capital input price index (CIPI) is a
fixed-weight price index that measures
the price changes associated with
capital costs during a given year. The
CIPI differs from the operating input
price index in one important aspect—
the CIPI reflects the vintage nature of
capital, which is the acquisition and use
of capital over time. Capital expenses in
any given year are determined by the
stock of capital in that year (that is,
capital that remains on hand from all
current and prior capital acquisitions).
An index measuring capital price
changes needs to reflect this vintage
nature of capital. Therefore, the CIPI
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was developed to capture the vintage
nature of capital by using a weightedaverage of past capital purchase prices
up to and including the current year.
We periodically update the base year
for the operating and capital input price
indexes to reflect the changing
composition of inputs for operating and
capital expenses. For this FY 2020 IPPS/
LTCH PPS proposed rule, we are
proposing to use the rebased and
revised IPPS operating and capital
market baskets that reflect a 2014 base
year. For a complete discussion of this
rebasing, we refer readers to section IV.
of the preamble of the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38170).
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2. Forecast of the CIPI for FY 2020
Based on IHS Global Inc.’s fourth
quarter 2018 forecast, for this proposed
rule, we are forecasting the 2014-based
CIPI to increase 1.5 percent in FY 2020.
This reflects a projected 1.7 percent
increase in vintage-weighted
depreciation prices (building and fixed
equipment, and movable equipment),
and a projected 3.6 percent increase in
other capital expense prices in FY 2020,
partially offset by a projected 0.6
percent decline in vintage-weighted
interest expense prices in FY 2020. The
weighted average of these three factors
produces the forecasted 1.5 percent
increase for the 2014-based CIPI in FY
2020.
IV. Proposed Changes to Payment Rates
for Excluded Hospitals: Rate-ofIncrease Percentages for FY 2020
Payments for services furnished in
children’s hospitals, 11 cancer
hospitals, and hospitals located outside
the 50 States, the District of Columbia
and Puerto Rico (that is, short-term
acute care hospitals located in the U.S.
Virgin Islands, Guam, the Northern
Mariana Islands, and American Samoa)
that are excluded from the IPPS are
made on the basis of reasonable costs
based on the hospital’s own historical
cost experience, subject to a rate-ofincrease ceiling. A per discharge limit
(the target amount, as defined in
§ 413.40(a) of the regulations) is set for
each hospital, based on the hospital’s
own cost experience in its base year,
and updated annually by a rate-ofincrease percentage specified in
§ 413.40(c)(3). In addition, as specified
in the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38536), effective for cost
reporting periods beginning during FY
2018, the annual update to the target
amount for extended neoplastic disease
care hospitals (hospitals described in
§ 412.22(i) of the regulations) also is the
rate-of-increase percentage specified in
§ 413.40(c)(3). (We note that, in
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accordance with § 403.752(a), religious
nonmedical health care institutions
(RNHCIs) are also subject to the rate-ofincrease limits established under
§ 413.40 of the regulations.)
The FY 2020 rate-of-increase
percentage for updating the target
amounts for the 11 cancer hospitals,
children’s hospitals, the short-term
acute care hospitals located in the U.S.
Virgin Islands, Guam, the Northern
Mariana Islands, and American Samoa,
RNHCIs, and extended neoplastic
disease care hospitals is the estimated
percentage increase in the IPPS
operating market basket for FY 2020, in
accordance with applicable regulations
at § 413.40. Based on IGI’s 2018 fourth
quarter forecast, we estimated that the
2014-based IPPS operating market
basket update for FY 2020 is 3.2 percent
(that is, the estimate of the market
basket rate-of-increase). However, we
are proposing that if more recent data
become available for the final rule, we
would use them to calculate the IPPS
operating market basket update for FY
2020. Therefore, for children’s hospitals,
the 11 cancer hospitals, hospitals
located outside the 50 States, the
District of Columbia, and Puerto Rico
(that is, short-term acute care hospitals
located in the U.S. Virgin Islands,
Guam, the Northern Mariana Islands,
and American Samoa), extended
neoplastic disease care hospitals, and
RNHCIs, the FY 2020 rate-of-increase
percentage that would be applied to the
FY 2019 target amounts, in order to
determine the FY 2020 target amounts is
3.2 percent.
The IRF PPS, the IPF PPS, and the
LTCH PPS are updated annually. We
refer readers to section VII. of the
preamble of this proposed rule and
section V. of the Addendum to this
proposed rule for the proposed updated
changes to the Federal payment rates for
LTCHs under the LTCH PPS for FY
2020. The annual updates for the IRF
PPS and the IPF PPS are issued by the
agency in separate Federal Register
documents.
V. Proposed Changes to the Payment
Rates for the LTCH PPS for FY 2020
A. Proposed LTCH PPS Standard
Federal Payment Rate for FY 2020
1. Overview
In section VII. of the preamble of this
proposed rule, we discuss our proposed
annual updates to the payment rates,
factors, and specific policies under the
LTCH PPS for FY 2020.
Under § 412.523(c)(3) of the
regulations, for LTCH PPS FYs 2012
through 2019, we updated the standard
Federal payment rate by the most recent
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19609
estimate of the LTCH PPS market basket
at that time, including additional
statutory adjustments required by
sections 1886(m)(3) (citing sections
1886(b)(3)(B)(xi)(II), and 1886(m)(4) of
the Act as set forth in the regulations at
§§ 412.523(c)(3)(viii) through (c)(3)(xv)).
(For a summary of the payment rate
development prior to FY 2012, we refer
readers to the FY 2018 IPPS/LTCH PPS
final rule (82 FR 38310 through 38312)
and references therein.)
Section 1886(m)(3)(A) specifies that,
for rate year 2020 and each subsequent
rate year, any annual update to the
standard Federal payment rate shall be
reduced by the productivity adjustment
described in section 1886(b)(3)(B)(xi)(II)
of the Act (which we refer to as ‘‘the
multifactor productivity (MFP)
adjustment’’) as discussed in section
VII.D.2. of the preamble of this proposed
rule.
This section of the Act further
provides that the application of section
1886(m)(3)(B) of the Act may result in
the annual update being less than zero
for a rate year, and may result in
payment rates for a rate year being less
than such payment rates for the
preceding rate year. (As noted in section
VII.D.2.a. of the preamble of this
proposed rule, the annual update to the
LTCH PPS occurs on October 1 and we
have adopted the term ‘‘fiscal year’’ (FY)
rather than ‘‘rate year’’ (RY) under the
LTCH PPS beginning October 1, 2010.
Therefore, for purposes of clarity, when
discussing the annual update for the
LTCH PPS, including the provisions of
the Affordable Care Act, we use the term
‘‘fiscal year’’ rather than ‘‘rate year’’ for
2011 and subsequent years.)
For LTCHs that fail to submit the
required quality reporting data in
accordance with the LTCH QRP, the
annual update is reduced by 2.0
percentage points as required by section
1886(m)(5) of the Act.
2. Development of the Proposed FY
2020 LTCH PPS Standard Federal
Payment Rate
Consistent with our historical
practice, for FY 2020, we are proposing
to apply the annual update to the LTCH
PPS standard Federal payment rate from
the previous year. Furthermore, in
determining the proposed LTCH PPS
standard Federal payment rate for FY
2020, we also are proposing to make
certain regulatory adjustments,
consistent with past practices.
Specifically, in determining the
proposed FY 2020 LTCH PPS standard
Federal payment rate, we are proposing
to apply a budget neutrality adjustment
factor for the changes related to the area
wage level adjustment (that is, changes
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to the wage data and labor-related share)
in accordance with § 412.523(d)(4) and
a temporary budget neutrality
adjustment factor (applied to LTCH PPS
standard Federal payment rate cases
only) for the cost of the elimination of
the 25-percent threshold policy for FY
2020 (discussed in VII.D. of the
preamble of this proposed rule).
In this FY 2020 IPPS/LTCH PPS
proposed rule, we are proposing to
establish an annual update to the LTCH
PPS standard Federal payment rate of
2.7 percent. Accordingly, as reflected in
proposed § 412.523(c)(3)(xvi), we are
proposing to apply a factor of 1.027 to
the FY 2019 LTCH PPS standard Federal
payment rate of $41,558.68 to determine
the proposed FY 2020 LTCH PPS
standard Federal payment rate. Also, as
reflected in proposed
§ 412.523(c)(3)(xvi), applied in
conjunction with the provisions of
§ 412.523(c)(4), we are proposing to
establish an annual update to the LTCH
PPS standard Federal payment rate of
0.7 percent (that is, a proposed update
factor of 1.007) for FY 2020 for LTCHs
that fail to submit the required quality
reporting data for FY 2020 as required
under the LTCH QRP. Additionally, we
are proposing to apply a temporary
budget neutrality adjustment factor of
0.990741 to the LTCH PPS standard
Federal payment rate for the cost of the
elimination of the 25-percent threshold
policy for FY 2020 after removing the
temporary budget neutrality adjustment
factor of 0.990884 that was applied to
the LTCH PPS standard Federal
payment rate for the cost of the
elimination of the 25-percent threshold
policy for FY 2019 (or a temporary, onetime factor of 0.999856 as discussed in
VII.D. of the preamble of this proposed
rule). Consistent with § 412.523(d)(4),
we also are proposing to apply an area
wage level budget neutrality factor to
the proposed FY 2020 LTCH PPS
standard Federal payment rate of
1.0064747, based on the best available
data at this time, to ensure that any
changes to the area wage level
adjustment (that is, the proposed annual
update of the wage index values and
labor-related share) would not result in
any change (increase or decrease) in
estimated aggregate LTCH PPS standard
Federal rate payments. Accordingly, we
are proposing to establish an LTCH PPS
standard Federal payment rate of
$42,950.91 (calculated as $41,558.68 ×
0.999856 × 1.027 × 1.0064747) for FY
2020 (calculations performed on
rounded numbers). For LTCHs that fail
to submit quality reporting data for FY
2020, in accordance with the
requirements of the LTCH QRP under
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section 1866(m)(5) of the Act, we are
proposing to establish an LTCH PPS
standard Federal payment rate of
$42,114.47 (calculated as $41,558.68 ×
0.999856 × 1.007 × 1.0064747)
(calculations performed on rounded
numbers) for FY 2020.
B. Proposed Adjustment for Area Wage
Levels Under the LTCH PPS for FY 2020
1. Background
Under the authority of section 123 of
the BBRA, as amended by section 307(b)
of the BIPA, we established an
adjustment to the LTCH PPS standard
Federal payment rate to account for
differences in LTCH area wage levels
under § 412.525(c). The labor-related
share of the LTCH PPS standard Federal
payment rate is adjusted to account for
geographic differences in area wage
levels by applying the applicable LTCH
PPS wage index. The applicable LTCH
PPS wage index is computed using wage
data from inpatient acute care hospitals
without regard to reclassification under
section 1886(d)(8) or section 1886(d)(10)
of the Act.
2. Proposed Geographic Classifications
(Labor Market Areas) for the LTCH PPS
Standard Federal Payment Rate
In adjusting for the differences in area
wage levels under the LTCH PPS, the
labor-related portion of an LTCH’s
Federal prospective payment is adjusted
by using an appropriate area wage index
based on the geographic classification
(labor market area) in which the LTCH
is located. Specifically, the application
of the LTCH PPS area wage level
adjustment under existing § 412.525(c)
is made based on the location of the
LTCH—either in an ‘‘urban area,’’ or a
‘‘rural area,’’ as defined in § 412.503.
Under § 412.503, an ‘‘urban area’’ is
defined as a Metropolitan Statistical
Area (MSA) (which includes a
Metropolitan division, where
applicable), as defined by the Executive
OMB and a ‘‘rural area’’ is defined as
any area outside of an urban area (75 FR
37246).
The CBSA-based geographic
classifications (labor market area
definitions) currently used under the
LTCH PPS, effective for discharges
occurring on or after October 1, 2014,
are based on the OMB labor market area
delineations based on the 2010
Decennial Census data. The current
statistical areas (which were
implemented beginning with FY 2015)
are based on revised OMB delineations
issued on February 28, 2013, in OMB
Bulletin No. 13–01. We adopted these
labor market area delineations because
they are based on the best available data
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that reflect the local economies and area
wage levels of the hospitals that are
currently located in these geographic
areas. We also believe that these OMB
delineations will ensure that the LTCH
PPS area wage level adjustment most
appropriately accounts for and reflects
the relative hospital wage levels in the
geographic area of the hospital as
compared to the national average
hospital wage level. We noted that this
policy was consistent with the IPPS
policy adopted in FY 2015 under
§ 412.64(b)(1)(ii)(D) of the regulations
(79 FR 49951 through 49963). (For
additional information on the CBSAbased labor market area (geographic
classification) delineations currently
used under the LTCH PPS and the
history of the labor market area
definitions used under the LTCH PPS,
we refer readers to the FY 2015 IPPS/
LTCH PPS final rule (79 FR 50180
through 50185).)
In general, it is our historical practice
to update the CBSA-based labor market
area delineations annually based on the
most recent updates issued by OMB.
Generally, OMB issues major revisions
to statistical areas every 10 years, based
on the results of the decennial census.
However, OMB occasionally issues
minor updates and revisions to
statistical areas in the years between the
decennial censuses. OMB Bulletin No.
17–01, issued August 15, 2017,
establishes the current delineations for
the Nation’s statistical areas, and the
corresponding changes to the CBSAbased labor market areas were adopted
in the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41731). A copy of this
bulletin may be obtained on the website
at: https://www.whitehouse.gov/sites/
whitehouse.gov/files/omb/bulletins/
2017/b-17-01.pdf.
We believe the current CBSA-based
labor market area delineations as
established in OMB Bulletin 17–01 and
adopted in the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41731) will ensure that
the LTCH PPS area wage level
adjustment most appropriately accounts
for and reflects the relative hospital
wage levels in the geographic area of the
hospital as compared to the national
average hospital wage level based on the
best available data that reflect the local
economies and area wage levels of the
hospitals that are currently located in
these geographic areas (81 FR 57298).
Therefore, we are proposing to continue
to use the CSBA-based labor market area
delineations adopted under the LTCH
PPS, effective October 1, 2019 (as
adopted in the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41731)). Accordingly,
the proposed FY 2020 LTCH PPS wage
index values in Tables 12A and 12B
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listed in section VI. of the Addendum to
this proposed rule (which are available
via the internet on the CMS website)
reflect the CBSA-based labor market
area delineations as described above.
We noted that, as discussed in section
III.A.2. of the preamble of this proposed
rule, these CBSA-based delineations
also are being proposed to be used
under the IPPS.
3. Proposed Labor-Related Share for the
LTCH PPS Standard Federal Payment
Rate
Under the payment adjustment for the
differences in area wage levels under
§ 412.525(c), the labor-related share of
an LTCH’s standard Federal payment
rate payment is adjusted by the
applicable wage index for the labor
market area in which the LTCH is
located. The LTCH PPS labor-related
share currently represents the sum of
the labor-related portion of operating
costs and a labor-related portion of
capital costs using the applicable LTCH
PPS market basket. Additional
background information on the
historical development of the laborrelated share under the LTCH PPS can
be found in the RY 2007 LTCH PPS final
rule (71 FR 27810 through 27817 and
27829 through 27830) and the FY 2012
IPPS/LTCH PPS final rule (76 FR 51766
through 51769 and 51808).
For FY 2013, we rebased and revised
the market basket used under the LTCH
PPS by adopting a 2009-based LTCHspecific market basket. In addition,
beginning in FY 2013, we determined
the labor-related share annually as the
sum of the relative importance of each
labor-related cost category of the 2009based LTCH-specific market basket for
the respective fiscal year based on the
best available data. (For more details,
we refer readers to the FY 2013 IPPS/
LTCH PPS final rule (77 FR 53477
through 53479).) As noted previously,
we rebased and revised the 2009-based
LTCH-specific market basket to reflect a
2013 base year. In conjunction with that
policy, as discussed in section VII.D. of
the preamble of this FY 2020 IPPS/
LTCH PPS proposed rule, we are
proposing to establish that the LTCH
PPS labor-related share for FY 2020 is
the sum of the FY 2020 relative
importance of each labor-related cost
category in the 2013-based LTCH market
basket using the most recent available
data.
Specifically, we are proposing to
establish that the labor-related share for
FY 2020 includes the sum of the laborrelated portion of operating costs from
the 2013-based LTCH market basket
(that is, the sum of the FY 2020 relative
importance share of Wages and Salaries;
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Employee Benefits; Professional Fees:
Labor-Related; Administrative and
Facilities Support Services; Installation,
Maintenance, and Repair Services; All
Other: Labor-related Services) and a
portion of the relative importance of the
Capital-Related cost weight from the
2013-based LTCH PPS market basket.
Based on IGI’s fourth quarter 2018
forecast of the 2013-based LTCH market
basket, we are proposing to establish a
labor-related share under the LTCH PPS
for FY 2020 of 66.0 percent. (We note
that a proposed labor-related share of
66.0 percent is the same as the laborrelated share for FY 2019, and although
the relative importance of some
components of the market basket have
changed, the proposed labor-related
share remains at 66.0 percent when
aggregating these components and
rounding to one decimal.) This
proposed labor-related share is
determined using the same methodology
as employed in calculating all previous
LTCH PPS labor-related shares.
Consistent with our historical practice,
we also are proposing that if more
recent data became available, we would
use that data, if appropriate, to
determine the final FY 2020 laborrelated share in the final rule.
The proposed labor-related share for
FY 2020 is the sum of the FY 2020
relative importance of each labor-related
cost category, and would reflect the
different rates of price change for these
cost categories between the base year
(2013) and FY 2020. The sum of the
relative importance for FY 2020 for
operating costs (Wages and Salaries;
Employee Benefits; Professional Fees:
Labor-Related; Administrative and
Facilities Support Services; Installation,
Maintenance, and Repair Services; All
Other: Labor-Related Services) is 61.9
percent. The portion of capital-related
costs that is influenced by the local
labor market is estimated to be 46
percent (the same percentage applied to
the 2009-based LTCH-specific market
basket). Because the relative importance
for capital-related costs under our
policies is 9.0 percent of the 2013-based
LTCH market basket in FY 2020, we are
proposing to take 46 percent of 9.0
percent to determine the labor-related
share of capital-related costs for FY
2020 (0.46 × 9.0). The result is 4.1
percent, which we added to 61.9
percent for the operating cost amount to
determine the total proposed laborrelated share for FY 2020. Therefore, we
are proposing to establish that the laborrelated share under the LTCH PPS for
FY 2020 is 66.0 percent.
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4. Proposed Wage Index for FY 2020 for
the LTCH PPS Standard Federal
Payment Rate
Historically, we have established
LTCH PPS area wage index values
calculated from acute care IPPS hospital
wage data without taking into account
geographic reclassification under
sections 1886(d)(8) and 1886(d)(10) of
the Act (67 FR 56019). The area wage
level adjustment established under the
LTCH PPS is based on an LTCH’s actual
location without regard to the ‘‘urban’’
or ‘‘rural’’ designation of any related or
affiliated provider.
In the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41732), we calculated the
FY 2019 LTCH PPS area wage index
values using the same data used for the
FY 2019 acute care hospital IPPS (that
is, data from cost reporting periods
beginning during FY 2015), without
taking into account geographic
reclassification under sections
1886(d)(8) and 1886(d)(10) of the Act, as
these were the most recent complete
data available at that time. In that same
final rule, we indicated that we
computed the FY 2019 LTCH PPS area
wage index values, consistent with the
urban and rural geographic
classifications (labor market areas) that
were in place at that time and consistent
with the pre-reclassified IPPS wage
index policy (that is, our historical
policy of not taking into account IPPS
geographic reclassifications in
determining payments under the LTCH
PPS). As with the IPPS wage index,
wage data for multicampus hospitals
with campuses located in different labor
market areas (CBSAs) are apportioned to
each CBSA where the campus (or
campuses) are located. We also
continued to use our existing policy for
determining area wage index values for
areas where there are no IPPS wage
data.
Consistent with our historical
methodology, as discussed in this FY
2020 IPPS/LTCH PPS proposed rule, to
determine the applicable area wage
index values for the FY 2020 LTCH PPS
standard Federal payment rate, under
the broad authority of section 123 of the
BBRA, as amended by section 307(b) of
the BIPA, we are proposing to use wage
data collected from cost reports
submitted by IPPS hospitals for cost
reporting periods beginning during FY
2016, without taking into account
geographic reclassification under
sections 1886(d)(8) and 1886(d)(10) of
the Act because these data are the most
recent complete data available. We also
note that these are the same data we are
proposing to use to compute the
proposed FY 2020 acute care hospital
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inpatient wage index, as discussed in
section III. of the preamble of this
proposed rule. We are proposing to
compute the proposed FY 2020 LTCH
PPS standard Federal payment rate area
wage index values consistent with the
‘‘urban’’ and ‘‘rural’’ geographic
classifications (that is, labor market area
delineations, including the proposed
updates, as previously discussed in
section V.B. of this Addendum) and our
historical policy of not taking into
account IPPS geographic
reclassifications under sections
1886(d)(8) and 1886(d)(10) of the Act in
determining payments under the LTCH
PPS. We also are proposing to continue
to apportion the wage data for
multicampus hospitals with campuses
located in different labor market areas to
each CBSA where the campus or
campuses are located, consistent with
the IPPS policy. Lastly, consistent with
our existing methodology for
determining the LTCH PPS wage index
values, for FY 2020, we are proposing to
continue to use our existing policy for
determining area wage index values for
areas where there are no IPPS wage
data. Under our existing methodology,
the LTCH PPS wage index value for
urban CBSAs with no IPPS wage data
would be determined by using an
average of all of the urban areas within
the State, and the LTCH PPS wage index
value for rural areas with no IPPS wage
data would be determined by using the
unweighted average of the wage indices
from all of the CBSAs that are
contiguous to the rural counties of the
State.
Based on the FY 2016 IPPS wage data
that we are proposing to use to
determine the proposed FY 2020 LTCH
PPS standard Federal payment rate area
wage index values in this proposed rule,
there are no IPPS wage data for the
urban area of Hinesville, GA (CBSA
25980). Consistent with the
methodology discussed above, we
calculated the proposed FY 2020 wage
index value for CBSA 25980 as the
average of the wage index values for all
of the other urban areas within the State
of Georgia (that is, CBSAs 10500, 12020,
12060, 12260, 15260, 16860, 17980,
19140, 23580, 31420, 40660, 42340,
46660 and 47580), as shown in Table
12A, which is listed in section VI. of the
Addendum to this proposed rule and
available via the internet on the CMS
website. Likewise, based on this same
FY 2016 IPPS wage data that we are
proposing to use to determine the
proposed FY 2020 LTCH PPS standard
Federal payment rate area wage index
values in this proposed rule, there are
no IPPS wage data for the urban area of
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Carson City, NV (CBSA 16810).
Consistent with the methodology
discussed above, we calculated the
proposed FY 2020 wage index value for
CBSA 16810 as the average of the wage
index values for all of the other urban
areas within the State of Nevada (that is,
CBSAs 29820 and 39900, as shown in
Table 12A, which is listed in section VI.
of the Addendum to this proposed rule
and available via the internet on the
CMS website). We note that, as IPPS
wage data are dynamic, it is possible
that urban areas without IPPS wage data
will vary in the future.
Based on the FY 2016 IPPS wage data
that we are proposing to use to
determine the proposed FY 2020 LTCH
PPS standard Federal payment rate area
wage index values in this proposed rule,
there are no rural areas without IPPS
hospital wage data. Therefore, it is not
necessary to use our established
methodology to calculate a proposed
LTCH PPS standard Federal payment
rate wage index value for proposed rural
areas with no IPPS wage data for FY
2020. We note that, as IPPS wage data
are dynamic, it is possible that the
number of rural areas without IPPS
wage data will vary in the future. The
proposed FY 2020 LTCH PPS standard
Federal payment rate wage index values
that would be applicable for LTCH PPS
standard Federal payment rate
discharges occurring on or after October
1, 2019, through September 30, 2020,
are presented in Table 12A (for urban
areas) and Table 12B (for rural areas),
which are listed in section VI. of the
Addendum to this proposed rule and
available via the internet on the CMS
website.
Historically, we have calculated the
LTCH PPS wage index values using
unadjusted wage index values from the
IPPS hospitals. Stakeholders have
frequently commented on certain
aspects of the wage index values and
their impact on payments. In this
proposed rule, we are soliciting public
comments on concerns that stakeholders
may have regarding the wage index used
to adjust LTCH PPS payments and
suggestions for possible updates and
improvements to the geographic
adjustment of LTCH PPS payments.
5. Proposed Budget Neutrality
Adjustment for Changes to the LTCH
PPS Standard Federal Payment Rate
Area Wage Level Adjustment
Historically, the LTCH PPS wage
index and labor-related share are
updated annually based on the latest
available data. Under § 412.525(c)(2),
any changes to the area wage index
values or labor-related share are to be
made in a budget neutral manner such
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that estimated aggregate LTCH PPS
payments are unaffected; that is, will be
neither greater than nor less than
estimated aggregate LTCH PPS
payments without such changes to the
area wage level adjustment. Under this
policy, we determine an area wage level
adjustment budget neutrality factor that
will be applied to the standard Federal
payment rate to ensure that any changes
to the area wage level adjustments are
budget neutral such that any changes to
the area wage index values or laborrelated share would not result in any
change (increase or decrease) in
estimated aggregate LTCH PPS
payments. Accordingly, under
§ 412.523(d)(4), we apply an area wage
level adjustment budget neutrality factor
in determining the standard Federal
payment rate, and we also established a
methodology for calculating an area
wage level adjustment budget neutrality
factor. (For additional information on
the establishment of our budget
neutrality policy for changes to the area
wage level adjustment, we refer readers
to the FY 2012 IPPS/LTCH PPS final
rule (76 FR 51771 through 51773 and
51809).)
In this FY 2020 IPPS/LTCH PPS
proposed rule, for FY 2020 LTCH PPS
standard Federal payment rate cases, in
accordance with § 412.523(d)(4), we are
proposing to apply an area wage level
adjustment budget neutrality factor to
adjust the LTCH PPS standard Federal
payment rate to account for the
estimated effect of the proposed
adjustments or updates to the area wage
level adjustment under § 412.525(c)(1)
on estimated aggregate LTCH PPS
payments using a methodology that is
consistent with the methodology we
established in the FY 2012 IPPS/LTCH
PPS final rule (76 FR 51773).
Specifically, we are proposing to
determine an area wage level
adjustment budget neutrality factor that
would be applied to the LTCH PPS
standard Federal payment rate under
§ 412.523(d)(4) for FY 2020 using the
following methodology:
Step 1—We simulated estimated
aggregate LTCH PPS standard Federal
payment rate payments using the FY
2019 wage index values and the FY
2019 labor-related share of 66.0 percent
(as established in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41732)).
Step 2—We simulated estimated
aggregate LTCH PPS standard Federal
payment rate payments using the
proposed FY 2020 wage index values (as
shown in Tables 12A and 12B listed in
the Addendum to this proposed rule
and available via the internet on the
CMS website) and the proposed FY
2020 labor-related share of 66.0 percent
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(based on the latest available data as
previously discussed in this
Addendum).
Step 3—We calculated the ratio of
these estimated total LTCH PPS
standard Federal payment rate
payments by dividing the estimated
total LTCH PPS standard Federal
payment rate payments using the FY
2019 area wage level adjustments
(calculated in Step 1) by the estimated
total LTCH PPS standard Federal
payment rate payments using the
proposed FY 2020 area wage level
adjustments (calculated in Step 2) to
determine the proposed area wage level
adjustment budget neutrality factor for
FY 2020 LTCH PPS standard Federal
payment rate payments.
Step 4—We then applied the
proposed FY 2020 area wage level
adjustment budget neutrality factor from
Step 3 to determine the proposed FY
2020 LTCH PPS standard Federal
payment rate after the application of the
proposed FY 2020 annual update
(discussed previously in section V.A. of
this Addendum).
We note that, with the exception of
cases subject to the transitional blended
payment rate provisions and certain
temporary exemptions for certain spinal
cord specialty hospitals and certain
severe wound cases, under the dual rate
LTCH PPS payment structure, only
LTCH PPS cases that meet the statutory
criteria to be excluded from the site
neutral payment rate (that is, LTCH PPS
standard Federal payment rate cases) are
paid based on the LTCH PPS standard
Federal payment rate. Because the area
wage level adjustment under
§ 412.525(c) is an adjustment to the
LTCH PPS standard Federal payment
rate, we only used data from claims that
would have qualified for payment at the
LTCH PPS standard Federal payment
rate if such rate had been in effect at the
time of discharge to calculate the
proposed FY 2020 LTCH PPS standard
Federal payment rate area wage level
adjustment budget neutrality factor
described above. Moreover, we note that
the estimated proposed LTCH PPS
standard Federal payment rate used in
the calculations in Steps 1 through 4
above include the one-time budget
neutrality adjustment factor for the
estimated cost of eliminating the 25percent threshold policy in FY 2020, as
discussed in section VII.D. of the
preamble of this proposed rule.
For this proposed rule, using the steps
in the methodology previously
described, we determined a proposed
FY 2020 LTCH PPS standard Federal
payment rate area wage level adjustment
budget neutrality factor of 1.0064747.
Accordingly, in section V.A. of the
Addendum to this proposed rule, to
determine the proposed FY 2020 LTCH
PPS standard Federal payment rate, we
are proposing to apply an area wage
level adjustment budget neutrality factor
of 1.0064747, in accordance with
§ 412.523(d)(4).
C. Proposed LTCH PPS Cost-of-Living
Adjustment (COLA) for LTCHs Located
in Alaska and Hawaii
Under § 412.525(b), a cost-of-living
adjustment (COLA) is provided for
LTCHs located in Alaska and Hawaii to
account for the higher costs incurred in
those States. Specifically, we apply a
COLA to payments to LTCHs located in
Alaska and Hawaii by multiplying the
nonlabor-related portion of the standard
Federal payment rate by the applicable
COLA factors established annually by
CMS. Higher labor-related costs for
LTCHs located in Alaska and Hawaii are
taken into account in the adjustment for
area wage levels previously described.
The methodology used to determine the
19613
COLA factors for Alaska and Hawaii is
based on a comparison of the growth in
the Consumer Price Indexes (CPIs) for
Anchorage, Alaska, and Honolulu,
Hawaii, relative to the growth in the CPI
for the average U.S. city as published by
the Bureau of Labor Statistics (BLS). It
also includes a 25-percent cap on the
CPI-updated COLA factors. Under our
current policy, we update the COLA
factors using the methodology described
above every 4 years (at the same time as
the update to the labor-related share of
the IPPS market basket), and we last
updated the COLA factors for Alaska
and Hawaii published by OPM for 2009
in FY 2018 (82 FR 38539 through
38540).
We continue to believe that
determining updated COLA factors
using this methodology would
appropriately adjust the nonlaborrelated portion of the LTCH PPS
standard Federal payment rate for
LTCHs located in Alaska and Hawaii.
Therefore, in this FY 2020 IPPS/LTCH
PPS proposed rule, for FY 2020, under
the broad authority conferred upon the
Secretary by section 123 of the BBRA,
as amended by section 307(b) of the
BIPA, to determine appropriate payment
adjustments under the LTCH PPS, we
are proposing to continue to use the
COLA factors based on the 2009 OPM
COLA factors updated through 2016 by
the comparison of the growth in the
CPIs for Anchorage, Alaska, and
Honolulu, Hawaii, relative to the growth
in the CPI for the average U.S. city as
established in the FY 2018 IPPS/LTCH
PPS final rule. (For additional details on
our current methodology for updating
the COLA factors for Alaska and Hawaii
and for a discussion on the FY 2018
COLA factors, we refer readers to the FY
2018 IPPS/LTCH PPS final rule (82 FR
38539 through 38540).)
PROPOSED COST-OF-LIVING ADJUSTMENT FACTORS FOR ALASKA AND HAWAII UNDER THE LTCH PPS FOR FY 2020
Proposed FY
2020
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Area
Alaska:
City of Anchorage and 80-kilometer (50-mile) radius by road .....................................................................................................
City of Fairbanks and 80-kilometer (50-mile) radius by road ......................................................................................................
City of Juneau and 80-kilometer (50-mile) radius by road ..........................................................................................................
Rest of Alaska ..............................................................................................................................................................................
Hawaii:
City and County of Honolulu ........................................................................................................................................................
County of Hawaii ..........................................................................................................................................................................
County of Kauai ............................................................................................................................................................................
County of Maui and County of Kalawao ......................................................................................................................................
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1.25
1.25
1.25
1.25
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1.25
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D. Proposed Adjustment for LTCH PPS
High Cost Outlier (HCO) Cases
1. HCO Background
From the beginning of the LTCH PPS,
we have included an adjustment to
account for cases in which there are
extraordinarily high costs relative to the
costs of most discharges. Under this
policy, additional payments are made
based on the degree to which the
estimated cost of a case (which is
calculated by multiplying the Medicare
allowable covered charge by the
hospital’s overall hospital CCR) exceeds
a fixed-loss amount. This policy results
in greater payment accuracy under the
LTCH PPS and the Medicare program,
and the LTCH sharing the financial risk
for the treatment of extraordinarily highcost cases.
We retained the basic tenets of our
HCO policy in FY 2016 when we
implemented the dual rate LTCH PPS
payment structure under section 1206 of
Public Law 113–67. LTCH discharges
that meet the criteria for exclusion from
the site neutral payment rate (that is,
LTCH PPS standard Federal payment
rate cases) are paid at the LTCH PPS
standard Federal payment rate, which
includes, as applicable, HCO payments
under § 412.523(e). LTCH discharges
that do not meet the criteria for
exclusion are paid at the site neutral
payment rate, which includes, as
applicable, HCO payments under
§ 412.522(c)(2)(i). In the FY 2016 IPPS/
LTCH PPS final rule, we established
separate fixed-loss amounts and targets
for the two different LTCH PPS payment
rates. Under this bifurcated policy, the
historic 8-percent HCO target was
retained for LTCH PPS standard Federal
payment rate cases, with the fixed-loss
amount calculated using only data from
LTCH cases that would have been paid
at the LTCH PPS standard Federal
payment rate if that rate had been in
effect at the time of those discharges.
For site neutral payment rate cases, we
adopted the operating IPPS HCO target
(currently 5.1 percent) and set the fixedloss amount for site neutral payment
rate cases at the value of the IPPS fixedloss amount. Under the HCO policy for
both payment rates, an LTCH receives
80 percent of the difference between the
estimated cost of the case and the
applicable HCO threshold, which is the
sum of the LTCH PPS payment for the
case and the applicable fixed-loss
amount for such case.
In order to maintain budget neutrality,
consistent with the budget neutrality
requirement for HCO payments to LTCH
PPS standard Federal rate payment
cases, we also adopted a budget
neutrality requirement for HCO
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payments to site neutral payment rate
cases by applying a budget neutrality
factor to the LTCH PPS payment for
those site neutral payment rate cases.
(We refer readers to § 412.522(c)(2)(i) of
the regulations for further details.) We
note that, during the 2-year transitional
period, the site neutral payment rate
HCO budget neutrality factor did not
apply to the LTCH PPS standard Federal
payment rate portion of the blended
payment rate at § 412.522(c)(3) payable
to site neutral payment rate cases. (For
additional details on the HCO policy
adopted for site neutral payment rate
cases under the dual rate LTCH PPS
payment structure, including the budget
neutrality adjustment for HCO payments
to site neutral payment rate cases, we
refer readers to the FY 2016 IPPS/LTCH
PPS final rule (80 FR 49617 through
49623).)
2. Determining LTCH CCRs Under the
LTCH PPS
a. Background
As noted above, CCRs are used to
determine payments for HCO
adjustments for both payment rates
under the LTCH PPS and also are used
to determine payments for site neutral
payment rate cases. As noted earlier, in
determining HCO and the site neutral
payment rate payments (regardless of
whether the case is also an HCO), we
generally calculate the estimated cost of
the case by multiplying the LTCH’s
overall CCR by the Medicare allowable
charges for the case. An overall CCR is
used because the LTCH PPS uses a
single prospective payment per
discharge that covers both inpatient
operating and capital-related costs. The
LTCH’s overall CCR is generally
computed based on the sum of LTCH
operating and capital costs (as described
in Section 150.24, Chapter 3, of the
Medicare Claims Processing Manual
(Pub. 100–4)) as compared to total
Medicare charges (that is, the sum of its
operating and capital inpatient routine
and ancillary charges), with those
values determined from either the most
recently settled cost report or the most
recent tentatively settled cost report,
whichever is from the latest cost
reporting period. However, in certain
instances, we use an alternative CCR,
such as the statewide average CCR, a
CCR that is specified by CMS, or one
that is requested by the hospital. (We
refer readers to § 412.525(a)(4)(iv) of the
regulations for further details regarding
HCO adjustments for either LTCH PPS
payment rate and § 412.522(c)(1)(ii) for
the site neutral payment rate.)
The LTCH’s calculated CCR is then
compared to the LTCH total CCR
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ceiling. Under our established policy, an
LTCH with a calculated CCR in excess
of the applicable maximum CCR
threshold (that is, the LTCH total CCR
ceiling, which is calculated as 3
standard deviations from the national
geometric average CCR) is generally
assigned the applicable statewide CCR.
This policy is premised on a belief that
calculated CCRs above the LTCH total
CCR ceiling are most likely due to faulty
data reporting or entry, and CCRs based
on erroneous data should not be used to
identify and make payments for outlier
cases.
b. LTCH Total CCR Ceiling
Consistent with our historical
practice, we are proposing to use the
most recent data available to determine
the LTCH total CCR ceiling for FY 2020
in this proposed rule. Specifically, in
this proposed rule, using our
established methodology for
determining the LTCH total CCR ceiling
based on IPPS total CCR data from the
December 2018 update of the Provider
Specific File (PSF), which is the most
recent data available, we are proposing
to establish an LTCH total CCR ceiling
of 1.247 under the LTCH PPS for FY
2020 in accordance with
§ 412.525(a)(4)(iv)(C)(2) for HCO cases
under either payment rate and
§ 412.522(c)(1)(ii) for the site neutral
payment rate. (For additional
information on our methodology for
determining the LTCH total CCR ceiling,
we refer readers to the FY 2007 IPPS
final rule (71 FR 48118 through 48119).)
c. LTCH Statewide Average CCRs
Our general methodology for
determining the statewide average CCRs
used under the LTCH PPS is similar to
our established methodology for
determining the LTCH total CCR ceiling
because it is based on ‘‘total’’ IPPS CCR
data. (For additional information on our
methodology for determining statewide
average CCRs under the LTCH PPS, we
refer readers to the FY 2007 IPPS final
rule (71 FR 48119 through 48120).)
Under the LTCH PPS HCO policy for
cases paid under either payment rate at
§ 412.525(a)(4)(iv)(C)(2), the current
SSO policy at § 412.529(f)(4)(iii)(B), and
the site neutral payment rate at
§ 412.522(c)(1)(ii), the MAC may use a
statewide average CCR, which is
established annually by CMS, if it is
unable to determine an accurate CCR for
an LTCH in one of the following
circumstances: (1) New LTCHs that have
not yet submitted their first Medicare
cost report (a new LTCH is defined as
an entity that has not accepted
assignment of an existing hospital’s
provider agreement in accordance with
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§ 489.18); (2) LTCHs whose calculated
CCR is in excess of the LTCH total CCR
ceiling; and (3) other LTCHs for whom
data with which to calculate a CCR are
not available (for example, missing or
faulty data). (Other sources of data that
the MAC may consider in determining
an LTCH’s CCR include data from a
different cost reporting period for the
LTCH, data from the cost reporting
period preceding the period in which
the hospital began to be paid as an
LTCH (that is, the period of at least 6
months that it was paid as a short-term,
acute care hospital), or data from other
comparable LTCHs, such as LTCHs in
the same chain or in the same region.)
Consistent with our historical practice
of using the best available data, in this
proposed rule, using our established
methodology for determining the LTCH
statewide average CCRs, based on the
most recent complete IPPS ‘‘total CCR’’
data from the December 2018 update of
the PSF, we are proposing to establish
LTCH PPS statewide average total CCRs
for urban and rural hospitals that will be
effective for discharges occurring on or
after October 1, 2019, through
September 30, 2020, in Table 8C listed
in section VI. of the Addendum to this
proposed rule (and available via the
internet on the CMS website).
Consistent with our historical practice,
we also are proposing that if more
recent data become available, we would
use that data to determine the LTCH
PPS statewide average total CCRs for FY
2020 in the final rule.
Under the current LTCH PPS labor
market areas, all areas in Delaware, the
District of Columbia, New Jersey, and
Rhode Island are classified as urban.
Therefore, there are no rural statewide
average total CCRs listed for those
jurisdictions in Table 8C. This policy is
consistent with the policy that we
established when we revised our
methodology for determining the
applicable LTCH statewide average
CCRs in the FY 2007 IPPS final rule (71
FR 48119 through 48121) and is the
same as the policy applied under the
IPPS. In addition, although Connecticut
and Nevada have areas that are
designated as rural, in our calculation of
the LTCH statewide average CCRs, there
was no data available from short-term,
acute care IPPS hospitals to compute a
rural statewide average CCR or there
were no short-term, acute care IPPS
hospitals or LTCHs located in these
areas as of December 2018. Therefore,
consistent with our existing
methodology, we are proposing to use
the national average total CCR for rural
IPPS hospitals for rural Connecticut and
Nevada in Table 8C. Furthermore,
consistent with our existing
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methodology, in determining the urban
and rural statewide average total CCRs
for Maryland LTCHs paid under the
LTCH PPS, we are proposing to
continue to use, as a proxy, the national
average total CCR for urban IPPS
hospitals and the national average total
CCR for rural IPPS hospitals,
respectively. We are using this proxy
because we believe that the CCR data in
the PSF for Maryland hospitals may not
be entirely accurate (as discussed in
greater detail in the FY 2007 IPPS final
rule (71 FR 48120)).
d. Reconciliation of HCO Payments
Under the HCO policy for cases paid
under either payment rate at
§ 412.525(a)(4)(iv)(D), the payments for
HCO cases are subject to reconciliation.
Specifically, any such payments are
reconciled at settlement based on the
CCR that was calculated based on the
cost report coinciding with the
discharge. For additional information on
the reconciliation policy, we refer
readers to Sections 150.26 through
150.28 of the Medicare Claims
Processing Manual (Pub. 100–4), as
added by Change Request 7192
(Transmittal 2111; December 3, 2010),
and the RY 2009 LTCH PPS final rule
(73 FR 26820 through 26821).
3. High-Cost Outlier Payments for LTCH
PPS Standard Federal Payment Rate
Cases
a. Proposed Changes to High-Cost
Outlier Payments for LTCH PPS
Standard Federal Payment Rate Cases
Under the regulations at
§ 412.525(a)(2)(ii) and as required by
section 1886(m)(7) of the Act, the fixedloss amount for HCO payments is set
each year so that the estimated aggregate
HCO payments for LTCH PPS standard
Federal payment rate cases are 99.6875
percent of 8 percent (that is, 7.975
percent) of estimated aggregate LTCH
PPS payments for LTCH PPS standard
Federal payment rate cases. (For more
details on the requirements for high-cost
outlier payments in FY 2018 and
subsequent years under section
1886(m)(7) of the Act and additional
information regarding high-cost outlier
payments prior to FY 2018, we refer
readers to the FY 2018 IPPS/LTCH PPS
final rule (82 FR 38542 through 38544).)
b. Proposed Fixed-Loss Amount for
LTCH PPS Standard Federal Payment
Rate Cases for FY 2020
When we implemented the LTCH
PPS, we established a fixed-loss amount
so that total estimated outlier payments
are projected to equal 8 percent of total
estimated payments under the LTCH
PPS (67 FR 56022 through 56026).
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When we implemented the dual rate
LTCH PPS payment structure beginning
in FY 2016, we established that, in
general, the historical LTCH PPS HCO
policy would continue to apply to LTCH
PPS standard Federal payment rate
cases. That is, the fixed-loss amount and
target for LTCH PPS standard Federal
payment rate cases would be
determined using the LTCH PPS HCO
policy adopted when the LTCH PPS was
first implemented, but we limited the
data used under that policy to LTCH
cases that would have been LTCH PPS
standard Federal payment rate cases if
the statutory changes had been in effect
at the time of those discharges.
To determine the applicable fixed-loss
amount for LTCH PPS standard Federal
payment rate cases, we estimate outlier
payments and total LTCH PPS payments
for each LTCH PPS standard Federal
payment rate case (or for each case that
would have been a LTCH PPS standard
Federal payment rate case if the
statutory changes had been in effect at
the time of the discharge) using claims
data from the MedPAR files. In
accordance with § 412.525(a)(2)(ii), the
applicable fixed-loss amount for LTCH
PPS standard Federal payment rate
cases results in estimated total outlier
payments being projected to be equal to
7.975 percent of projected total LTCH
PPS payments for LTCH PPS standard
Federal payment rate cases. We use
MedPAR claims data and CCRs based on
data from the most recent PSF (or from
the applicable statewide average CCR if
an LTCH’s CCR data are faulty or
unavailable) to establish an applicable
fixed-loss threshold amount for LTCH
PPS standard Federal payment rate
cases.
In this FY 2020 IPPS/LTCH PPS
proposed rule, we are proposing to
continue to use our current
methodology to calculate an applicable
fixed-loss amount for LTCH PPS
standard Federal payment rate cases for
FY 2020 using the best available data
that would maintain estimated HCO
payments at the projected 7.975 percent
of total estimated LTCH PPS payments
for LTCH PPS standard Federal payment
rate cases (based on the payment rates
and policies for these cases presented in
this proposed rule).
Specifically, based on the most recent
complete LTCH data available at this
time (that is, LTCH claims data from the
December 2018 update of the FY 2018
MedPAR file and CCRs from the
December 2018 update of the PSF), we
are proposing to determine a proposed
fixed-loss amount for LTCH PPS
standard Federal payment rate cases for
FY 2020 of $29,997 that would result in
estimated outlier payments projected to
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be equal to 7.975 percent of estimated
FY 2020 payments for such cases. Under
this proposal, we would continue to
make an additional HCO payment for
the cost of an LTCH PPS standard
Federal payment rate case that exceeds
the HCO threshold amount that is equal
to 80 percent of the difference between
the estimated cost of the case and the
outlier threshold (the sum of the
proposed adjusted LTCH PPS standard
Federal payment rate payment and the
proposed fixed-loss amount for LTCH
PPS standard Federal payment rate
cases of $29,997).
We note that the proposed fixed-loss
amount for HCO cases that would be
paid under the LTCH PPS standard
Federal payment rate in FY 2020 of
$29,997 is significantly higher than the
FY 2019 fixed-loss amount of $27,121
(as corrected at 83 FR 49845). However,
based on the most recent available data
at the time of the development of this
FY 2020 IPPS/LTCH PPS proposed rule,
we found that the current FY 2019 HCO
threshold of $27,121 results in
estimated HCO payments for LTCH PPS
standard Federal payment rate cases of
approximately 8.24 percent of the
estimated total LTCH PPS payments in
FY 2018, which exceeds the 7.975
percent target by 0.265 percentage
points. We continue to believe that, as
discussed in detail in the FY 2018 IPPS/
LTCH PPS final rule (82 FR 38542
through 38543), this increase is largely
attributable to the rate-of-change (that is,
increase) in the Medicare allowable
charges on the claims data in addition
to updates to CCRs from the March 2018
update of the PSF to the December 2018
update of the PSF. Consistent with our
historical practice of using the best data
available, we are proposing that, when
determining the fixed-loss amount for
LTCH PPS standard Federal payment
rate cases for FY 2020 in the final rule,
we would use the most recent available
LTCH claims data and CCR data at the
time.
4. Proposed High-Cost Outlier Payments
for Site Neutral Payment Rate Cases
Under § 412.525(a), site neutral
payment rate cases receive an additional
HCO payment for costs that exceed the
HCO threshold that is equal to 80
percent of the difference between the
estimated cost of the case and the
applicable HCO threshold (80 FR 49618
through 49629). In the following
discussion, we note that the statutory
transitional payment method for cases
that are paid the site neutral payment
rate for LTCH discharges occurring in
cost reporting periods beginning during
FY 2016 through FY 2019 used a
blended payment rate, which is
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determined as 50 percent of the site
neutral payment rate amount for the
discharge and 50 percent of the LTCH
PPS standard Federal payment rate
amount for the discharge
(§ 412.522(c)(3)). As such, for FY 2020
discharges paid under the transitional
payment method, the discussion below
pertains only to the site neutral payment
rate portion of the blended payment rate
under § 412.522(c)(3)(i).
When we implemented the
application of the site neutral payment
rate in FY 2016, in examining the
appropriate fixed-loss amount for site
neutral payment rate cases issue, we
considered how LTCH discharges based
on historical claims data would have
been classified under the dual rate
LTCH PPS payment structure and the
CMS’ Office of the Actuary projections
regarding how LTCHs will likely
respond to our implementation of
policies resulting from the statutory
payment changes. We again relied on
these considerations and actuarial
projections in FY 2017 and FY 2018
because the historical claims data
available in each of these years were not
all subject to the LTCH PPS dual rate
payment system. Similarly, for FY 2019,
we continued to rely on these
considerations and actuarial projections
because, due to the transitional blended
payment policy for site neutral payment
rate cases, FY 2017 claims for these
cases were not subject to the full effect
of the site neutral payment rate.
For FYs 2016 through 2019, at that
time our actuaries projected that the
proportion of cases that would qualify
as LTCH PPS standard Federal payment
rate cases versus site neutral payment
rate cases under the statutory provisions
would remain consistent with what is
reflected in the historical LTCH PPS
claims data. Although our actuaries did
not project an immediate change in the
proportions found in the historical data,
they did project cost and resource
changes to account for the lower
payment rates. Our actuaries also
projected that the costs and resource use
for cases paid at the site neutral
payment rate would likely be lower, on
average, than the costs and resource use
for cases paid at the LTCH PPS standard
Federal payment rate and would likely
mirror the costs and resource use for
IPPS cases assigned to the same MS–
DRG, regardless of whether the
proportion of site neutral payment rate
cases in the future remains similar to
what is found based on the historical
data. As discussed in the FY 2016 IPPS/
LTCH PPS final rule (80 FR 49619), this
actuarial assumption is based on our
expectation that site neutral payment
rate cases would generally be paid based
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on an IPPS comparable per diem
amount under the statutory LTCH PPS
payment changes that began in FY 2016,
which, in the majority of cases, is much
lower than the payment that would have
been paid if these statutory changes
were not enacted. In light of these
projections and expectations, we
discussed that we believed that the use
of a single fixed-loss amount and HCO
target for all LTCH PPS cases would be
problematic. In addition, we discussed
that we did not believe that it would be
appropriate for comparable LTCH PPS
site neutral payment rate cases to
receive dramatically different HCO
payments from those cases that would
be paid under the IPPS (80 FR 49617
through 49619 and 81 FR 57305 through
57307). For those reasons, we stated that
we believed that the most appropriate
fixed-loss amount for site neutral
payment rate cases for FYs 2016 through
2019 would be equal to the IPPS fixedloss amount for that particular fiscal
year. Therefore, we established the
fixed-loss amount for site neutral
payment rate cases as the corresponding
IPPS fixed-loss amounts for FYs 2016
through 2019. In particular, in FY 2019,
we established the fixed-loss amount for
site neutral payment rate cases as the FY
2019 IPPS fixed-loss amount of $25,743
(as corrected at 83 FR 49845).
As noted earlier, because not all
claims in the data used for this FY 2020
IPPS/LTCH PPS proposed rule were
subject to the unblended site neutral
payment rate, we continue to rely on the
same considerations and actuarial
projections used in FYs 2016 through
2019 when developing a fixed-loss
amount for site neutral payment rate
cases for FY 2020. Because our actuaries
continue to project that site neutral
payment rate cases in FY 2020 will
continue to mirror an IPPS case paid
under the same MS–DRG, we continue
to believe that it would be inappropriate
for comparable LTCH PPS site neutral
payment rate cases to receive
dramatically different HCO payments
from those cases paid under the IPPS.
More specifically, as with FYs 2016
through 2019, our actuaries project that
the costs and resource use for FY 2020
cases paid at the site neutral payment
rate would likely be lower, on average,
than the costs and resource use for cases
paid at the LTCH PPS standard Federal
payment rate and will likely mirror the
costs and resource use for IPPS cases
assigned to the same MS–DRG,
regardless of whether the proportion of
site neutral payment rate cases in the
future remains similar to what was
found based on the historical data.
(Based on the most recent FY 2018
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LTCH claims data used in the
development of this FY 2020 IPPS/
LTCH PPS proposed rule,
approximately 71 percent of LTCH cases
would have been paid the LTCH PPS
standard Federal payment rate and
approximately 29 percent of LTCH cases
would have been paid the site neutral
payment rate for discharges occurring in
FY 2018.)
For these reasons, we continue to
believe that the most appropriate
proposed fixed-loss amount for site
neutral payment rate cases for FY 2020
is the proposed IPPS fixed-loss amount
for FY 2020. Therefore, consistent with
past practice, in this FY 2020 IPPS/
LTCH PPS proposed rule, we are
proposing that the applicable HCO
threshold for site neutral payment rate
cases is the sum of the site neutral
payment rate for the case and the
proposed IPPS fixed-loss amount. That
is, we are proposing a fixed-loss amount
for site neutral payment rate cases of
$26,994, which is the same proposed FY
2020 IPPS fixed-loss amount discussed
in section II.A.4.j.(1) of the Addendum
to this proposed rule. We continue to
believe this policy would reduce
differences between HCO payments for
similar cases under the IPPS and site
neutral payment rate cases under the
LTCH PPS and promote fairness
between the two systems. Accordingly,
for FY 2020, we are proposing to
calculate a HCO payment for site neutral
payment rate cases with costs that
exceed the HCO threshold amount that
is equal to 80 percent of the difference
between the estimated cost of the case
and the outlier threshold (the sum of the
site neutral payment rate payment and
the proposed fixed-loss amount for site
neutral payment rate cases of $26,994).
In establishing a HCO policy for site
neutral payment rate cases, we
established a budget neutrality
adjustment under § 412.522(c)(2)(i). We
established this requirement because we
believed, and continue to believe, that
the HCO policy for site neutral payment
rate cases should be budget neutral, just
as the HCO policy for LTCH PPS
standard Federal payment rate cases is
budget neutral, meaning that estimated
site neutral payment rate HCO payments
should not result in any change in
estimated aggregate LTCH PPS
payments.
To ensure that estimated HCO
payments payable to site neutral
payment rate cases in FY 2020 would
not result in any increase in estimated
aggregate FY 2020 LTCH PPS payments,
under the budget neutrality requirement
at § 412.522(c)(2)(i), it is necessary to
reduce site neutral payment rate
payments (or the portion of the blended
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payment rate payment for FY 2020
discharges occurring in LTCH cost
reporting periods beginning before
October 1, 2019) by 5.1 percent to
account for the estimated additional
HCO payments payable to those cases in
FY 2020. In order to achieve this, for FY
2020, in general, we are proposing to
continue to use the policy adopted for
FY 2019.
As discussed earlier, consistent with
the IPPS HCO payment threshold, we
estimate the proposed fixed-loss
threshold of $26,994 results in HCO
payments for site neutral payment rate
cases to equal 5.1 percent of the site
neutral payment rate payments that are
based on the IPPS comparable per diem
amount. As such, to ensure estimated
HCO payments payable for site neutral
payment rate cases in FY 2020 would
not result in any increase in estimated
aggregate FY 2020 LTCH PPS payments,
under the budget neutrality requirement
at § 412.522(c)(2)(i), it is necessary to
reduce the site neutral payment rate
amount paid under § 412.522(c)(1)(i) by
5.1 percent to account for the estimated
additional HCO payments payable for
site neutral payment rate cases in FY
2020. In order to achieve this, for FY
2020, we are proposing to apply a
budget neutrality factor of 0.949 (that is,
the decimal equivalent of a 5.1 percent
reduction, determined as 1.0 ¥ 5.1/100
= 0.949) to the site neutral payment rate
for those site neutral payment rate cases
paid under § 412.522(c)(1)(i). We note
that, consistent with our current policy,
this proposed HCO budget neutrality
adjustment would not be applied to the
HCO portion of the site neutral payment
rate amount (81 FR 57309).
E. Proposed Update to the IPPS
Comparable Amount To Reflect the
Statutory Changes to the IPPS DSH
Payment Adjustment Methodology
In the FY 2014 IPPS/LTCH PPS final
rule (78 FR 50766), we established a
policy to reflect the changes to the
Medicare IPPS DSH payment
adjustment methodology made by
section 3133 of the Affordable Care Act
in the calculation of the ‘‘IPPS
comparable amount’’ under the SSO
policy at § 412.529 and the ‘‘IPPS
equivalent amount’’ under the 25percent threshold payment adjustment
policy at § 412.534 and § 412.536.
Historically, the determination of both
the ‘‘IPPS comparable amount’’ and the
‘‘IPPS equivalent amount’’ includes an
amount for inpatient operating costs
‘‘for the costs of serving a
disproportionate share of low-income
patients.’’ Under the statutory changes
to the Medicare DSH payment
adjustment methodology that began in
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19617
FY 2014, in general, eligible IPPS
hospitals receive an empirically
justified Medicare DSH payment equal
to 25 percent of the amount they
otherwise would have received under
the statutory formula for Medicare DSH
payments prior to the amendments
made by the Affordable Care Act. The
remaining amount, equal to an estimate
of 75 percent of the amount that
otherwise would have been paid as
Medicare DSH payments, reduced to
reflect changes in the percentage of
individuals who are uninsured and any
additional statutory adjustment, is made
available to make additional payments
to each hospital that qualifies for
Medicare DSH payments and that has
uncompensated care. The additional
uncompensated care payments are
based on the hospital’s amount of
uncompensated care for a given time
period relative to the total amount of
uncompensated care for that same time
period reported by all IPPS hospitals
that receive Medicare DSH payments.
To reflect the statutory changes to the
Medicare DSH payment adjustment
methodology in the calculation of the
‘‘IPPS comparable amount’’ and the
‘‘IPPS equivalent amount’’ under the
LTCH PPS, we stated that we will
include a reduced Medicare DSH
payment amount that reflects the
projected percentage of the payment
amount calculated based on the
statutory Medicare DSH payment
formula prior to the amendments made
by the Affordable Care Act that will be
paid to eligible IPPS hospitals as
empirically justified Medicare DSH
payments and uncompensated care
payments in that year (that is, a
percentage of the operating Medicare
DSH payment amount that has
historically been reflected in the LTCH
PPS payments that are based on IPPS
rates). We also stated that the projected
percentage will be updated annually,
consistent with the annual
determination of the amount of
uncompensated care payments that will
be made to eligible IPPS hospitals. We
believe that this approach results in
appropriate payments under the LTCH
PPS and is consistent with our intention
that the ‘‘IPPS comparable amount’’ and
the ‘‘IPPS equivalent amount’’ under the
LTCH PPS closely resemble what an
IPPS payment would have been for the
same episode of care, while recognizing
that some features of the IPPS cannot be
translated directly into the LTCH PPS
(79 FR 50766 through 50767).
For FY 2020, as discussed in greater
detail in section IV.F.3. of the preamble
of this proposed rule, based on the most
recent data available, our estimate of 75
percent of the amount that would
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otherwise have been paid as Medicare
DSH payments (under the methodology
outlined in section 1886(r)(2) of the Act)
is adjusted to 67.14 percent of that
amount to reflect the change in the
percentage of individuals who are
uninsured. The resulting amount is then
used to determine the amount available
to make uncompensated care payments
to eligible IPPS hospitals in FY 2020. In
other words, the amount of the
Medicare DSH payments that would
have been made prior to the
amendments made by the Affordable
Care Act will be adjusted to 50.36
percent (the product of 75 percent and
67.14 percent) and the resulting amount
will be used to calculate the
uncompensated care payments to
eligible hospitals. As a result, for FY
2020, we project that the reduction in
the amount of Medicare DSH payments
pursuant to section 1886(r)(1) of the Act,
along with the payments for
uncompensated care under section
1886(r)(2) of the Act, will result in
overall Medicare DSH payments of
75.36 percent of the amount of Medicare
DSH payments that would otherwise
have been made in the absence of the
amendments made by the Affordable
Care Act (that is, 25 percent + 50.36
percent = 75.36 percent).
Therefore, for FY 2020, we are
proposing to establish that the
calculation of the ‘‘IPPS comparable
amount’’ under § 412.529 would include
an applicable operating Medicare DSH
payment amount that is equal to 75.36
percent of the operating Medicare DSH
payment amount that would have been
paid based on the statutory Medicare
DSH payment formula absent the
amendments made by the Affordable
Care Act. Furthermore, consistent with
our historical practice, we are proposing
that if more recent data become
available, we would use that data to
determine this factor in the final rule.
F. Computing the Proposed Adjusted
LTCH PPS Federal Prospective
Payments for FY 2020
Section 412.525 sets forth the
adjustments to the LTCH PPS standard
Federal payment rate. Under the dual
rate LTCH PPS payment structure, only
LTCH PPS cases that meet the statutory
criteria to be excluded from the site
neutral payment rate are paid based on
the LTCH PPS standard Federal
payment rate. Under § 412.525(c), the
LTCH PPS standard Federal payment
rate is adjusted to account for
differences in area wages by multiplying
the labor-related share of the LTCH PPS
standard Federal payment rate for a case
by the applicable LTCH PPS wage index
(the proposed FY 2020 values are shown
in Tables 12A through 12B listed in
section VI. of the Addendum to this
proposed rule and are available via the
internet on the CMS website). The
LTCH PPS standard Federal payment
rate is also adjusted to account for the
higher costs of LTCHs located in Alaska
and Hawaii by the applicable COLA
factors (the proposed FY 2020 factors
are shown in the chart in section V.C.
of this Addendum) in accordance with
§ 412.525(b). In this proposed rule, we
are proposing to establish an LTCH PPS
standard Federal payment rate for FY
2020 of $42,950.91, as discussed in
section V.A. of the Addendum to this
proposed rule. We illustrate the
methodology to adjust the proposed
LTCH PPS standard Federal payment
rate for FY 2020 in the following
example:
Example: During FY 2020, a Medicare
discharge that meets the criteria to be
excluded from the site neutral payment
rate, that is, an LTCH PPS standard
Federal payment rate case, is from an
LTCH that is located in Chicago, Illinois
(CBSA 16974). The proposed FY 2020
LTCH PPS wage index value for CBSA
16974 is 1.0347 (obtained from Table
12A listed in section VI. of the
Addendum to this proposed rule and
available via the internet on the CMS
website). The Medicare patient case is
classified into MS–LTC–DRG 189
(Pulmonary Edema & Respiratory
Failure), which has a proposed relative
weight for FY 2020 of 0.9602 (obtained
from Table 11 listed in section VI. of the
Addendum to this proposed rule and
available via the internet on the CMS
website). The LTCH submitted quality
reporting data for FY 2020 in
accordance with the LTCH QRP under
section 1886(m)(5) of the Act.
To calculate the LTCH’s total adjusted
Federal prospective payment for this
Medicare patient case in FY 2020, we
computed the wage-adjusted proposed
Federal prospective payment amount by
multiplying the unadjusted proposed
FY 2020 LTCH PPS standard Federal
payment rate ($42,950.91) by the
proposed labor-related share (66.0
percent) and the proposed wage index
value (1.0347). This wage-adjusted
amount was then added to the proposed
nonlabor-related portion of the
unadjusted proposed LTCH PPS
standard Federal payment rate (34.0
percent; adjusted for cost of living, if
applicable) to determine the adjusted
proposed LTCH PPS standard Federal
payment rate, which is then multiplied
by the proposed MS–LTC–DRG relative
weight (0.9602) to calculate the total
adjusted proposed LTCH PPS standard
Federal prospective payment for FY
2020 ($42,185.97). The table below
illustrates the components of the
calculations in this example.
Unadjusted Proposed LTCH PPS Standard Federal Prospective Payment Rate ............................................................................
Proposed Labor-Related Share ...........................................................................................................................................................
Proposed Labor-Related Portion of the Proposed LTCH PPS Standard Federal Payment Rate ....................................................
Proposed Wage Index (CBSA 16974) ................................................................................................................................................
Proposed Wage-Adjusted Labor Share of the Proposed LTCH PPS Standard Federal Payment Rate ..........................................
Proposed Nonlabor-Related Portion of the Proposed LTCH PPS Standard Federal Payment Rate ($42,950.91 × 0.340) ...........
Adjusted Proposed LTCH PPS Standard Federal Payment Amount ..............................................................................................
Proposed MS–LTC–DRG 189 Relative Weight .................................................................................................................................
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Total Adjusted Proposed LTCH PPS Standard Federal Prospective Payment ........................................................................
VI. Tables Referenced in This Proposed
Rule Generally Available Through the
Internet on the CMS Website
This section lists the tables referred to
throughout the preamble of this
proposed rule and in the Addendum. In
the past, a majority of these tables were
published in the Federal Register as
part of the annual proposed and final
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rules. However, similar to FYs 2012
through 2019, for the FY 2020
rulemaking cycle, the IPPS and LTCH
PPS tables will not be published in the
Federal Register in the annual IPPS/
LTCH PPS proposed and final rules and
will be available through the internet.
Specifically, all IPPS tables listed
below, with the exception of IPPS
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=
=
+
=
$42,950.91
× 0.660
$28,347.60
× 1.0347
$29,331.26
$14,603.31
$43,934.57
× 0.9602
= $42,185.97
Tables 1A, 1B, 1C, and 1D, and LTCH
PPS Table 1E, will generally be
available through the internet. IPPS
Tables 1A, 1B, 1C, and 1D, and LTCH
PPS Table 1E are displayed at the end
of this section and will continue to be
published in the Federal Register as
part of the annual proposed and final
rules. For additional discussion of the
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information included in the IPPS and
LTCH PPS tables associated with the
IPPS/LTCH PPS proposed and final
rules, as well as prior changes to the
information included in these tables, we
refer readers to the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41739 through
41740).
In addition, under the HAC Reduction
Program, established by section 3008 of
the Affordable Care Act, a hospital’s
total payment may be reduced by 1
percent if it is in the lowest HAC
performance quartile. The hospital-level
data for the FY 2020 HAC Reduction
Program will be made publicly available
once it has undergone the review and
corrections process.
As discussed in section IV.G. of the
preamble of this proposed rule, the
proposed fiscal year readmissions
payment adjustment factors, which are
typically included in Table 15 of the
rules, are not available at this time
because hospitals have not yet had the
opportunity to review and correct the
data (program calculations based on the
FY 2020 applicable period of July 1,
2015 to June 30, 2018) before the data
are made public under our policy
regarding the reporting of hospitalspecific data. After hospitals have been
given an opportunity to review and
correct their calculations for FY 2020,
we will post Table 15 (which will be
available via the internet on the CMS
website) to display the final FY 2020
readmissions payment adjustment
factors that will be applicable to
discharges occurring on or after October
1, 2019. We expect Table 15 will be
posted on the CMS website in the fall
of 2019.
Readers who experience any problems
accessing any of the tables that are
posted on the CMS websites identified
below should contact Michael Treitel at
(410) 786–4552.
The following IPPS tables for this
proposed rule are generally available
through the internet on the CMS website
at: https://www.cms.gov/Medicare/
Medicare-Fee-for-Service-Payment/
AcuteInpatientPPS/. Click on
the link on the left side of the screen
titled, ‘‘FY 2020 IPPS Proposed Rule
Home Page’’ or ‘‘Acute Inpatient—Files
for Download.’’
Table 2.—Proposed Case-Mix Index and
Wage Index Table by CCN—FY 2020
Table 3.—Proposed Wage Index Table
by CBSA—FY 2020
Table 4.—Proposed List of Counties
Eligible for the Out-Migration
Adjustment under Section 1886(d)(13)
of the Act—FY 2020
Table 5.—Proposed List of Medicare
Severity Diagnosis-Related Groups
(MS–DRGs), Relative Weighting
Factors, and Geometric and
Arithmetic Mean Length of Stay—FY
2020
Table 6A.—New Diagnosis Codes—FY
2020
Table 6B.—New Procedure Codes—FY
2020
Table 6C.—Invalid Diagnosis Codes—
FY 2020
Table 6D.—Invalid Procedure Codes—
FY 2020
Table 6E.—Revised Diagnosis Code
Titles—FY 2020
Table 6F.—Revised Procedure Code
Titles—FY 2020
Table 6G.1.—Proposed Secondary
Diagnosis Order Additions to the CC
Exclusions List—FY 2020
Table 6G.2.—Proposed Principal
Diagnosis Order Additions to the CC
Exclusions List—FY 2020
Table 6H.1.—Proposed Secondary
Diagnosis Order Deletions to the CC
Exclusions List—FY 2020
Table 6H.2.—Proposed Principal
Diagnosis Order Deletions to the CC
Exclusions List—FY 2020
Table 6I.1.—Proposed Additions to the
MCC List—FY 2020
Table 6I.2.—Proposed Deletions to the
MCC List—FY 2020
Table 6J.1.—Proposed Additions to the
CC List—FY 2020
Table 6J.2.—Proposed Deletions to the
CC List—FY 2020
Table 6P.—ICD–10–CM and ICD–10–
PCS Codes for Proposed MS–DRG
Changes—FY 2020 (Table 6P contains
multiple tables, 6P.1a. through 6P.1e.,
that include the ICD–10–CM and ICD–
10–PCS code lists relating to proposed
19619
specific MS–DRG changes. These
tables are referred to throughout
section II.F. of the preamble of this
proposed rule.)
Table 7A.—Proposed Medicare
Prospective Payment System Selected
Percentile Lengths of Stay: FY 2018
MedPAR Update—December 2018
GROUPER Version 36 MS–DRGs
Table 7B.—Proposed Medicare
Prospective Payment System Selected
Percentile Lengths of Stay: FY 2018
MedPAR Update—December 2018
GROUPER Version 37 MS–DRGs
Table 8A.—Proposed FY 2020 Statewide
Average Operating Cost-to-Charge
Ratios (CCRs) for Acute Care
Hospitals (Urban and Rural)
Table 8B.—Proposed FY 2020 Statewide
Average Capital Cost-to-Charge Ratios
(CCRs) for Acute Care Hospitals
Table 16.—Proposed Proxy Hospital
Value-Based Purchasing (VBP)
Program Adjustment Factors for FY
2020
Table 18.—Proposed FY 2020 Medicare
DSH Uncompensated Care Payment
Factor 3
The following LTCH PPS tables for
this FY 2020 proposed rule are available
through the internet on the CMS website
at: https://www.cms.gov/Medicare/
Medicare-Fee-for-Service-Payment/
LongTermCareHospitalPPS/
under the list item for Regulation
Number CMS–1716–P:
Table 8C.—Proposed FY 2020 Statewide
Average Total Cost-to-Charge Ratios
(CCRs) for LTCHs (Urban and Rural)
Table 11.—Proposed MS–LTC–DRGs,
Relative Weights, Geometric Average
Length of Stay, and Short-Stay Outlier
(SSO) Threshold for LTCH PPS
Discharges Occurring from October 1,
2019 through September 30, 2020
Table 12A.—Proposed LTCH PPS Wage
Index for Urban Areas for Discharges
Occurring from October 1, 2019
through September 30, 2020
Table 12B.—Proposed LTCH PPS Wage
Index for Rural Areas for Discharges
Occurring from October 1, 2019
through September 30, 2020
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TABLE 1A—PROPOSED NATIONAL ADJUSTED OPERATING STANDARDIZED AMOUNTS, LABOR/NONLABOR (68.3 PERCENT
LABOR SHARE/31.7 PERCENT NONLABOR SHARE IF WAGE INDEX IS GREATER THAN 1)—FY 2020
Hospital submitted quality data
and is a meaningful EHR user
(update = 2.7 percent)
Hospital submitted quality data
and is NOT a meaningful EHR
user
(update = 0.3 percent)
Hospital did NOT submit quality
data and is a meaningful EHR
user
(update = 1.9 percent)
Hospital did NOT submit quality
data and is NOT a
meaningful EHR user
(update = ¥0.5 percent)
Labor
Nonlabor
Labor
Nonlabor
Labor
Nonlabor
Labor
Nonlabor
$3,977.31
$1,845.99
$3,884.36
$1,802.85
$3,946.33
$1,831.61
$3,853.38
$1,788.47
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TABLE 1B—PROPOSED NATIONAL ADJUSTED OPERATING STANDARDIZED AMOUNTS, LABOR/NONLABOR (62 PERCENT
LABOR SHARE/38 PERCENT NONLABOR SHARE IF WAGE INDEX IS LESS THAN OR EQUAL TO 1)—FY 2020
Hospital submitted quality data
and is a meaningful EHR
user
(update = 2.7 percent)
Hospital submitted quality data
and is NOT a meaningful EHR
user
(update = 0.3 percent)
Hospital did NOT submit quality
data and is a meaningful EHR
user
(update = 1.9 percent)
Hospital did NOT submit quality
data and is NOT a
meaningful EHR user
(update = ¥0.5 percent)
Labor
Nonlabor
Labor
Nonlabor
Labor
Nonlabor
Labor
Nonlabor
$3,610.45
$2,212.85
$3,526.07
$2,161.14
$3,582.32
$2,195.62
$3,497.95
$2,143.90
TABLE 1C—PROPOSED ADJUSTED OPERATING STANDARDIZED AMOUNTS FOR HOSPITALS IN PUERTO RICO, LABOR/
NONLABOR (NATIONAL: 62 PERCENT LABOR SHARE/38 PERCENT NONLABOR SHARE BECAUSE WAGE INDEX IS LESS
THAN OR EQUAL TO 1);—FY 2020
Rates if wage index is greater than 1
Rates if wage index is less
than or equal to 1
Standardized amount
National 1 ........................................
1 For
Labor
Nonlabor
Labor
Not Applicable ................................
Not Applicable ................................
$3,610.45
Nonlabor
$2,212.85
FY 2020, there are no CBSAs in Puerto Rico with a national wage index greater than 1.
TABLE 1D—PROPOSED CAPITAL STANDARD FEDERAL PAYMENT RATE—FY 2020
Rate
National ................................................................................................................................................................................................
$463.81
TABLE 1E—PROPOSED LTCH PPS STANDARD FEDERAL PAYMENT RATE—FY 2020
Standard Federal Rate ............................................................................................................................................
Full update
(2.7 percent)
Reduced
update *
(0.7 percent)
$42,950.91
$42,114.47
* For LTCHs that fail to submit quality reporting data for FY 2020 in accordance with the LTCH Quality Reporting Program (LTCH QRP), the
annual update is reduced by 2.0 percentage points as required by section 1886(m)(5) of the Act.
Appendix A: Economic Analyses
I. Regulatory Impact Analysis
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A. Statement of Need
This proposed rule is necessary in order to
make payment and policy changes under the
Medicare IPPS for Medicare acute care
hospital inpatient services for operating and
capital-related costs as well as for certain
hospitals and hospital units excluded from
the IPPS. This proposed rule also is
necessary to make payment and policy
changes for Medicare hospitals under the
LTCH PPS. Also as we note below, the
primary objective of the IPPS and the LTCH
PPS is to create incentives for hospitals to
operate efficiently and minimize unnecessary
costs, while at the same time ensuring that
payments are sufficient to adequately
compensate hospitals for their legitimate
costs in delivering necessary care to
Medicare beneficiaries. In addition, we share
national goals of preserving the Medicare
Hospital Insurance Trust Fund.
We believe that the proposed changes in
this proposed rule, such as the proposed
updates to the IPPS and LTCH PPS rates, are
needed to further each of these goals while
maintaining the financial viability of the
hospital industry and ensuring access to high
quality health care for Medicare
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beneficiaries. We expect that these proposed
changes would ensure that the outcomes of
the prospective payment systems are
reasonable and equitable, while avoiding or
minimizing unintended adverse
consequences.
B. Overall Impact
We have examined the impacts of this
proposed rule as required by Executive Order
12866 on Regulatory Planning and Review
(September 30, 1993), Executive Order 13563
on Improving Regulation and Regulatory
Review (January 18, 2011), the Regulatory
Flexibility Act (RFA) (September 19, 1980,
Pub. L. 96–354), section 1102(b) of the Social
Security Act, section 202 of the Unfunded
Mandates Reform Act of 1995 (March 22,
1995; Pub. L. 104–4), Executive Order 13132
on Federalism (August 4, 1999), the
Congressional Review Act (5 U.S.C. 804(2)),
and Executive Order 13771 on Reducing
Regulation and Controlling Regulatory Costs
(January 30, 2017).
Executive Orders 12866 and 13563 direct
agencies to assess all costs and benefits of
available regulatory alternatives and, if
regulation is necessary, to select regulatory
approaches that maximize net benefits
(including potential economic,
environmental, public health and safety
effects, distributive impacts, and equity).
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Section 3(f) of Executive Order 12866 defines
a ‘‘significant regulatory action’’ as an action
that is likely to result in a rule: (1) Having
an annual effect on the economy of $100
million or more in any 1 year, or adversely
and materially affecting a sector of the
economy, productivity, competition, jobs, the
environment, public health or safety, or
State, local or tribal governments or
communities (also referred to as
‘‘economically significant’’); (2) creating a
serious inconsistency or otherwise interfering
with an action taken or planned by another
agency; (3) materially altering the budgetary
impacts of entitlement grants, user fees, or
loan programs or the rights and obligations
of recipients thereof; or (4) raising novel legal
or policy issues arising out of legal mandates,
the President’s priorities, or the principles set
forth in the Executive Order.
We have determined that this proposed
rule is a major rule as defined in 5 U.S.C.
804(2). We estimate that the proposed
changes for FY 2020 acute care hospital
operating and capital payments would
redistribute amounts in excess of $100
million to acute care hospitals. The proposed
applicable percentage increase to the IPPS
rates required by the statute, in conjunction
with other proposed payment changes in this
proposed rule, would result in an estimated
$4.67 billion increase in FY 2020 payments,
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primarily driven by a combined $4.4 billion
increase in FY 2020 operating payments and
uncompensated care payments, and a net
increase of $300 million resulting from
estimated changes in FY 2020 capital
payments, new technology add-on payments,
and low-volume hospital payments. These
proposed changes are relative to payments
made in FY 2019. The impact analysis of the
capital payments can be found in section I.I.
of this Appendix. In addition, as described in
section I.J. of this Appendix, LTCHs are
expected to experience an increase in
payments by $37 million in FY 2020 relative
to FY 2019.
Our operating impact estimate includes the
proposed 0.5 percentage point adjustment
required under section 414 of the MACRA
applied to the IPPS standardized amount, as
discussed in section II.D. of the preamble of
this proposed rule. In addition, our operating
payment impact estimate includes the
proposed 2.7 percent hospital update to the
standardized amount (which includes the
estimated 3.2 percent market basket update
less the proposed 0.5 percentage point for the
multifactor productivity adjustment (MFP)).
The estimates of IPPS operating payments to
acute care hospitals do not reflect any
changes in hospital admissions or real casemix intensity, which will also affect overall
payment changes.
The analysis in this Appendix, in
conjunction with the remainder of this
document, demonstrates that this proposed
rule is consistent with the regulatory
philosophy and principles identified in
Executive Orders 12866 and 13563, the RFA,
and section 1102(b) of the Act. This proposed
rule would affect payments to a substantial
number of small rural hospitals, as well as
other classes of hospitals, and the effects on
some hospitals may be significant. Finally, in
accordance with the provisions of Executive
Order 12866, the Executive Office of
Management and Budget has reviewed this
proposed rule.
C. Objectives of the IPPS and the LTCH PPS
The primary objective of the IPPS and the
LTCH PPS is to create incentives for
hospitals to operate efficiently and minimize
unnecessary costs, while at the same time
ensuring that payments are sufficient to
adequately compensate hospitals for their
legitimate costs in delivering necessary care
to Medicare beneficiaries. In addition, we
share national goals of preserving the
Medicare Hospital Insurance Trust Fund.
We believe that the proposed changes in
this proposed rule would further each of
these goals while maintaining the financial
viability of the hospital industry and
ensuring access to high quality health care
for Medicare beneficiaries. We expect that
these proposed changes would ensure that
the outcomes of the prospective payment
systems are reasonable and equitable, while
avoiding or minimizing unintended adverse
consequences.
Because this proposed rule contains a
range of policies, we refer readers to the
section of the proposed rule where each
policy is discussed. These sections include
the rationale for our decisions, including the
need for the proposed policy.
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D. Limitations of Our Analysis
The following quantitative analysis
presents the projected effects of our proposed
policy changes, as well as statutory changes
effective for FY 2020, on various hospital
groups. We estimate the effects of individual
proposed policy changes by estimating
payments per case, while holding all other
payment policies constant. We use the best
data available, but, generally unless
specifically indicated, we do not attempt to
make adjustments for future changes in such
variables as admissions, lengths of stay, casemix, changes to the Medicare population, or
incentives. In addition, we discuss
limitations of our analysis for specific
proposed policies in the discussion of those
proposed policies as needed.
E. Hospitals Included in and Excluded From
the IPPS
The prospective payment systems for
hospital inpatient operating and capitalrelated costs of acute care hospitals
encompass most general short-term, acute
care hospitals that participate in the
Medicare program. There were 29 Indian
Health Service hospitals in our database,
which we excluded from the analysis due to
the special characteristics of the prospective
payment methodology for these hospitals.
Among other short-term, acute care hospitals,
hospitals in Maryland are paid in accordance
with the Maryland Total Cost of Care Model,
and hospitals located outside the 50 States,
the District of Columbia, and Puerto Rico
(that is, 6 short-term acute care hospitals
located in the U.S. Virgin Islands, Guam, the
Northern Mariana Islands, and American
Samoa) receive payment for inpatient
hospital services they furnish on the basis of
reasonable costs, subject to a rate-of-increase
ceiling.
As of March 2019, there were 3,242 IPPS
acute care hospitals included in our analysis.
This represents approximately 54 percent of
all Medicare-participating hospitals. The
majority of this impact analysis focuses on
this set of hospitals. There also are
approximately 1,403 CAHs. These small,
limited service hospitals are paid on the basis
of reasonable costs, rather than under the
IPPS. IPPS-excluded hospitals and units,
which are paid under separate payment
systems, include IPFs, IRFs, LTCHs, RNHCIs,
children’s hospitals, 11 cancer hospitals, 1
extended neoplastic disease care hospital,
and 6 short-term acute care hospitals located
in the Virgin Islands, Guam, the Northern
Mariana Islands, and American Samoa.
Changes in the prospective payment systems
for IPFs and IRFs are made through separate
rulemaking. Payment impacts of proposed
changes to the prospective payment systems
for these IPPS-excluded hospitals and units
are not included in this proposed rule. The
impact of the proposed update and policy
changes to the LTCH PPS for FY 2020 is
discussed in section I.J. of this Appendix.
F. Effects on Hospitals and Hospital Units
Excluded From the IPPS
As of March 2019, there were 96 children’s
hospitals, 11 cancer hospitals, 6 short-term
acute care hospitals located in the Virgin
Islands, Guam, the Northern Mariana Islands
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19621
and American Samoa, 1 extended neoplastic
disease care hospital, and 16 RNHCIs being
paid on a reasonable cost basis subject to the
rate-of-increase ceiling under § 413.40. (In
accordance with § 403.752(a) of the
regulation, RNHCIs are paid under § 413.40.)
Among the remaining providers, 297
rehabilitation hospitals and 832
rehabilitation units, and approximately 384
LTCHs, are paid the Federal prospective per
discharge rate under the IRF PPS and the
LTCH PPS, respectively, and 543 psychiatric
hospitals and 1,050 psychiatric units are paid
the Federal per diem amount under the IPF
PPS. As stated previously, IRFs and IPFs are
not affected by the proposed rate updates
discussed in this proposed rule. The impacts
of the proposed changes on LTCHs are
discussed in section I.J. of this Appendix.
For children’s hospitals, the 11 cancer
hospitals, the 6 short-term acute care
hospitals located in the Virgin Islands, Guam,
the Northern Mariana Islands, and American
Samoa, the 1 extended neoplastic disease
care hospital, and RNHCIs, the proposed
update of the rate-of-increase limit (or target
amount) is the estimated FY 2020 percentage
increase in the 2014-based IPPS operating
market basket, consistent with section
1886(b)(3)(B)(ii) of the Act, and §§ 403.752(a)
and 413.40 of the regulations. Consistent
with current law, based on IGI’s 2018 fourth
quarter forecast of the 2014-based IPPS
market basket increase, we are estimating the
proposed FY 2020 update to be 3.2 percent
(that is, the estimate of the market basket
rate-of-increase). We are proposing that if
more recent data become available for the
final rule, we would use such data to
calculate the IPPS operating market basket
update for FY 2020. However, the Affordable
Care Act requires an adjustment for
multifactor productivity (proposed 0.5
percentage point for FY 2020), resulting in a
proposed 2.7 percent applicable percentage
increase for IPPS hospitals that submit
quality data and are meaningful EHR users,
as discussed in section IV.B. of the preamble
of this proposed rule. Children’s hospitals,
the 11 cancer hospitals, the 6 short-term
acute care hospitals located in the Virgin
Islands, Guam, the Northern Mariana Islands,
and American Samoa, the 1 extended
neoplastic disease care hospital, and RNHCIs
that continue to be paid based on reasonable
costs subject to rate-of-increase limits under
§ 413.40 of the regulations are not subject to
the reductions in the applicable percentage
increase required under the Affordable Care
Act. Therefore, for those hospitals paid under
§ 413.40 of the regulations, the proposed
update is the percentage increase in the 2014based IPPS operating market basket for FY
2020, estimated at 3.2 percent.
The impact of the proposed update in the
rate-of-increase limit on those excluded
hospitals depends on the cumulative cost
increases experienced by each excluded
hospital since its applicable base period. For
excluded hospitals that have maintained
their cost increases at a level below the rateof-increase limits since their base period, the
major effect is on the level of incentive
payments these excluded hospitals receive.
Conversely, for excluded hospitals with cost
increases above the cumulative update in
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their rate-of-increase limits, the major effect
is the amount of excess costs that would not
be paid.
We note that, under § 413.40(d)(3), an
excluded hospital that continues to be paid
under the TEFRA system and whose costs
exceed 110 percent of its rate-of-increase
limit receives its rate-of-increase limit plus
the lesser of: (1) 50 percent of its reasonable
costs in excess of 110 percent of the limit; or
(2) 10 percent of its limit. In addition, under
the various provisions set forth in § 413.40,
hospitals can obtain payment adjustments for
justifiable increases in operating costs that
exceed the limit.
G. Quantitative Effects of the Proposed Policy
Changes Under the IPPS for Operating Costs
1. Basis and Methodology of Estimates
In this proposed rule, we are announcing
proposed policy changes and payment rate
updates for the IPPS for FY 2020 for
operating costs of acute care hospitals. The
proposed FY 2020 updates to the capital
payments to acute care hospitals are
discussed in section I.I. of this Appendix.
Based on the overall proposed percentage
change in payments per case estimated using
our payment simulation model, we estimate
that total FY 2020 operating payments would
increase by 3.6 percent, compared to FY
2019. In addition to the proposed applicable
percentage increase, this amount reflects the
proposed +0.5 percentage point permanent
adjustment to the standardized amount
required under section 414 of MACRA. The
impacts do not reflect changes in the number
of hospital admissions or real case-mix
intensity, which would also affect overall
payment changes.
We have prepared separate impact analyses
of the proposed changes to each system. This
section deals with the proposed changes to
the operating inpatient prospective payment
system for acute care hospitals. Our payment
simulation model relies on the most recent
available claims data to enable us to estimate
the impacts on payments per case of certain
proposed changes in this proposed rule.
However, there are other proposed changes
for which we do not have data available that
would allow us to estimate the payment
impacts using this model. For those proposed
changes, we have attempted to predict the
payment impacts based upon our experience
and other more limited data.
The data used in developing the
quantitative analyses of proposed changes in
payments per case presented in this section
are taken from the FY 2018 MedPAR file and
the most current Provider-Specific File (PSF)
that are used for payment purposes.
Although the analyses of the proposed
changes to the operating PPS do not
incorporate cost data, data from the most
recently available hospital cost reports were
used to categorize hospitals. Our analysis has
several qualifications. First, in this analysis,
we do not make adjustments for future
changes in such variables as admissions,
lengths of stay, or underlying growth in real
case-mix. Second, due to the interdependent
nature of the IPPS payment components, it is
very difficult to precisely quantify the impact
associated with each proposed change. Third,
we use various data sources to categorize
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hospitals in the tables. In some cases,
particularly the number of beds, there is a
fair degree of variation in the data from the
different sources. We have attempted to
construct these variables with the best
available source overall. However, for
individual hospitals, some
miscategorizations are possible.
Using cases from the FY 2018 MedPAR
file, we simulate payments under the
operating IPPS given various combinations of
payment parameters. As described
previously, Indian Health Service hospitals
and hospitals in Maryland were excluded
from the simulations. The impact of the
proposed payments under the capital IPPS,
and the impact of the proposed payments for
costs other than inpatient operating costs, are
not analyzed in this section. Estimated
payment impacts of the capital IPPS for FY
2020 are discussed in section I.I. of this
Appendix.
We discuss the following proposed
changes:
• The effects of the application of the
proposed applicable percentage increase of
2.7 percent (that is, a 3.2 percent market
basket update with a proposed reduction of
0.5 percentage point for the multifactor
productivity adjustment), and a proposed 0.5
percentage point adjustment required under
section 414 of the MACRA to the IPPS
standardized amount, and the proposed
applicable percentage increase (including the
market basket update and the proposed
multifactor productivity adjustment) to the
hospital-specific rates.
• The effects of the proposed changes to
the relative weights and MS–DRG GROUPER.
• The effects of the proposed changes in
hospitals’ wage index values reflecting
updated wage data from hospitals’ cost
reporting periods beginning during FY 2016,
compared to the FY 2015 wage data, to
calculate the proposed FY 2020 wage index.
• The effects of the geographic
reclassifications by the MGCRB (as of
publication of this proposed rule) that will be
effective for FY 2020.
• The effects of the proposed rural floor
with the application of the national budget
neutrality factor to the wage index and the
proposal to calculate the FY 2020 rural floor
without including the wage data of hospitals
that have reclassified as rural under
§ 412.103.
• The effects of the proposed frontier State
wage index adjustment under the statutory
provision that requires hospitals located in
States that qualify as frontier States to not
have a wage index less than 1.0. This
provision is not budget neutral.
• The effects of the implementation of
section 1886(d)(13) of the Act, as added by
section 505 of Public Law 108–173, which
provides for an increase in a hospital’s wage
index if a threshold percentage of residents
of the county where the hospital is located
commute to work at hospitals in counties
with higher wage indexes for FY 2020. This
provision is not budget neutral.
• The effects of the proposals to increase
the wage index for hospitals with wage index
values below the 25th percentile wage index
value (that is, the proposed lowest quartile
wage index adjustment), the associated
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proposal to decrease the wage index for
hospitals with wage index values above the
75th percentile wage index value for budget
neutrality purposes (that is, the proposed
highest quartile wage index adjustment), and
to apply a transition policy in FY 2020
pursuant to which a 5-percent cap would be
placed on any decrease in a hospital’s wage
index compared to its final FY 2019 wage
index value (that is, the proposed 5-percent
cap).
• The total estimated change in payments
based on the proposed FY 2020 policies
relative to payments based on FY 2019
policies, including estimated changes in
outlier payments.
To illustrate the impact of the proposed FY
2020 changes, our analysis begins with a FY
2019 baseline simulation model using: The
FY 2019 applicable percentage increase of
1.35 percent; the 0.5 percentage point
adjustment required under section 414 of the
MACRA applied to the IPPS standardized
amount; the FY 2019 MS–DRG GROUPER
(Version 36); the FY 2019 CBSA designations
for hospitals based on the OMB definitions
from the 2010 Census; the FY 2019 wage
index; and no MGCRB reclassifications.
Outlier payments are set at 5.1 percent of
total operating MS–DRG and outlier
payments for modeling purposes.
Section 1886(b)(3)(B)(viii) of the Act, as
added by section 5001(a) of Public Law 109–
171, as amended by section 4102(b)(1)(A) of
the ARRA (Pub. L. 111–5) and by section
3401(a)(2) of the Affordable Care Act (Pub. L.
111–148), provides that, for FY 2007 and
each subsequent year through FY 2014, the
update factor will include a reduction of 2.0
percentage points for any subsection (d)
hospital that does not submit data on
measures in a form and manner, and at a time
specified by the Secretary. Beginning in FY
2015, the reduction is one-quarter of such
applicable percentage increase determined
without regard to section 1886(b)(3)(B)(ix),
(xi), or (xii) of the Act, or one-quarter of the
market basket update. Therefore, for FY 2020,
we are proposing that hospitals that do not
submit quality information under rules
established by the Secretary and that are
meaningful EHR users under section
1886(b)(3)(B)(ix) of the Act would receive an
applicable percentage increase of 1.9 percent.
At the time this impact was prepared, 39
hospitals are estimated to not receive the full
market basket rate-of-increase for FY 2020
because they failed the quality data
submission process or did not choose to
participate, but are meaningful EHR users.
For purposes of the simulations shown later
in this section, we modeled the proposed
payment changes for FY 2020 using a
reduced update for these hospitals.
For FY 2020, in accordance with section
1886(b)(3)(B)(ix) of the Act, a hospital that
has been identified as not a meaningful EHR
user will be subject to a reduction of threequarters of such applicable percentage
increase determined without regard to
section 1886(b)(3)(B)(ix), (xi), or (xii) of the
Act. Therefore, for FY 2020, we are proposing
that hospitals that are identified as not being
meaningful EHR users and do submit quality
information under section 1886(b)(3)(B)(viii)
of the Act would receive an applicable
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percentage increase of 0.3 percent. At the
time this impact analysis was prepared, 211
hospitals are estimated to not receive the full
market basket rate-of-increase for FY 2020
because they are identified as not meaningful
EHR users that do submit quality information
under section 1886(b)(3)(B)(viii) of the Act.
For purposes of the simulations shown in
this section, we modeled the proposed
payment changes for FY 2020 using a
reduced update for these hospitals.
Hospitals that are identified as not
meaningful EHR users under section
1886(b)(3)(B)(ix) of the Act and also do not
submit quality data under section
1886(b)(3)(B)(viii) of the Act would receive a
proposed applicable percentage increase of
¥0.5 percent, which reflects a one-quarter
reduction of the market basket update for
failure to submit quality data and a threequarter reduction of the market basket update
for being identified as not a meaningful EHR
user. At the time this impact was prepared,
32 hospitals are estimated to not receive the
full market basket rate-of-increase for FY
2020 because they are identified as not
meaningful EHR users that do not submit
quality data under section 1886(b)(3)(B)(viii)
of the Act.
Each proposed policy change, statutory or
otherwise, is then added incrementally to
this baseline, finally arriving at an FY 2020
model incorporating all of the proposed
changes. This simulation allows us to isolate
the effects of each change.
Our comparison illustrates the proposed
percent change in payments per case from FY
2019 to FY 2020. Two factors not discussed
separately have significant impacts here. The
first factor is the proposed update to the
standardized amount. In accordance with
section 1886(b)(3)(B)(i) of the Act, we are
proposing to update the standardized
amounts for FY 2020 using a proposed
applicable percentage increase of 2.7 percent.
This includes our forecasted IPPS operating
hospital market basket increase of 3.2 percent
with a proposed 0.5 percentage point
reduction for the multifactor productivity
adjustment. Hospitals that fail to comply
with the quality data submission
requirements and are meaningful EHR users
would receive a proposed update of 1.9
percent. This proposed update includes a
reduction of one-quarter of the market basket
update for failure to submit these data.
Hospitals that do comply with the quality
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17:51 May 02, 2019
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data submission requirements but are not
meaningful EHR users would receive a
proposed update of 0.3 percent, which
includes a reduction of three-quarters of the
market basket update. Furthermore, hospitals
that do not comply with the quality data
submission requirements and also are not
meaningful EHR users would receive a
proposed update of ¥0.5 percent. Under
section 1886(b)(3)(B)(iv) of the Act, the
update to the hospital-specific amounts for
SCHs and MDHs is also equal to the
applicable percentage increase, or 2.7
percent, if the hospital submits quality data
and is a meaningful EHR user.
A second significant factor that affects the
proposed changes in hospitals’ payments per
case from FY 2019 to FY 2020 is the change
in hospitals’ geographic reclassification
status from one year to the next. That is,
payments may be reduced for hospitals
reclassified in FY 2019 that are no longer
reclassified in FY 2020. Conversely,
payments may increase for hospitals not
reclassified in FY 2019 that are reclassified
in FY 2020.
2. Analysis of Table I
Table I displays the results of our analysis
of the proposed changes for FY 2020. The
table categorizes hospitals by various
geographic and special payment
consideration groups to illustrate the varying
impacts on different types of hospitals. The
top row of the table shows the overall impact
on the 3,242 acute care hospitals included in
the analysis.
The next four rows of Table I contain
hospitals categorized according to their
geographic location: All urban, which is
further divided into large urban and other
urban; and rural. There are 2,476 hospitals
located in urban areas included in our
analysis. Among these, there are 1,268
hospitals located in large urban areas
(populations over 1 million), and 1,208
hospitals in other urban areas (populations of
1 million or fewer). In addition, there are 766
hospitals in rural areas. The next two
groupings are by bed-size categories, shown
separately for urban and rural hospitals. The
last groupings by geographic location are by
census divisions, also shown separately for
urban and rural hospitals.
The second part of Table I shows hospital
groups based on hospitals’ FY 2020 payment
classifications, including any
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19623
reclassifications under section 1886(d)(10) of
the Act. For example, the rows labeled urban,
large urban, other urban, and rural show that
the numbers of hospitals paid based on these
categorizations after consideration of
geographic reclassifications (including
reclassifications under sections 1886(d)(8)(B)
and 1886(d)(8)(E) of the Act that have
implications for capital payments) are 2,188,
1,283, 905, and 1,054, respectively.
The next three groupings examine the
impacts of the proposed changes on hospitals
grouped by whether or not they have GME
residency programs (teaching hospitals that
receive an IME adjustment) or receive
Medicare DSH payments, or some
combination of these two adjustments. There
are 2,127 nonteaching hospitals in our
analysis, 865 teaching hospitals with fewer
than 100 residents, and 250 teaching
hospitals with 100 or more residents.
In the DSH categories, hospitals are
grouped according to their DSH payment
status, and whether they are considered
urban or rural for DSH purposes. The next
category groups together hospitals considered
urban or rural, in terms of whether they
receive the IME adjustment, the DSH
adjustment, both, or neither.
The next three rows examine the impacts
of the proposed changes on rural hospitals by
special payment groups (SCHs, MDHs and
RRCs). There were 380 RRCs, 305 SCHs, 149
MDHs, 143 hospitals that are both SCHs and
RRCs, and 17 hospitals that are both MDHs
and RRCs.
The next series of groupings are based on
the type of ownership and the hospital’s
Medicare utilization expressed as a percent
of total inpatient days. These data were taken
from the FY 2017 or FY 2016 Medicare cost
reports.
The next grouping concerns the geographic
reclassification status of hospitals. The first
subgrouping is based on whether a hospital
is reclassified or not. The second and third
subgroupings are based on whether urban
and rural hospitals were reclassified by the
MGCRB for FY 2020 or not, respectively. The
fourth subgrouping displays hospitals that
reclassified from urban to rural in accordance
with section 1886(d)(8)(E) of the Act. The
fifth subgrouping displays hospitals deemed
urban in accordance with section
1886(d)(8)(B).
BILLING CODE 4120–01–P
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FY 2020
Wage Data
with
Application
of Wage
Budget
Neutrality
(3) 4
All Hospitals
By Geographic
Location:
3,242
3.1
0
Urban hospitals
Large urban
areas
Other urban
areas
2,476
3.1
1,268
3.1
1,208
3.1
Rural hospitals
Bed Size
(Urban):
766
2.8
0-99 beds
643
3
0.4
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Number
of
Hospitals1
Proposed
Hospital
Rate
Update and
Adjustment
under
MACRA
(1)2
Proposed
FY 2020
Weights and
DRG
Changes with
Application
of
Recalibration
Budget
Neutrality
(2)3
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FY 2020
MGCRB
Reclassifications
(4) 5
Proposed
Rural
Floor with
Application
of National
Rural
Floor
Budget
Neutrality
(5) 6
Application
of the
Proposed
Frontier
State Wage
Index and
Proposed
Outmigration
Adjustment
(6) 7
0
0
0
0.1
0
3.5
0
0
-0.1
0
0.1
0
3.5
-0.1
0
-0.7
-0.1
0.1
-0.2
3.4
0
0
0.5
0.1
0.2
0.1
3.7
0.2
0.1
1
-0.1
0.1
0.4
3.6
-0.1
-0.8
0
0.3
0
3.6
Application of
Proposed Lowest
Quartile and
Highest Qua11ile
Wage Index
All
Policies and
Proposed
Proposed
FY 2020
Transition
Changes
(7) 8
(8) 9
100-199 beds
759
3.1
0
0
-0.2
0.1
0.2
0
3.4
200-299 beds
431
3.2
0
0
0.1
0.1
0.1
0
3.4
300-499 beds
424
3.1
-0.1
0
0
0
0.1
-0.1
3.6
500 or more beds
Bed Size
(Rural):
219
3.1
-0.1
-0.1
-0.2
-0.1
0
0
3.6
0-49 beds
302
2.7
1.1
0
0.4
-0.1
0.2
0.7
4.9
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
17:51 May 02, 2019
TABLE I.-IMPACT ANALYSIS OF PROPOSED CHANGES TO THE IPPS FOR OPERATING COSTS FOR
FY 2020
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FY 2020
Wage Data
with
Application
of Wage
Budget
Neutrality
(1)2
(2)3
(3) 4
50-99 beds
272
2.8
0.3
FY 2020
MGCRB
Reclassifications
Proposed
Rural
Floor with
Application
of National
Rural
Floor
Budget
Neutrality
Application
of the
Proposed
Frontier
State Wage
Index and
Proposed
Outmigration
Adjustment
(4) 5
(5) 6
(6) 7
Application of
Proposed Lowest
Quartile and
Highest Quatiile
Wage Index
All
Policies and
Proposed
Proposed
FY 2020
Transition
Changes
(8) 9
(7) 8
0.1
0.5
0
0.2
0.5
3.6
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03MYP2
100-149beds
108
2.9
0.1
0
0.9
-0.1
-0.1
0.3
3.7
150-199beds
45
3
-0.2
0.2
1.6
-0.1
0.2
0.4
3.2
200 or more beds
Urban by
Region:
39
2.9
0
0.1
1.7
0
-0.1
0.3
3
New England
112
3.2
0.3
-0.3
1.5
0.3
0.1
1.3
1.7
Middle Atlantic
307
3.2
-0.2
-0.1
0.3
-0.2
0.1
-0.4
3.1
South Atlantic
East North
Central
East South
Central
West North
Central
West South
Central
399
3.1
0
-0.2
-0.5
-0.1
0
0
3.5
386
3.2
0
0
-0.4
-0.2
0
-0.1
3.6
147
3.1
-0.1
-0.1
-0.4
-0.2
0
0.9
4.5
157
3
0.2
0.4
-0.8
-0.1
0.6
-0.1
4.2
375
3.2
-0.3
0.1
-0.7
-0.2
0
0.1
3.5
Mountain
169
3.1
0.2
0.2
0
0.2
0.3
0
3
Pacific
374
3.1
0
0.1
0.5
0.6
0.1
-0.7
4.1
50
3.2
-2.3
-0.5
-1
0.2
0.1
12.7
13.6
Puerto Rico
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
17:51 May 02, 2019
Number
of
Hospitals1
Proposed
Hospital
Rate
Update and
Adjustment
under
MACRA
Proposed
FY 2020
Weights and
DRG
Changes with
Application
of
Recalibration
Budget
Neutrality
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FY 2020
Wage Data
with
Application
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Budget
Neutrality
(3) 4
New England
20
3
0.5
Middle Atlantic
53
2.8
120
Application
of the
Proposed
Frontier
State Wage
Index and
Proposed
Outmigration
Adjustment
(6) 7
-0.8
0.6
-0.1
0
0.2
2.3
0.1
-0.2
0.9
-0.1
0
0
3.1
2.9
0
0
1.4
-0.1
0
0.7
3.6
114
2.8
0.3
0
0.9
-0.1
0
0.1
3.4
150
3
0
0.4
1.8
-0.2
0.1
1.1
4.3
93
2.5
0.3
0.2
0.1
0.1
0
0.1
3.3
142
3
0.3
0
1.5
0
0.1
0.8
4.5
Mountain
50
2.6
0.6
0.3
0.1
-0.1
0.6
0
3.3
Pacific
By Payment
Classification:
24
2.8
0.7
0.1
1
-0.1
0
-0.2
3.6
Urban hospitals
Large urban
areas
2,188
3.1
0
0
-0.6
0
0.1
-0.1
3.5
1,283
3.1
-0.1
0
-0.7
-0.1
0.1
-0.2
3.4
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FY 2020
MGCRB
Reclassifications
(4) 5
Proposed
Rural
Floor with
Application
of National
Rural
Floor
Budget
Neutrality
(5) 6
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Application of
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Quartile and
Highest Quatiile
Wage Index
All
Policies and
Proposed
Proposed
FY 2020
Transition
Changes
(7) 8
(8) 9
Rural by
Region:
South Atlantic
East North
Central
East South
Central
West North
Central
West South
Central
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
17:51 May 02, 2019
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of
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Hospital
Rate
Update and
Adjustment
under
MACRA
(1)2
Proposed
FY 2020
Weights and
DRG
Changes with
Application
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Budget
Neutrality
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Other urban
areas
(1)2
Proposed
FY 2020
Wage Data
with
Application
of Wage
Budget
Neutrality
FY 2020
MGCRB
Reclassifications
Proposed
Rural
Floor with
Application
of National
Rural
Floor
Budget
Neutrality
(3) 4
(4) 5
(5) 6
Application
of the
Application of
Proposed
Proposed Lowest
Quartile and
Frontier
State Wage
Highest Quartile
Index and
Wage Index
All
Proposed
Policies and
Proposed
Outmigration
Proposed
FY 2020
Adjustment
Transition
Changes
(6) 7
(7) 8
(8) 9
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03MYP2
905
3.1
0.1
-0.1
-0.3
0.3
0.2
0.1
3.8
Rural areas
Teaching
Status:
1,054
3
0
0.1
1.5
-0.1
0.1
0.2
3.5
Nonteaching
Fewer than 100
residents
100 or more
residents
2,127
3.1
0.1
0
0.1
0.1
0.1
0.1
3.6
865
3.2
0
0
-0.1
0
0.2
0
3.5
250
3.1
-0.1
0
0
-0.2
0
-0.1
3.5
538
3.1
0.3
0
-0.3
-0.2
0.2
0
3.7
1,393
3.1
0
-0.1
-0.5
0.1
0.1
-0.1
3.5
352
3.1
0.3
-0.1
-0.8
0.1
0.1
0
3.4
SCH
256
2.6
0.1
0
-0.1
0
0
0.2
3
RRC
442
3.1
-0.1
0.2
1.8
-0.1
0.1
0.1
3.5
31
3.2
0.1
-0.6
l.l
-0.2
0
0.3
2.9
UrbanDSH:
Non-DSH
100 or more beds
Less than 100
beds
RuralDSH:
100 or more beds
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
17:51 May 02, 2019
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Hospital
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Update and
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FY 2020
Weights and
DRG
Changes with
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Budget
Neutrality
(2)3
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0.9
-0.1
0.5
-0.1
0.2
1.3
5.1
776
3.1
-0.1
-0.1
-0.7
0
0.1
-0.1
3.5
84
3.2
0.3
-0.1
-0.4
-0.2
0.1
-0.2
3.7
969
3.2
0
-0.1
-0.3
0.3
0.1
0
3.5
359
3.1
0.3
0
-0.7
-0.1
0.2
-0.1
3.9
RRC
380
3.2
0
0.1
2
-0.1
0.2
0.1
3.7
SCH
305
2.6
0.2
-0.1
-0.1
0
0
0.1
3.1
MDH
149
2.8
0.5
-0.1
0.6
-0.1
0.1
0.6
4
SCHandRRC
143
2.7
-0.1
0
0.3
0
0
0.1
2.9
MDHandRRC
Type of
Ownership:
17
2.9
-0.2
-0.1
0.4
-0.1
0
0.2
2.6
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Less than 100
beds
Urban teaching
andDSH:
Both teaching
andDSH
Teaching and no
DSH
No teaching and
DSH
No teaching and
noDSH
Special Hospital
Types:
Proposed
FY 2020
Wage Data
with
Application
of Wage
Budget
Neutrality
(3) 4
FY 2020
MGCRB
Reclassifications
Proposed
Rural
Floor with
Application
of National
Rural
Floor
Budget
Neutrality
Application
of the
Proposed
Frontier
State Wage
Index and
Proposed
Outmigration
Adjustment
(4) 5
(5) 6
(6) 7
Application of
Proposed Lowest
Quartile and
Highest Quatiile
Wage Index
All
Policies and
Proposed
Proposed
FY 2020
Transition
Changes
(7) 8
(8) 9
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
17:51 May 02, 2019
Number
of
Hospitals1
Proposed
Hospital
Rate
Update and
Adjustment
under
MACRA
(1)2
Proposed
FY 2020
Weights and
DRG
Changes with
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Neutrality
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Voluntary
(1)2
Proposed
FY 2020
Wage Data
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Budget
Neutrality
FY 2020
MGCRB
Reclassifications
Proposed
Rural
Floor with
Application
of National
Rural
Floor
Budget
Neutrality
(3) 4
(4) 5
(5) 6
Application
of the
Application of
Proposed
Proposed Lowest
Frontier
Quartile and
State Wage
Highest Quartile
Index and
Wage Index
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FY 2020
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1,893
3.1
0
0
0
0
0.1
0
3.5
Proprietmy
852
3.1
0.1
0
-0.1
0
0.1
0.2
3.6
Government
496
3
-0.1
-0.1
-0.1
0.1
0
0
3.6
596
3.1
-0.2
0.1
-0.3
0
0
-0.1
3.4
25-50
2,122
3.1
0
0
0
0
0.1
0
3.6
50-65
414
3
0.2
-0.1
0.4
0.2
0.1
0.1
3.2
73
2.3
1.9
0.3
-0.7
-0.1
0.7
1.2
7.2
957
3.1
0
0.1
1.7
-0.1
0.1
()
3.4
Medicare
Utilization as a
Percent of
Inpatient Days:
0-25
Over65
FY 2020
Reclassifications
by the Medicare
Geographic
Classification
Review Board:
All Reclassified
Hospitals
Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
17:51 May 02, 2019
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of
Hospitals1
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Hospital
Rate
Update and
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under
MACRA
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FY 2020
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DRG
Changes with
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Recalibration
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Hospitals
Urban Hospitals
Reclassified
Urban NonReclassified
Hospitals
Rural Hospitals
Reclassified Full
Year
Rural NonReclassified
Hospitals Full
Year
All Section 401
Reclassified
Hospitals
Other
Reclassified
Hospitals
(Section
1886(d)(8)(B))
(1)2
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FY 2020
Wage Data
with
Application
of Wage
Budget
Neutrality
FY 2020
MGCRB
Reclassifications
Proposed
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Floor with
Application
of National
Rural
Floor
Budget
Neutt·ality
(3) 4
(4) 5
(5) 6
Application
of the
Application of
Proposed
Proposed Lowest
Frontier
Quartile and
State Wage
Highest Quartile
Index and
Wage Index
All
Proposed
Proposed
Policies and
Outmigration
Proposed
FY 2020
Adjustment
Transition
Changes
(7) 8
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2,285
3.1
0
0
-1
0.1
0.1
0
3.6
679
3.1
-0.1
0.1
1.7
-0.1
0.1
0
3.3
1,753
3.1
0
0
-1.1
0.1
0.1
0
3.6
278
2.9
0
0.1
1.9
-0.1
0
0.3
3.4
441
2.8
0.5
0
-0.4
0
0.1
0.7
4
335
3.1
-0.1
0.2
1.7
-0.1
0.2
0.1
3.5
47
3.1
0.2
-0.1
1.6
-0.1
0
0.3
3.4
Because data necessary to classify some hospitals by category were missing, the total number of hospitals in each category may not equal the national total. Discharge
data are from FY 2018, and hospital cost report data are from reporting periods beginning in FY 2017 and FY 2016.
2
This column displays the payment impact of the proposed hospital rate update and other adjustments, including the proposed 2. 7 percent adjustment to the national
standardized amount and the proposed hospital-specific rate (the estimated 3.2 percent market basket update reduced by 0.5 percentage point for the proposed multifactor
productivity adjustment), and the 0.5 percentage point adjustment to the national standardized amount required under section 414 of the MACRA
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Number
of
Hospitals1
Proposed
Hospital
Rate
Update and
Adjustment
under
MACRA
Proposed
FY 2020
Weights and
DRG
Changes with
Application
of
Recalibration
Budget
Neutrality
(2)3
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required under section 414 of the MACRA.
As a result, we are proposing to make a 3.2
percent update to the national standardized
amount. This column also includes the
proposed update to the hospital-specific rates
which includes the proposed 3.2 percent
market basket update and the proposed
E:\FR\FM\03MYP2.SGM
including the proposed 3.2 percent market
basket update and the proposed reduction of
0.5 percentage point for the multifactor
productivity adjustment. In addition, as
discussed in section II.D. of the preamble of
this proposed rule, this column includes the
FY 2020 +0.5 percentage point adjustment
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a. Effects of the Proposed Hospital Update
and Other Proposed Adjustments (Column 1)
17:51 May 02, 2019
As discussed in section IV.B. of the
preamble of this proposed rule, this column
includes the proposed hospital update,
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3
This colrunn displays the payment impact of the proposed changes to the Version 37 GROUPER, the proposed changes to the relative weights and the recalibration of
the MS-DRG weights based on FY 2018 MedPAR data in accordance with section 1886( d)( 4)(C)(iii) of the Act. This colunm displays the application of the proposed
recalibration budget neutrality factor of 0. 998768 in accordance with section 1886( d)(4 )(C)(iii) of the Act.
4
This colrunn displays the payment impact of the proposed update to wage index data using FY 2016 cost report data and the OMB labor market area delineations based
on 2010 Decennial Census data. This colunm displays the payment impact of the application of the proposed wage budget neutrality factor, which is calculated
separately from the recalibration budget neutrality factor, and is calculated in accordance with section 1886( d)(3 )(E)( i) of the Act. The proposed wage budget neutrality
factor is 1.000915.
5
Shown here are the effects of geographic reclassifications by the Medicare Geographic Classification Review Board (MGCRB). The effects demonstrate the FY 2020
payment impact of going from no reclassifications to the reclassifications scheduled to be in effect for FY 2020. Reclassification for prior years has no bearing on the
payment impacts shown here. This colunm reflects the proposed geographic budget neutrality factor of 0. 986451.
6
This colunm displays the effects of the proposed rural floor. For FY 2020 and subsequent years, we are proposing to calculate the rural floor without including the
wage data of hospitals that have reclassified as rural under § 412.103. The statute requires the rural floor budget neutrality adjustment to be 100 percent national level
adjustment. The proposed rural floor budget neutrality factor applied to the wage index is 0. 996316.
7
This colunm shows the combined impact of the policy required under section 10324 of the Affordable Care Act that hospitals located in frontier States have a wage
index no less than 1.0 and of section 1886(d)(l3) of the Act, as added by section 505 of Pub. L. 108-173, which provides for an increase in a hospital's wage index if a
threshold percentage of residents of the county where the hospital is located commute to work at hospitals in counties with higher wage indexes. These are not budget
neutral policies.
8
This colunm displays the effect of the proposal to increase the wage index for hospitals with a wage index value below the 25th percentile wage index (that is, the
proposed lowest quartile wage index adjustment), the associated budget neutrality decrease to the wage index for hospitals with a wage index value above the 75th
percentile (that is, the proposed highest quartile wage index adjustment), and the proposed transition policy to place a 5-percent cap on any decrease in a hospital's wage
index from its final wage index in FY 2019 (that is, the proposed 5-percent cap). This colunm reflects the proposed budget neutrality factor of0.998349 for the proposed
5-percent cap.
9
This colrunn shows the estimated change in payments from FY 2019 to FY 2020.
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reduction of 0.5 percentage point for the
multifactor productivity adjustment. As a
result, we are proposing to make a 2.7
percent update to the hospital-specific rates.
Overall, hospitals would experience a 3.1
percent increase in payments primarily due
to the combined effects of the proposed
hospital update to the national standardized
amount and the proposed hospital update to
the hospital-specific rate. Hospitals that are
paid under the hospital-specific rate would
experience a 2.7 percent increase in
payments; therefore, hospital categories
containing hospitals paid under the hospitalspecific rate would experience a lower than
average increase in payments.
b. Effects of the Proposed Changes to the MS–
DRG Reclassifications and Relative CostBased Weights With Recalibration Budget
Neutrality (Column 2)
Column 2 shows the effects of the
proposed changes to the MS–DRGs and
relative weights with the application of the
proposed recalibration budget neutrality
factor to the standardized amounts. Section
1886(d)(4)(C)(i) of the Act requires us
annually to make appropriate classification
changes in order to reflect changes in
treatment patterns, technology, and any other
factors that may change the relative use of
hospital resources. Consistent with section
1886(d)(4)(C)(iii) of the Act, we calculated a
proposed recalibration budget neutrality
factor to account for the changes in MS–
DRGs and relative weights to ensure that the
overall payment impact is budget neutral.
As discussed in section II.E. of the
preamble of this proposed rule, the FY 2020
MS–DRG relative weights will be 100 percent
cost-based and 100 percent MS–DRGs. For
FY 2020, the MS–DRGs are calculated using
the FY 2018 MedPAR data grouped to the
proposed Version 37 (FY 2020) MS–DRGs.
The methodology to calculate the proposed
relative weights and the reclassification
changes to the GROUPER are described in
more detail in section II.G. of the preamble
of this proposed rule.
The ‘‘All Hospitals’’ line in Column 2
indicates that proposed changes due to the
MS–DRGs and relative weights would result
in a 0.0 percent change in payments with the
application of the proposed recalibration
budget neutrality factor of 0.998768 to the
standardized amount. As discussed in
section II.F.14. of the preamble of this
proposed rule, as a result of our
comprehensive CC/MCC analysis of the
diagnosis codes, we proposed changes to the
severity levels of many codes. Hospital
categories that generally treat cases in the
higher MS–DRG severity levels, such as large
urban hospitals, would experience a decrease
in their payments, while hospitals that
generally treat fewer of these cases would
experience a slight increase in their
payments under the proposed relative
weights. For example, rural hospitals would
experience a 0.2 percent increase in
payments in part because rural hospitals tend
to treat fewer cases in higher MS–DRG
severity levels. Conversely, teaching
hospitals with more than 100 residents
would experience a slight decrease in
payments of 0.1 percent as those hospitals
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typically treat more cases in higher MS–DRG
severity levels.
c. Effects of the Proposed Wage Index
Changes (Column 3)
Column 3 shows the impact of the
proposed updated wage data using FY 2016
cost report data, with the application of the
proposed wage budget neutrality factor. The
wage index is calculated and assigned to
hospitals on the basis of the labor market area
in which the hospital is located. Under
section 1886(d)(3)(E) of the Act, beginning
with FY 2005, we delineate hospital labor
market areas based on the Core Based
Statistical Areas (CBSAs) established by
OMB. The current statistical standards used
in FY 2020 are based on OMB standards
published on February 28, 2013 (75 FR 37246
and 37252), and 2010 Decennial Census data
(OMB Bulletin No. 13–01), as updated in
OMB Bulletin Nos. 15–01 and 17–01. (We
refer readers to the FY 2015 IPPS/LTCH PPS
final rule (79 FR 49951 through 49963) for a
full discussion on our adoption of the OMB
labor market area delineations, based on the
2010 Decennial Census data, effective
beginning with the FY 2015 IPPS wage index,
to the FY 2017 IPPS/LTCH PPS final rule (81
FR 56913) for a discussion of our adoption
of the CBSA updates in OMB Bulletin No.
15–01, which were effective beginning with
the FY 2017 wage index, and to the FY 2019
IPPS/LTCH PPS final rule (83 FR 41362) for
a discussion of our adoption of the CBSA
update in OMB Bulletin No. 17–01 for the FY
2019 wage index.)
Section 1886(d)(3)(E) of the Act requires
that, beginning October 1, 1993, we annually
update the wage data used to calculate the
wage index. In accordance with this
requirement, the proposed wage index for
acute care hospitals for FY 2020 is based on
data submitted for hospital cost reporting
periods, beginning on or after October 1,
2015 and before October 1, 2016. The
estimated impact of the updated wage data
using the FY 2016 cost report data and the
OMB labor market area delineations on
hospital payments is isolated in Column 3 by
holding the other proposed payment
parameters constant in this simulation. That
is, Column 3 shows the proposed percentage
change in payments when going from a
model using the FY 2019 wage index, based
on FY 2015 wage data, the labor-related share
of 68.3 percent, under the OMB delineations
and having a 100-percent occupational mix
adjustment applied, to a model using the
proposed FY 2020 pre-reclassification wage
index based on FY 2016 wage data with the
labor-related share of 68.3 percent, under the
OMB delineations, also having a 100-percent
occupational mix adjustment applied, while
holding other payment parameters, such as
use of the proposed Version 37 MS–DRG
GROUPER constant. The proposed FY 2020
occupational mix adjustment is based on the
CY 2016 occupational mix survey.
In addition, the column shows the impact
of the application of the proposed wage
budget neutrality to the national
standardized amount. In FY 2010, we began
calculating separate wage budget neutrality
and recalibration budget neutrality factors, in
accordance with section 1886(d)(3)(E) of the
Act, which specifies that budget neutrality to
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account for wage index changes or updates
made under that subparagraph must be made
without regard to the 62 percent labor-related
share guaranteed under section
1886(d)(3)(E)(ii) of the Act. Therefore, for FY
2020, we are proposing to calculate the
proposed wage budget neutrality factor to
ensure that payments under updated wage
data and the labor-related share of 68.3
percent are budget neutral, without regard to
the lower labor-related share of 62 percent
applied to hospitals with a wage index less
than or equal to 1.0. In other words, the wage
budget neutrality is calculated under the
assumption that all hospitals receive the
higher labor-related share of the standardized
amount. The proposed FY 2020 wage budget
neutrality factor is 1.000915 and the overall
proposed payment change is 0 percent.
Column 3 shows the impacts of updating
the wage data using FY 2016 cost reports.
Overall, the new wage data and the laborrelated share, combined with the proposed
wage budget neutrality adjustment, would
lead to no change for all hospitals, as shown
in Column 3.
In looking at the wage data itself, the
national average hourly wage would increase
1.02 percent compared to FY 2019.
Therefore, the only manner in which to
maintain or exceed the previous year’s wage
index was to match or exceed the proposed
1.02 percent increase in the national average
hourly wage. Of the 3,204 hospitals with
wage data for both FYs 2019 and 2020, 1,620
or 50.6 percent would experience an average
hourly wage increase of 1.02 percent or more.
The following chart compares the shifts in
wage index values for hospitals due to the
proposed changes in the average hourly wage
data for FY 2020 relative to FY 2019. Among
urban hospitals, 3 would experience a
decrease of 10 percent or more, and 3 urban
hospitals would experience an increase of 10
percent or more. Sixty-three urban hospitals
would experience an increase or decrease of
at least 5 percent or more but less than 10
percent. Among rural hospitals, none would
experience an increase of 10 percent or more,
and none would experience a decrease of 10
percent or more. Two rural hospitals would
experience an increase or decrease of at least
5 percent or more but less than 10 percent.
However, 750 rural hospitals would
experience increases or decreases of less than
5 percent, while 2,381 urban hospitals would
experience increases or decreases of less than
5 percent. Two urban hospitals and 0 rural
hospitals would experience no change to
their wage index. These figures reflect
proposed changes in the ‘‘pre-reclassified,
occupational mix-adjusted wage index,’’ that
is, the wage index before the application of
geographic reclassification, the rural floor,
the out-migration adjustment, and other wage
index exceptions and adjustments. (We refer
readers to sections III.G. through III.L. of the
preamble of this proposed rule for a complete
discussion of the exceptions and adjustments
to the wage index.) We note that the ‘‘postreclassified wage index’’ or ‘‘payment wage
index,’’ which is the wage index that
includes all such exceptions and adjustments
(as reflected in Tables 2 and 3 associated
with this proposed rule, which are available
via the internet on the CMS website) is used
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to adjust the labor-related share of a
hospital’s standardized amount, either 68.3
percent or 62 percent, depending upon
whether a hospital’s wage index is greater
than 1.0 or less than or equal to 1.0.
Therefore, the proposed pre-reclassified wage
index figures in the following chart may
illustrate a somewhat larger or smaller
proposed change than would occur in a
hospital’s payment wage index and total
payment.
The following chart shows the projected
impact of proposed changes in the area wage
index values for urban and rural hospitals.
Number of hospitals
Proposed FY 2020 percentage change in area wage index values
Urban
Increase 10 percent or more ...................................................................................................................................
Increase greater than or equal to 5 percent and less than 10 percent ..................................................................
Increase or decrease less than 5 percent ...............................................................................................................
Decrease greater than or equal to 5 percent and less than 10 percent ................................................................
Decrease 10 percent or more .................................................................................................................................
Unchanged ...............................................................................................................................................................
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d. Effects of MGCRB Reclassifications
(Column 4)
Our impact analysis to this point has
assumed acute care hospitals are paid on the
basis of their actual geographic location (with
the exception of ongoing policies that
provide that certain hospitals receive
payments on bases other than where they are
geographically located). The proposed
changes in Column 4 reflect the per case
payment impact of moving from this baseline
to a simulation incorporating the MGCRB
decisions for FY 2020.
By spring of each year, the MGCRB makes
reclassification determinations that will be
effective for the next fiscal year, which
begins on October 1. The MGCRB may
approve a hospital’s reclassification request
for the purpose of using another area’s wage
index value. Hospitals may appeal denials of
MGCRB decisions to the CMS Administrator.
Further, hospitals have 45 days from the date
the IPPS proposed rule is issued in the
Federal Register to decide whether to
withdraw or terminate an approved
geographic reclassification for the following
year (we refer readers to the discussion of our
clarification of this policy in section III.I.2. of
the preamble to this proposed rule.
The overall effect of geographic
reclassification is required by section
1886(d)(8)(D) of the Act to be budget neutral.
Therefore, for purposes of this impact
analysis, we are proposing to apply an
adjustment of 0.986451 to ensure that the
effects of the reclassifications under sections
1886(d)(8)(B) and (C) and 1886(d)(10) of the
Act are budget neutral (section II.A. of the
Addendum to this proposed rule). We note
that, with regard to the requirement under
section 1886(d)(8)(C)(iii) of the Act, in our
calculation of the proposed budget neutrality
adjustment of 0.986451, we applied the
provisions of our proposal discussed in
section III.N. of the preamble of this
proposed rule to exclude the wage data of
urban hospitals that have reclassified as rural
under section 1886(d)(8)(E) of the Act from
the calculation of ‘‘the wage index for rural
areas in the State in which the county is
located’’ (section II.A.4. of the Addendum to
this proposed rule). Geographic
reclassification generally benefits hospitals in
rural areas. We estimate that the geographic
reclassification would increase payments to
rural hospitals by an average of 1.0 percent.
By region, all the rural hospital categories
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would experience increases in payments due
to MGCRB reclassifications.
Table 2 listed in section VI. of the
Addendum to this proposed rule and
available via the internet on the CMS website
reflects the reclassifications for FY 2020.
e. Effects of the Proposed Rural Floor,
Including Application of National Budget
Neutrality (Column 5)
As discussed in section III.B. of the
preamble of the FY 2009 IPPS final rule, the
FY 2010 IPPS/RY 2010 LTCH PPS final rule,
the FYs 2011 through 2019 IPPS/LTCH PPS
final rules, and this FY 2020 IPPS/LTCH PPS
proposed rule, section 4410 of Public Law
105–33 established the rural floor by
requiring that the wage index for a hospital
in any urban area cannot be less than the
wage index applicable to hospitals located in
rural areas in the same State. We will apply
a uniform budget neutrality adjustment to the
wage index. Column 5 shows the effects of
the proposed rural floor.
The Affordable Care Act requires that we
apply one rural floor budget neutrality factor
to the wage index nationally. We have
calculated a proposed FY 2020 rural floor
budget neutrality factor to be applied to the
wage index of 0.996316, which would reduce
wage indexes by 0.37 percent.
Column 5 shows the projected impact of
the proposed rural floor with the national
rural floor budget neutrality factor applied to
the wage index based on the OMB labor
market area delineations. The column
compares the post-reclassification FY 2020
wage index of providers before the rural floor
adjustment and the post-reclassification FY
2020 wage index of providers with the rural
floor adjustment based on the OMB labor
market area delineations. Only urban
hospitals can benefit from the rural floor.
Because the provision is budget neutral, all
other hospitals (that is, all rural hospitals and
those urban hospitals to which the
adjustment is not made) would experience a
decrease in payments due to the budget
neutrality adjustment that is applied
nationally to their wage index. We note that,
as discussed in section III.N of the preamble
of this proposed rule, we are proposing to
calculate the FY 2020 rural floor without
including the wage data of hospitals that
have reclassified as rural under § 412.103.
This column reflects effects of this proposed
change to the rural floor calculation
methodology.
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3
38
2,381
25
3
2
Rural
0
2
750
0
0
0
We estimate that 166 hospitals would
receive the rural floor in FY 2020. We note
that there are approximately 87 fewer
hospitals receiving the proposed rural floor
in FY 2020 than in FY 2019. This is due, in
part, to our proposal to calculate the rural
floor for FY 2020 and subsequent fiscal years
without including the wage data of hospitals
that have reclassified as rural under
§ 412.103. This proposal would impact States
whose rural floors were heavily influenced
by the wage data of hospitals that reclassified
under § 412.103, such as Massachusetts and
Arizona. All IPPS hospitals in our model
would have their wage index reduced by the
proposed rural floor budget neutrality
adjustment of 0.996316. We project that, in
aggregate, rural hospitals would experience a
0.1 percent decrease in payments as a result
of the application of the proposed rural floor
budget neutrality because the rural hospitals
do not benefit from the rural floor, but have
their wage indexes downwardly adjusted to
ensure that the application of the rural floor
is budget neutral overall. We project that, in
the aggregate, hospitals located in urban
areas would experience no change in
payments because increases in payments to
hospitals benefitting from the rural floor
offset decreases in payments to nonrural floor
urban hospitals whose wage index is
downwardly adjusted by the rural floor
budget neutrality factor. Urban hospitals in
the New England region would experience a
0.3 percent increase in payments primarily
due to the application of the rural floor in
Massachusetts. Ten urban providers in
Massachusetts are expected to receive the
rural floor wage index value, including the
rural floor budget neutrality adjustment,
which would increase payments overall to
hospitals in Massachusetts by an estimated
$21 million. We estimate that Massachusetts
hospitals would receive approximately a 0.5
percent increase in IPPS payments due to the
application of the rural floor in FY 2020.
Urban Puerto Rico hospitals are expected
to experience a 0.2 percent increase in
payments as a result of the application of the
proposed rural floor for FY 2020.
The table below shows a comparison of the
payment impact of the rural floor (with
budget neutrality) by State based on the
proposed FY 2020 rural floor and the
payment impact of the rural floor (with
budget neutrality) by State based on the FY
2019 rural floor. Columns 1a through 4a in
the table below reflect the FY 2019 rural floor
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calculation. The FY 2019 rural floor, as
published in the October 3, 2018 Final Rule
Correction Notice (83 FR 49836), was
calculated by including the wage data of
hospitals that reclassified as rural under
§ 412.103. As indicated earlier, for FY 2020
and subsequent fiscal years, we are proposing
to calculate the rural floor without including
the wage data of hospitals that have
reclassified as rural under § 412.103.
Columns 1b through 4b in the table below
reflect this proposed FY 2020 rural floor
calculation. Columns 1a and 1b of the table
display the number of IPPS hospitals located
in each State in FY 2019 and FY 2020,
respectively. Columns 2a and 2b display the
number of hospitals in each State that
received the rural floor wage index for FY
2019 (column 2a) and those that would
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receive the rural floor wage index for FY
2020 (column 2b). Columns 3a and 3b
display the percentage change in total
payments to hospitals in each State due to
the application of the rural floor with
national budget neutrality for FY 2019
(column 3a) and FY 2020 (column 3b). To
show the percentage change in total
payments for FY 2019 and FY 2020, in
columns 3a and 3b, respectively, we
calculated total payments using the postreclassification wage index of providers prior
to the rural floor adjustment and total
payments using the post-reclassification
wage index of providers with the rural floor
adjustment for FY 2019 and FY 2020,
respectively. The differences in those
payments are reflected in columns 3a and 3b.
Columns 4a and 4b display the payment
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amount that hospitals in each State would
gain or lose due to the application of the FY
2019 rural floor with national budget
neutrality (column 4a) and the estimated
payment amount that hospitals in each State
would gain or lose due to the application of
the proposed FY 2020 rural floor with
national budget neutrality (column 4b). We
note that columns 2b, 3b, and 4b of this table
do not include the application of the
proposal to increase the wage index for
hospitals with a wage index value below the
25th percentile wage index, the associated
budget neutrality proposal to decrease the
wage index for hospitals with a wage index
value above the 75th percentile wage index,
or the proposed 5-percent cap.
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Comparison of FY 2019 and Proposed FY 2020 IPPS Estimated Payments Due to Proposed Rural Floor with National Budget Neutrality
FY 2019 Final Rule Correction Notice
FY 2020 Proposed Rule
Percent
Change in
Percent Change
Payments
in Payments
Number of
due to
due to
Hospitals
Application
Number of
Application of
That
of Rural
Hospitals
Proposed Rural
Received
Floor with
That Would
Floor with
Number of
the Rural
Budget
Difference
Number of
Receive the
Budget
Difference
(in$ millions)
Rural Floor
Neutrality
Hospitals
Floor
Neutrality (in millions)
Hospitals
(1a)
(2a)
(3a)
(4a)
(1b)
(2b)
(3b)
(4b)
State
84
2
$-5
84
1
$ -3
Alabama
-0.3
-0.2
6
3
0.1
2
6
3
Alaska
0
1.1
56
33
1.3
26
54
2
-0.2
Arizona
-3
Arkansas
45
0
46
0
-0.3
-3
-0.2
-2
Califomia
297
59
0.4
42
297
52
0.8
102
Colorado
45
9
0.7
9
49
10
0.8
12
Connecticut
30
8
21
30
0
1.3
-0.2
-4
Delaware
6
0
6
0
-0.2
-0.3
-2
-1
Washington, D.C.
7
0
7
0
-0.2
-0.3
-2
-1
Florida
168
7
168
7
-0.2
-0.3
-20
-12
Georgia
101
0
100
1
-0.2
-0.3
-8
-5
Hawaii
12
6
0
12
0
-0.1
0
-0.1
Idaho
14
0
-1
16
0
-0.3
-0.2
-1
Illinois
125
2
-0.3
-14
126
2
-0.2
-10
Indiana
85
0
85
0
-0.3
-7
-0.2
-5
Iowa
34
0
-0.3
-3
34
3
-0.2
-2
Kansas
51
0
51
0
-0.2
-0.2
-2
-2
Kentucky
64
0
-0.3
-5
64
0
-0.2
-3
Louisiana
90
0
89
0
-0.2
-0.3
-5
-3
Maine
17
0
17
0
-0.3
-2
-0.2
-1
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17:51 May 02, 2019
EP03MY19.038
Comparison of FY 2019 and Proposed FY 2020 IPPS Estimated Payments Due to Proposed Rural Floor with National Budget Neutrality
FY 2019 Final Rule Correction Notice
FY 2020 Proposed Rule
Percent
Change in
Percent Change
Payments
in Payments
Number of
due to
due to
Number of
Application of
Hospitals
Application
That
of Rural
Hospitals
Proposed Rural
Received
Floor with
That Would
Floor with
Number of
Number of
Receive the
Difference
Budget
the Rural
Budget
Difference
(in$ millions)
Hospitals
Floor
Neutrality (in millions)
Hospitals
Rural Floor
Neutrality
(1a)
(2a)
(3a)
(4a)
(1b)
(2b)
(3b)
(4b)
State
56
29
3.3
123
55
10
0.5
21
Massachusetts
Michigan
94
0
94
0
-0.2
-0.3
-14
-8
Minnesota
49
0
-0.2
48
0
-0.1
-6
-4
Mississippi
59
0
59
0
-0.3
-3
-0.2
-2
0
Missouri
72
-0.2
72
0
-0.1
-6
-2
Montana
13
1
13
1
-0.2
-1
-0.2
-1
Nebraska
23
0
23
0
-0.2
-0.3
-2
-1
22
3
0.4
3
22
2
0.6
6
Nevada
New Hampshire
13
8
2.4
14
13
8
1
6
New Jersey
64
0
64
0
-0.4
-0.2
-16
-9
New Mexico
24
2
24
0
-0.2
-1
-0.1
-1
-13
New York
149
16
146
14
-0.3
-21
-0.2
North Carolina
84
0
83
0
-0.3
-9
-0.2
-6
North Dakota
6
3
0.4
1
6
3
0.6
2
Ohio
130
7
-11
129
6
-0.3
-0.2
-7
Oklahoma
79
2
-0.3
79
1
0
0
-4
Oregon
34
1
34
1
-0.2
-2
-0.1
-1
Pennsylvania
150
150
3
-0.3
-17
I
-0.2
-10
Puerto Rico
51
11
0.1
0
50
8
0.2
0
0
Rhode Island
11
-0.4
11
0
-0.2
-1
-1
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f. Effects of the Application of the Proposed
Frontier State Wage Index and Proposed OutMigration Adjustment (Column 6)
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hospitals located in certain counties that
have a relatively high percentage of hospital
employees who reside in the county, but
work in a different area with a higher wage
index. These two wage index provisions are
not budget neutral and would increase
E:\FR\FM\03MYP2.SGM
Affordable Care Act, which requires that we
establish a minimum post-reclassified wage
index of 1.00 for all hospitals located in
‘‘frontier States,’’ and the effects of section
1886(d)(13) of the Act, as added by section
505 of Public Law 108–173, which provides
for an increase in the wage index for
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the application of section 10324(a) of the
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Comparison of FY 2019 and Proposed FY 2020 IPPS Estimated Payments Due to Proposed Rural Floor with National Budget Neutrality
FY 2019 Final Rule Correction Notice
FY 2020 Proposed Rule
Percent
Change in
Percent Change
Payments
in Payments
Number of
due to
due to
Hospitals
Application
Number of
Application of
That
of Rural
Hospitals
Proposed Rural
Received
Floor with
That Would
Floor with
Number of
the Rural
Budget
Difference
Number of
Receive the
Budget
Difference
(in$ millions)
Rural Floor
Neutrality
Hospitals
Floor
Neutrality (in millions)
Hospitals
(1a)
(2a)
(3a)
(4a)
(1b)
(2b)
(3b)
(4b)
State
-3
-0.1
54
6
-0.1
-1
54
5
South Carolina
-1
South Dakota
17
0
-0.2
16
0
-0.1
0
-7
-0.3
-0.2
-4
Tennessee
90
6
90
6
-18
-12
Texas
310
13
-0.3
303
9
-0.2
-2
-1
-0.3
-0.2
31
0
31
0
Utah
Vermont
6
0
-0.2
0
6
0
-0.1
0
Virginia
74
-0.2
-6
-0.1
-2
1
72
5
-7
-4
Washington
48
3
-0.3
49
3
-0.2
West Virginia
29
-0.2
-1
29
-0.1
-1
2
2
-5
-3
Wisconsin
66
5
-0.3
66
0
-0.2
Wyoming
10
2
0
0
10
0
0
0
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Federal Register / Vol. 84, No. 86 / Friday, May 3, 2019 / Proposed Rules
payments overall by 0.1 percent compared to
the provisions not being in effect.
The term ‘‘frontier States’’ is defined in the
statute as States in which at least 50 percent
of counties have a population density less
than 6 persons per square mile. Based on
these criteria, 5 States (Montana, Nevada,
North Dakota, South Dakota, and Wyoming)
are considered frontier States and 45
hospitals located in those States would
receive a frontier wage index of 1.0000.
Overall, this provision is not budget neutral
and is estimated to increase IPPS operating
payments by approximately $63 million.
Urban hospitals located in the West North
Central region would experience an increase
in payments by 0.6 percent, because many of
the hospitals located in this region are
frontier State hospitals.
In addition, section 1886(d)(13) of the Act,
as added by section 505 of Public Law 108–
173, provides for an increase in the wage
index for hospitals located in certain
counties that have a relatively high
percentage of hospital employees who reside
in the county, but work in a different area
with a higher wage index. Hospitals located
in counties that qualify for the payment
adjustment will receive an increase in the
wage index that is equal to a weighted
average of the difference between the wage
index of the resident county, postreclassification and the higher wage index
work area(s), weighted by the overall
percentage of workers who are employed in
an area with a higher wage index. There are
an estimated 171 providers that would
receive the out-migration wage adjustment in
FY 2020. Rural hospitals generally would
qualify for the adjustment, resulting in a 0.1
percent increase in payments. This provision
appears to benefit section 401 hospitals and
RRCs in that they would each experience a
0.2 percent increase in payments. This outmigration wage adjustment also is not budget
neutral, and we estimate the impact of these
providers receiving the out-migration
increase would be approximately $40
million.
g. Effects of Application of the Proposed
Lowest Quartile and Highest Quartile Wage
Index Policies and Proposed 5-Percent
Transition
Column 7 shows the effects of the
proposed wage index adjustment for
hospitals with a wage index value below the
25th percentile wage index value, the
associated budget neutrality proposal to
decrease the wage index for hospitals with a
wage index value above the 75th percentile
wage index, and the proposed transition
policy placing a 5-percent cap for FY 2020
on any decrease in a hospital’s wage index
from its final FY 2019 wage index. As
discussed in section III.N. of the preamble to
this proposed rule, we are proposing that
hospitals with a wage index value below the
25th percentile wage index value would
receive an increase to their wage index value
of half the difference between the otherwise
applicable final wage index value for a year
for that hospital and the 25th percentile wage
index value for that year across all hospitals.
We also are proposing to decrease the wage
index for hospitals with a wage index value
above the 75th percentile in order to ensure
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our proposed increase to the wage index for
hospitals with a wage index value below the
25th percentile is budget neutral. In addition,
for FY 2020, we are proposing to apply a 5percent cap on any decrease in a hospital’s
wage index from the hospital’s final wage
index in FY 2019 (which would include any
decrease resulting from our proposal to not
include urban to rural reclassifications in the
rural floor calculation).
We are proposing that the overall effect of
the application of the proposed wage index
adjustment for hospitals with a wage index
value below the 25th percentile would be
budget neutral. In order to ensure that the
overall effect of the application of the
proposed wage index adjustment for
hospitals with a wage index value below the
25th percentile is budget neutral, we are
proposing to reduce the wage index of
hospitals with wage index values above the
75th percentile by a constant factor of the
difference between the hospital’s otherwise
applicable wage index and the 75th
percentile (as described in section III.N.3.b.
of this proposed rule). In addition, we are
proposing to implement the proposed 5percent cap on any decrease in a hospital’s
wage index in a budget neutral manner under
the authority at section 1886(d)(5)(I) of the
Act. Therefore, for purposes of this impact
analysis, we are proposing to apply a budget
neutrality adjustment factor of 0.998349 to
the FY 2020 standardized amount to
implement the proposed 5-percent cap in a
budget neutral manner.
To show the effects of the proposed lowest
and highest quartile wage index adjustments
and the proposed 5-percent cap, column 7
compares payments calculated with the FY
2020 proposed wage index prior to the
application of: (a) The proposed adjustment
for hospitals with a wage index value below
the 25th percentile; (b) the proposed
adjustment for hospitals with a wage index
value above the 75th percentile; and (c) the
proposed 5-percent cap on any decrease in a
hospital’s wage index to payments calculated
using the FY 2020 proposed wage index with
the above mentioned adjustments applied
(that is, the proposed lowest quartile wage
index adjustment, the proposed highest
quartile wage index adjustment, and the
proposed 5-percent cap). The combined
effect of these three proposals generally
benefits hospitals in rural areas. For example,
we estimate that the proposed adjustments
for hospitals with a wage index value below
the 25th percentile wage index and above the
75th percentile wage index and the proposed
5-percent cap on any decrease in a hospital’s
wage index would increase payments to rural
hospitals by an average of 0.4 percent. By
region, rural South Atlantic and West South
Central hospital categories would experience
increases in payments by 0.7 and 0.8 percent,
respectively. Puerto Rico providers would
experience a 12.7 percent increase in
payments due to the application of the
proposed lowest quartile wage index
adjustment because they generally have the
lowest wage index values.
h. Effects of All FY 2020 Proposed Changes
(Column 8)
Column 8 shows our estimate of the
proposed changes in payments per discharge
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from FY 2019 and FY 2020, resulting from all
proposed changes reflected in this proposed
rule for FY 2020. It includes combined effects
of the year-to-year change of the previous
columns in the table.
The proposed average increase in
payments under the IPPS for all hospitals is
approximately 3.5 percent for FY 2020
relative to FY 2019 and for this row is
primarily driven by the proposed changes
reflected in Column 1. Column 8 includes the
proposed annual hospital update of 2.7
percent to the national standardized amount.
This proposed annual hospital update
includes the proposed 3.2 percent market
basket update and the proposed 0.5
percentage point reduction for the
multifactor productivity adjustment. As
discussed in section II.D. of the preamble of
this proposed rule, this column also includes
the +0.5 percentage point adjustment
required under section 414 of the MACRA.
Hospitals paid under the hospital-specific
rate would receive a 2.7 percent hospital
update. As described in Column 1, the
proposed annual hospital update with the
proposed +0.5 percent adjustment for
hospitals paid under the national
standardized amount, combined with the
proposed annual hospital update for
hospitals paid under the hospital-specific
rates, would result in a 3.5 percent increase
in payments in FY 2020 relative to FY 2019.
This estimated increase also reflects an
estimated increase in outlier payments of 0.5
percent (from our current estimate of FY
2019 outlier payments of approximately 4.6
percent to 5.1 percent projected for FY 2020
based on the FY 2018 MedPAR data used for
this proposed rule calculated for purposes of
this impact analysis). There are also
interactive effects among the various factors
comprising the payment system that we are
not able to isolate, which contribute to our
estimate of the proposed changes in
payments per discharge from FY 2019 and
FY 2020 in Column 8.
Overall payments to hospitals paid under
the IPPS due to the proposed applicable
percentage increase and proposed changes to
policies related to MS–DRGs, geographic
adjustments, and outliers are estimated to
increase by 3.5 percent for FY 2020.
Hospitals in urban areas would experience a
3.5 percent increase in payments per
discharge in FY 2020 compared to FY 2019.
Hospital payments per discharge in rural
areas are estimated to increase by 3.6 percent
in FY 2020.
3. Impact Analysis of Table II
Table II below presents the projected
impact of the proposed changes for FY 2020
for urban and rural hospitals and for the
different categories of hospitals shown in
Table I. It compares the estimated average
payments per discharge for FY 2019 with the
estimated proposed average payments per
discharge for FY 2020, as calculated under
our models. Therefore, this table presents, in
terms of the average dollar amounts paid per
discharge, the combined effects of the
proposed changes presented in Table I. The
estimated percentage changes shown in the
last column of Table II equal the estimated
percentage changes in average payments per
discharge from Column 8 of Table I.
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TABLE II—IMPACT ANALYSIS OF PROPOSED CHANGES FOR FY 2020 ACUTE CARE HOSPITAL OPERATING PROSPECTIVE
PAYMENT SYSTEM
amozie on DSK9F9SC42PROD with PROPOSALS2
[Payments per discharge]
Number of
hospitals
Estimated
average
FY 2019
payment per
discharge
Estimated
proposed
average
FY 2020
payment
per discharge
Proposed
FY 2020
changes
(1)
(2)
(3)
(4)
All Hospitals .............................................................................
By Geographic Location:
Urban hospitals .................................................................
Large urban areas ............................................................
Other urban areas ............................................................
Rural hospitals ..................................................................
Bed Size (Urban):
0–99 beds .........................................................................
100–199 beds ...................................................................
200–299 beds ...................................................................
300–499 beds ...................................................................
500 or more beds .............................................................
Bed Size (Rural):
0–49 beds .........................................................................
50–99 beds .......................................................................
100–149 beds ...................................................................
150–199 beds ...................................................................
200 or more beds .............................................................
Urban by Region:
New England ....................................................................
Middle Atlantic ..................................................................
South Atlantic ...................................................................
East North Central ............................................................
East South Central ...........................................................
West North Central ...........................................................
West South Central ..........................................................
Mountain ...........................................................................
Pacific ...............................................................................
Puerto Rico .......................................................................
Rural by Region:
New England ....................................................................
Middle Atlantic ..................................................................
South Atlantic ...................................................................
East North Central ............................................................
East South Central ...........................................................
West North Central ...........................................................
West South Central ..........................................................
Mountain ...........................................................................
Pacific ...............................................................................
By Payment Classification:
Urban hospitals .................................................................
Large urban areas ............................................................
Other urban areas ............................................................
Rural areas .......................................................................
Teaching Status:
Nonteaching ......................................................................
Fewer than 100 residents .................................................
100 or more residents ......................................................
Urban DSH:
Non-DSH ..........................................................................
100 or more beds .............................................................
Less than 100 beds ..........................................................
Rural DSH:
SCH ..................................................................................
RRC ..................................................................................
100 or more beds .............................................................
Less than 100 beds ..........................................................
Urban teaching and DSH:
Both teaching and DSH ....................................................
Teaching and no DSH ......................................................
No teaching and DSH ......................................................
No teaching and no DSH .................................................
Special Hospital Types:
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3,242
12,722
13,169
3.5
2,476
1,268
1,208
766
13,083
13,512
12,695
9,507
13,542
13,965
13,161
9,850
3.5
3.4
3.7
3.6
643
759
431
424
219
10,365
10,799
11,908
13,186
16,176
10,742
11,166
12,312
13,657
16,753
3.6
3.4
3.4
3.6
3.6
302
272
108
45
39
8,138
9,070
9,396
10,063
10,995
8,538
9,397
9,747
10,390
11,322
4.9
3.6
3.7
3.2
3
112
307
399
386
147
157
375
169
374
50
14,419
14,637
11,666
12,317
10,956
12,618
12,087
13,474
16,369
10,011
14,659
15,087
12,077
12,756
11,448
13,145
12,511
13,882
17,036
11,372
1.7
3.1
3.5
3.6
4.5
4.2
3.5
3
4.1
13.6
20
53
120
114
150
93
142
50
24
13,020
9,462
8,832
9,728
8,378
10,140
8,346
11,616
13,038
13,315
9,752
9,146
10,054
8,742
10,479
8,718
12,004
13,511
2.3
3.1
3.6
3.4
4.3
3.3
4.5
3.3
3.6
2,188
1,283
905
1,054
12,808
13,500
11,827
12,489
13,259
13,953
12,276
12,927
3.5
3.4
3.8
3.5
2,127
865
250
10,470
12,053
18,611
10,844
12,476
19,257
3.6
3.5
3.5
538
1,393
352
10,979
13,225
9,704
11,389
13,687
10,035
3.7
3.5
3.4
256
442
31
230
10,588
13,267
10,829
7,737
10,908
13,735
11,142
8,133
3
3.5
2.9
5.1
776
84
969
359
14,386
12,239
10,835
10,155
14,889
12,692
11,213
10,550
3.5
3.7
3.5
3.9
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TABLE II—IMPACT ANALYSIS OF PROPOSED CHANGES FOR FY 2020 ACUTE CARE HOSPITAL OPERATING PROSPECTIVE
PAYMENT SYSTEM—Continued
[Payments per discharge]
Number of
hospitals
Estimated
average
FY 2019
payment per
discharge
Estimated
proposed
average
FY 2020
payment
per discharge
Proposed
FY 2020
changes
(1)
(2)
(3)
(4)
RRC ..................................................................................
SCH ..................................................................................
MDH ..................................................................................
SCH and RRC ..................................................................
MDH and RRC .................................................................
Type of Ownership:
Voluntary ...........................................................................
Proprietary ........................................................................
Government ......................................................................
Medicare Utilization as a Percent of Inpatient Days:
0–25 ..................................................................................
25–50 ................................................................................
50–65 ................................................................................
Over 65 .............................................................................
FY 2020 Reclassifications by the Medicare Geographic Classification Review Board:
All Reclassified Hospitals .................................................
Non-Reclassified Hospitals ...............................................
Urban Hospitals Reclassified ...........................................
Urban Non-reclassified Hospitals .....................................
Rural Hospitals Reclassified Full Year .............................
Rural Non-reclassified Hospitals Full Year ......................
All Section 401 Reclassified Hospitals: ............................
Other Reclassified Hospitals (Section 1886(d)(8)(B)) ......
amozie on DSK9F9SC42PROD with PROPOSALS2
H. Effects of Other Proposed Policy Changes
In addition to those proposed policy
changes discussed previously that we are
able to model using our IPPS payment
simulation model, we are proposing to make
various other changes in this proposed rule.
As noted in section I.G. of this regulatory
impact analysis, our payment simulation
model uses the most recent available claims
data to estimate the impacts on payments per
case of certain proposed changes in this
proposed rule. Generally, we have limited or
no specific data available with which to
estimate the impacts of these proposed
changes using that payment simulation
model. For those proposed changes, we have
attempted to predict the payment impacts
based upon our experience and other more
limited data. Our estimates of the likely
impacts associated with these other proposed
changes are discussed in this section.
1. Effects of Proposed Policies Relating to
New Medical Service and Technology AddOn Payments
a. Proposed FY 2020 Status of Technologies
Approved for FY 2019 New Technology AddOn Payments
In section II.H. of the preamble to this
proposed rule, we discuss 17 technologies for
which we received applications for add-on
payments for new medical services and
technologies for FY 2020, as well as the
status of the new technologies that were
approved to receive new technology add-on
payments in FY 2019. We note that one
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380
305
149
143
17
13,332
11,467
8,369
11,736
10,287
13,821
11,819
8,702
12,080
10,553
3.7
3.1
4
2.9
2.6
1,893
852
496
12,819
11,212
14,213
13,266
11,618
14,720
3.5
3.6
3.6
596
2,122
414
73
15,799
12,520
10,126
7,473
16,342
12,966
10,455
8,010
3.4
3.6
3.2
7.2
957
2,285
679
1,753
278
441
335
47
12,966
12,583
13,560
12,808
9,767
9,158
14,090
9,292
13,401
13,038
14,013
13,271
10,100
9,519
14,579
9,606
3.4
3.6
3.3
3.6
3.4
4
3.5
3.4
applicant withdrew its application prior to
the issuance of this proposed rule. As
explained in the preamble to this proposed
rule, add-on payments for new medical
services and technologies under section
1886(d)(5)(K) of the Act are not required to
be budget neutral. As discussed in section
II.H.5. of the preamble of this proposed rule,
we have not yet determined whether any of
the 17 technologies discussed in that section
will meet the specified criteria for new
technology add-on payments for FY 2020.
Consequently, it is premature to estimate the
potential payment impact of these 17
technologies for any potential new
technology add-on payments for FY 2020. We
note that if any of the 17 technologies are
found to be eligible for new technology addon payments for FY 2020, in the FY 2020
IPPS/LTCH PPS final rule, we would discuss
the estimated payment impact for FY 2020.
In section II.H.4. of the preamble of this
proposed rule, we are proposing to
discontinue new technology add-on
payments for Defitelio® (Defibrotide),
Ustekinumab (Stelara®) and Bezlotoxumab
(ZinplavaTM) for FY 2020 because these
technologies will have been on the U.S.
market for 3 years. We also are proposing to
continue to make new technology add-on
payments for AndexXaTM, the AQUABEAM
System (Aquablation), GIAPREZATM,
KYMRIAH® and YESCARTA®, the remede¯®
System, the Sentinel® Cerebral Protection
System, VABOMERETM, VYXEOSTM, and
ZEMDRITM in FY 2020 because these
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technologies would still be considered new
for purposes of new technology add-on
payments. Under our proposed change to the
calculation of the new technology add-on
payments, the new technology add-on
payment for each case would be limited to
the lesser of: (1) 65 Percent of the costs of the
new technology; or (2) 65 percent of the
amount by which the costs of the case exceed
the standard MS–DRG payment for the case.
Because it is difficult to predict the actual
new technology add-on payment for each
case, our estimates below are based on the
increase in new technology add-on payments
for FY 2020 as if every claim that would
qualify for a new technology add-on payment
would receive the maximum add-on
payment. The following are estimates for FY
2020 for the 9 technologies for which we are
proposing to continue to make new
technology add-on payments in FY 2020:
• Based on the applicant’s estimate from
FY 2019, we currently estimate that new
technology add-on payments for AndexXaTM
would increase overall FY 2020 payments by
$98,755,313 (maximum add-on payment of
$18,281.25 * 5,402 patients).
• Based on the applicant’s estimate from
FY 2019, we currently estimate that new
technology add-on payments for the
AQUABEAM System (Aquablation) would
increase overall FY 2020 payments by
$677,625 (maximum add-on payment of
$1,625 * 417 patients).
• Based on the applicant’s estimate for FY
2019, we currently estimate that new
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technology add-on payments for
GIAPREZATM would increase overall FY
2020 payments by $11,173,500 (maximum
add-on payment of $1,950 * 5,730 patients).
• Based on both applicants’ estimates of
the average cost for an administered dose for
FY 2019, we currently estimate that new
technology add-on payments for KYMRIAH®
and YESCARTA® would increase overall FY
2020 payments by $93,585,700 (maximum
add-on payment of $242,450 * 386 patients).
• Based on the applicant’s estimate for FY
2019, we currently estimate that new
technology add-on payments for Sentinel®
Cerebral Protection System would increase
overall FY 2020 payments by $11,830,000
(maximum add-on payment of $1,820 * 6,500
patients).
• Based on the applicant’s estimate for FY
2019, we currently estimate that new
technology add-on payments for the remede¯®
System would increase overall FY 2020
payments by $1,794,000 (maximum add-on
payment of $22,425 * 80 patients).
• Based on the applicant’s estimate for FY
2019, we currently estimate that new
technology add-on payments for
VABOMERETM would increase overall FY
2020 payments by $19,084,666 (maximum
add-on payment of $7,207.20 * 2,648
patients).
• Based on the applicant’s estimate for FY
2019, we currently estimate that new
technology add-on payments for VYXEOSTM
would increase overall FY 2020 payments by
$45,458,400 (maximum add-on payment of
$47,352.50 * 960 patients).
• Based on the applicant’s estimate for FY
2019, we currently estimate that new
technology add-on payments for ZEMDRITM
would increase overall FY 2020 payments by
$8,848,125 (maximum add-on payment of
$3,539.25 * 2,500 patients).
b. Proposed Alternative Inpatient New
Technology Add-On Payment Pathway for
Transformative New Devices
In section II.H.8. of the preamble of this
proposed rule, we discuss our proposed
alternative inpatient new technology add-on
payment pathway for certain new
technologies. Specifically, we are proposing
that, for applications received for IPPS new
technology add-on payments for FY 2021 and
subsequent fiscal years, if a medical device
is part of the FDA’s Breakthrough Devices
Program and received FDA market
authorization, such a device would be
considered new and not substantially similar
to an existing technology for purposes of new
technology add-on payment under the IPPS.
We also are proposing that the medical
device would not need to meet the
requirement under § 412.87(b)(1) that it
represent an advance that substantially
improves, relative to technologies previously
available, the diagnosis or treatment of
Medicare beneficiaries.
Given the relatively recent introduction of
the Breakthrough Devices Program, there
have not been any medical devices that were
part of the Breakthrough Devices Program
and received FDA market authorization, and
that applied for a new technology add-on
payment under the IPPS and were not
approved. If all of the future new
transformative medical devices that would
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have applied for new technology add-on
payments would have been approved under
the existing criteria, this proposal has no
impact. To the extent that there are future
medical devices that are the subject of
applications for new technology add-on
payments, and those applications would
have been denied under the current new
technology add-on payment criteria, this
proposal is a cost, but that cost is not
estimable. We also note that as this proposal,
if finalized, would be effective beginning
with new technology add-on payment
applications for FY 2021, there would be no
impact of this proposal in FY 2020.
c. Proposed Changes to the Calculation of the
Inpatient New Technology Add-On Payment
In section II.H.9. of the preamble of this
proposed rule, we discuss our proposal to
modify the current new technology add-on
payment mechanism to increase the amount
of the maximum add-on payment amount to
65 percent. Specifically, we are proposing
that if the costs of a discharge (determined
by applying CCRs as described in § 412.84(h))
exceed the full DRG payment (including
payments for IME and DSH, but excluding
outlier payments), Medicare would make an
add-on payment equal to the lesser of: (1) 65
percent of the costs of the new medical
service or technology; or (2) 65 percent of the
amount by which the costs of the case exceed
the standard DRG payment. Unless the
discharge qualifies for an outlier payment,
the additional Medicare payment would be
limited to the full MS–DRG payment plus 65
percent of the estimated costs of the new
technology or medical service.
As discussed above, it is premature to
estimate the potential payment impact for
any potential new technology add-on
payments for FY 2020 of the 17 technologies
discussed in section II.H.5. of the preamble
of this proposed rule because we have not yet
determined whether any of these
technologies will meet the specified criteria
for new technology add-on payments for FY
2020. However, for purposes of estimating
the impact of our proposed changes to the
calculation of the inpatient new technology
add-on payment, we are including the
estimated increase in FY 2020 new
technology add-on payments if we determine
that all 17 of the technologies discussed in
that section meet the specified criteria for
new technology add-on payments for FY
2020. We estimate that if we finalize our
proposals for the 9 technologies for which we
are proposing to continue to make new
technology add-on payments in FY 2020 and
if we determine that all 17 of the FY 2020
new technology add-on payment applications
meet the specified criteria for new
technology add-on payments for FY 2020,
proposed changes to the calculation of the
inpatient new technology add-on payment, if
finalized, would increase IPPS spending by
approximately $110 million in FY 2020.
2. Effects of Proposed Changes to MS–DRGs
Subject to the Postacute Care Transfer Policy
and the MS–DRG Special Payment Policy
In section IV.A. of the preamble of this
proposed rule, we discuss our proposed
changes to the list of MS–DRGs subject to the
postacute care transfer policy and the MS–
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DRG special payment policy for FY 2020. As
reflected in Table 5 listed in section VI. of
the Addendum to this proposed rule (which
is available via the internet on the CMS
website), using criteria set forth in
regulations at 42 CFR 412.4, we evaluated
MS–DRG charge, discharge, and transfer data
to determine which proposed new or revised
MS–DRGs would qualify for the postacute
care transfer and MS–DRG special payment
policies. As a result of our proposals to revise
the MS–DRG classifications for FY 2020,
which are discussed in section II.F. of the
preamble of this proposed rule, we are
proposing to remove two MS–DRGs from the
list of MS–DRGs that would be subject to the
postacute care transfer policy and the MS–
DRG special payment policy. Column 2 of
Table I in this Appendix A shows the effects
of the proposed changes to the MS–DRGs and
the proposed relative payment weights and
the application of the proposed recalibration
budget neutrality factor to the standardized
amounts. Section 1886(d)(4)(C)(i) of the Act
requires us annually to make appropriate
DRG classification changes in order to reflect
changes in treatment patterns, technology,
and any other factors that may change the
relative use of hospital resources. The
analysis and methods for determining the
changes due to the MS–DRGs and relative
payment weights account for and include
changes as a result of the proposed changes
to the MS–DRGs subject to the MS–DRG
postacute care transfer and MS–DRG special
payment policies. We refer readers to section
I.G. of this Appendix A for a detailed
discussion of payment impacts due to the
proposed MS–DRG reclassification policies
for FY 2020.
3. Effects of Low-Volume Hospital Payment
Adjustment Policy
In section IV.D. of the preamble of this
proposed rule, we discuss the low-volume
hospital payment policy for FY 2020.
Specifically, to qualify for the low-volume
hospital payment adjustment, a hospital must
be located more than 15 road miles from
another subsection (d) hospital and have less
than 3,800 total discharges during the fiscal
year based on the hospital’s most recently
submitted cost report. The low-volume
hospital payment adjustment is a perdischarge payment adjustment calculated as
follows:
• 25 percent for low-volume hospitals with
500 or fewer total discharges;
• (95/330)¥(number of total discharges/
13,200) for low-volume hospitals with fewer
than 3,800 discharges but more than 500
discharges.
Based upon the best available data at this
time, we estimate payments made under the
low-volume hospital payment adjustment
policy would increase Medicare payments by
$25 million in FY 2020 as compared to FY
2019. More specifically, in FY 2020, we
estimate that 588 providers would receive
approximately $439 million compared to our
estimate of 588 providers receiving
approximately $414 million in FY 2019.
These payment estimates were determined by
identifying providers that, based on the best
available data, qualify in FY 2019 (that is, are
located at least 15 miles from the nearest
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subsection (d) hospital and have less than
3,800 total discharges).
4. Effects of the Proposed Changes to
Medicare DSH and Uncompensated Care
Payments for FY 2020
As discussed in section IV.F. of the
preamble of this proposed rule, under section
3133 of the Affordable Care Act, hospitals
that are eligible to receive Medicare DSH
payments will receive 25 percent of the
amount they previously would have received
under the statutory formula for Medicare
DSH payments under section 1886(d)(5)(F) of
the Act. The remainder, equal to an estimate
of 75 percent of what formerly would have
been paid as Medicare DSH payments (Factor
1), reduced to reflect changes in the
percentage of uninsured individuals and any
additional statutory adjustment (Factor 2), is
available to make additional payments to
each hospital that qualifies for Medicare DSH
payments and that has uncompensated care.
Each hospital eligible for Medicare DSH
payments will receive an additional payment
based on its estimated share of the total
amount of uncompensated care for all
hospitals eligible for Medicare DSH
payments. The uncompensated care payment
methodology has redistributive effects based
on the proportion of a hospital’s amount of
uncompensated care relative to the aggregate
amount of uncompensated care of all
hospitals eligible for Medicare DSH
payments (Factor 3). The change to Medicare
DSH payments under section 3133 of the
Affordable Care Act is not budget neutral.
In this proposed rule, we are proposing to
establish the amount to be distributed as
uncompensated care payments to DSH
eligible hospitals, which for FY 2020 is
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$8,488,517,726.22. This figure represents 75
percent of the amount that otherwise would
have been paid for Medicare DSH payment
adjustments adjusted by a proposed Factor 2
of 67.14 percent. For FY 2019, the amount
available to be distributed for
uncompensated care was $8,272,872,447.22,
or 75 percent of the amount that otherwise
would have been paid for Medicare DSH
payment adjustments adjusted by a Factor 2
of 67.51 percent. To calculate Factor 3 for FY
2020, we are proposing to use hospitals’ FY
2015 cost reports from the HCRIS database,
as updated through February 15, 2019,
Medicaid days from hospitals’ FY 2013 cost
reports from the same extract of HCRIS, and
SSI days from the FY 2017 SSI ratios. For
each eligible hospital, with the exception of
Puerto Rico hospitals and Indian Health
Service and Tribal hospitals, we calculated a
Factor 3 using information on
uncompensated care costs from cost reports
for FY 2015. To calculate Factor 3 for Puerto
Rico hospitals and Indian Health Service and
Tribal hospitals, we used data regarding lowincome insured days for FY 2013. For a
complete discussion of the proposed
methodology for calculating Factor 3, we
refer readers to section IV.F.4. of the
preamble of this proposed rule.
To estimate the impact of the combined
effect of proposed changes in Factors 1 and
2, as well as the changes to the data used in
determining Factor 3, on the calculation of
Medicare uncompensated care payments, we
compared total uncompensated care
payments estimated in the FY 2019 IPPS/
LTCH PPS final rule to total uncompensated
care payments estimated in this FY 2020
IPPS/LTCH PPS proposed rule. For FY 2019,
we calculated 75 percent of the estimated
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amount that would be paid as Medicare DSH
payments absent section 3133 of the
Affordable Care Act, adjusted by a Factor 2
of 67.51 percent and multiplied by a Factor
3 calculated using the methodology
described in the FY 2019 IPPS/LTCH PPS
final rule. For FY 2020, we calculated 75
percent of the estimated amount that would
be paid as Medicare DSH payments absent
section 3133 of the Affordable Care Act,
adjusted by a proposed Factor 2 of 67.14
percent and multiplied by a Factor 3
calculated using the proposed methodology
described previously.
Our analysis included 2,430 hospitals that
are projected to be eligible for DSH in FY
2020. It did not include hospitals that
terminated their participation from the
Medicare program as of January 1, 2019,
Maryland hospitals, new hospitals, MDHs,
and SCHs that are expected to be paid based
on their hospital-specific rates. The 29
hospitals participating in the Rural
Community Hospital Demonstration Program
were excluded from this analysis, as
participating hospitals are not eligible to
receive empirically justified Medicare DSH
payments and uncompensated care
payments. In addition, the data from merged
or acquired hospitals were combined under
the surviving hospital’s CMS certification
number (CCN), and the nonsurviving CCN
was excluded from the analysis. The
estimated impact of the proposed changes in
Factors 1, 2, and 3 on uncompensated care
payments across all hospitals projected to be
eligible for DSH payments in FY 2020, by
hospital characteristic, is presented in the
following table.
BILLING CODE 4120–01–P
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Modeled Uncompensated Care Payments for Estimated FY 2020 DSHs by Hospital Type:
Model Uncompensated Care Payments($ in Millions)*- from FY 2019 to FY 2020
FY 2020
Proposed
Rule
Estimated
Uncompensated Care
Payments
($in
millions)
Dollar
Difference:
FY 2019FY 2020
($in
millions)
Percent
Change**
(3)
(4)
(5)
Number of
Estimated
DSHs
(1)
FY 2019
Final Rule
Estimated
Uncompensated Care
Payments
($in
millions)
(2)
Total
By Geographic
Location
2,430
$8,273
$8,489
$216
2.61
Urban Hospitals
Large Urban Areas
Other Urban Areas
Rural Hospitals
1,929
976
953
501
$7,806
$4,365
$3,440
$467
$7,914
$4,650
$3,265
$574
$109
$284
-$176
$107
1.39
6.51
-5.11
22.90
340
842
747
$258
$1,892
$5,656
$325
$2,027
$5,563
$67
$135
-$93
25.79
7.15
-1.65
371
117
13
$229
$195
$43
$300
$225
$49
$71
$30
$6
31.08
15.35
13.52
90
242
309
321
132
102
245
125
321
42
$279
$1,058
$1,769
$1,010
$477
$386
$1,423
$401
$899
$102
$260
$1,107
$1,898
$862
$478
$386
$1,744
$380
$688
$111
-$19
$49
$130
-$148
$1
-$1
$320
-$21
-$211
$9
-6.92
4.64
7.33
-14.64
0.14
-0.17
22.52
-5.31
-23.45
8.57
Bed Size (Urban)
0 to 99 Beds
100 to 249 Beds
250+ Beds
Bed Size (Rural)
0 to 99 Beds
100 to 249 Beds
250+ Beds
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Urban by Region
New England
Middle Atlantic
South Atlantic
East North Central
East South Central
West North Central
West South Central
Mountain
Pacific
Puerto Rico
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Modeled Uncompensated Care Payments for Estimated FY 2020 DSHs by Hospital Type:
Model Uncompensated Care Payments($ in Millions)*- from FY 2019 to FY 2020
Number of
Estimated
DSHs
(1)
FY 2019
Final Rule
Estimated
Uncompensated Care
Payments
($in
millions)
(2)
FY 2020
Proposed
Rule
Estimated
Uncompensated Care
Payments
($in
millions)
(3)
Dollar
Difference:
FY 2019FY 2020
($in
millions)
(4)
Percent
Change**
(5)
9
24
90
70
132
35
109
25
7
$17
$22
$116
$56
$106
$22
$102
$22
$5
$16
$22
$151
$63
$116
$39
$135
$25
$7
-$1
0
$35
$7
$10
$17
$33
$3
$2
-4.89
0.64
30.44
12.41
9.55
75.84
32.81
11.95
50.40
1,694
987
707
736
$6,564
$4,377
$2,187
$1,709
$6,780
$4,659
$2,122
$1,708
$216
$282
-$66
0
3.29
6.44
-3.01
-0.01
1,468
$2,514
$2,700
$185
7.37
716
246
$2,812
$2,946
$2,770
$3,019
-$43
$73
-1.52
2.48
1,448
600
382
$4,898
$1,270
$2,105
$4,648
$1,310
$2,531
-$250
$40
$426
-5.11
3.12
20.26
505
1,661
227
$2,956
$5,086
$223
$3,165
$5,052
$261
$209
-$34
$38
7.07
-0.67
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By Payment
Classification
Urban Hospitals
Large Urban Areas
Other Urban Areas
Rural Hospitals
Teaching Status
Nonteaching
Fewer than 100
residents
100 or more residents
Type of Ownership
Voluntary
Proprietary
Government
Medicare Utilization
Percent***
0 to 25
25 to 50
50 to 65
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Rural by Region
New England
Middle Atlantic
South Atlantic
East North Central
East South Central
West North Central
West South Central
Mountain
Pacific
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BILLING CODE 4120–01–C
Proposed changes in projected FY 2020
uncompensated care payments from
payments in FY 2019 are driven by a
proposed increase in Factor 1 and a proposed
decrease in Factor 2, as well as by a decrease
in the number of hospitals projected to be
eligible to receive DSH in FY 2020 relative
to FY 2019. Proposed Factor 1 has increased
from $12.254 billion to $12.643 billion, and
the proposed percent change in the percent
of individuals who are uninsured (Factor 2)
has decreased from 67.51 percent to 67.14
percent. Based on the proposed changes in
these two factors, the impact analysis found
that, across all projected DSH eligible
hospitals, proposed FY 2020 uncompensated
care payments are estimated at
approximately $8.489 billion, or a proposed
increase of approximately 2.61 percent from
FY 2019 uncompensated care payments
(approximately $8.273 billion). While these
proposed changes would result in a net
increase in the amount available to be
distributed in uncompensated care payments,
the projected payment increases vary by
hospital type. This redistribution of
uncompensated care payments is caused by
proposed changes in Factor 3. As seen in the
above table, percent increases smaller than
2.61 percent indicate that hospitals within
the specified category are projected to
experience a smaller increase in
uncompensated care payments, on average,
compared to the universe of projected FY
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2020 DSH hospitals. Conversely, percent
increases that are greater than 2.61 percent
indicate a hospital type is projected to have
a larger increase than the overall average. The
variation in the distribution of payments by
hospital characteristic is largely dependent
on a given hospital’s uncompensated care
costs as reported in the Worksheet S–10, or
number of Medicaid days and SSI days for
Puerto Rico hospitals and Indian Health
Service and Tribal hospitals, used in the
Factor 3 computation.
Rural hospitals, in general, are projected to
experience significantly larger increases in
uncompensated care payments than their
urban counterparts. Overall, rural hospitals
are projected to receive a 22.90 percent
increase in uncompensated care payments,
while urban hospitals are projected to receive
a 1.39 percent increase in uncompensated
care payments.
By bed size, smaller hospitals are projected
to receive larger increases in uncompensated
care payments than larger hospitals, in both
rural and urban settings. Rural hospitals with
0–99 beds are projected to receive a 31.08
percent payment increase, rural hospitals
with 100–249 beds are projected to receive a
15.35 percent increase, and larger rural
hospitals with 250+ beds are projected to
receive a 13.52 percent payment increase.
These increases for rural hospitals are all
greater than the overall hospital average. This
trend is also generally true for urban
hospitals, with the smallest urban hospitals
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19645
(0–99 beds) projected to receive an increase
in uncompensated care payments of 25.79
percent, and urban hospitals with 100–249
beds projected to receive an increase of 7.15
percent, both of which are greater than the
overall average. Larger urban hospitals with
250+ beds are projected to receive a 1.65
percent decrease in uncompensated care
payments.
By region, rural hospitals are expected to
receive a wide range of payment increases,
except for those in New England, which are
projected to receive a decrease in
uncompensated care payments. Rural
hospitals in the South Atlantic Region are
expected to receive a larger than average
increase in uncompensated care payments, as
are rural hospitals in the West South Central,
West North Central, East South Central, East
North Central, Mountain, and Pacific
Regions. Rural hospitals in the Middle
Atlantic Region are projected to receive
smaller than average payment increases.
Regionally, urban hospitals are projected to
receive a more varied range of payment
changes. Urban hospitals in the New
England, East North Central, West North
Central, Mountain and Pacific Regions are
projected to receive decreases in
uncompensated care payments. Smaller than
average increases in uncompensated care
payments are projected in the East South
Central Region, while hospitals in the Middle
Atlantic, South Atlantic, and West South
Central Regions and in Puerto Rico are
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projected to receive larger than average
increases in uncompensated care payments.
Nonteaching hospitals are projected to
receive a larger than average payment
increase of 7.37 percent. Teaching hospitals
with fewer than 100 residents are projected
to receive a payment decrease of 1.52
percent, while those teaching hospitals with
100+ residents have a projected payment
increase of 2.48 percent, slightly lower than
the overall average. Government hospitals are
projected to receive a larger than average
increase of 20.26 percent, while proprietary
hospitals are projected to receive a payment
increase slightly above the average at 3.12
percent. Voluntary hospitals are expected to
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receive a payment decrease of 5.11 percent.
Hospitals with 0 to 25 percent Medicare
utilization, or above 50 percent Medicare
utilization, are projected to receive increases
in uncompensated care payments. Hospitals
with 25–50 percent Medicare utilization are
projected to receive a slight decrease in
uncompensated care payments.
As discussed in section IV.F. of the
preamble of this proposed rule, an alternative
methodology that we are considering for FY
2020 would be to use FY 2017 Worksheet S–
10 data instead of FY 2015 Worksheet S–10
data to determine Factor 3. Our analysis for
this alternative methodology included 2,433
hospitals that would be projected to be
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eligible for DSH in FY 2020 under this
approach. We note that the 3 hospital
difference compared to the proposed
methodology is due to a difference in the
new hospital definition under the alternative
methodology. (CCN established on or after
October 1, 2017, would be considered new.)
The estimated impact of the proposed
changes in Factors 1 and 2 and the
alternative methodology for determining
Factor 3 on uncompensated care payments
across all hospitals projected to be eligible for
DSH payments in FY 2020 is presented in the
following table.
BILLING CODE 4120–01–P
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FY 2019 Final
Rule Estimated
Uncompensated
Care Payments
($ in Millions)
FY 2020
Proposed Rule
Estimated
Uncompensated
Care Payments
($ in Millions)
Dollar
Difference:
FY 2019FY 2020
(in
Millions)
Percent
Change**
2,443
$8,273
$8,489
$216
2.61
1,940
982
958
503
$7,806
$4,365
$3,440
$467
$7,965
$4,644
$3,321
$523
$159
$278
-$119
$56
2.04
6.37
-3.45
12.04
348
845
747
$258
$1,892
$5,656
$331
$1,944
$5,690
$73
$53
$34
28.14
2.78
0.61
373
117
13
$229
$195
$43
$266
$206
$52
$37
$11
$9
15.95
5.54
20.76
90
243
312
323
132
102
246
127
323
42
$279
$1,058
$1,769
$1,010
$477
$386
$1,423
$401
$899
$102
$256
$1,058
$1,998
$873
$505
$400
$1,687
$349
$728
$111
-$23
-$1
$229
-$137
$28
$14
$264
-$52
-$171
$9
-8.32
-0.05
12.97
-13.58
5.82
3.56
18.56
-13.05
-19.03
8.57
9
24
91
70
132
35
$17
$22
$116
$56
$106
$22
$15
$16
$144
$61
$109
$36
-$2
-$6
$28
$5
$3
$14
-10.27
-25.47
24.01
8.84
2.79
62.92
Number
of
Estimated
DSHs
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Total
By Geo~raphic Location
Urban Hospitals
Large Urban Areas
Other Urban Areas
Rural Hospitals
Bed Size (Urban)
0 to 99 Beds
100 to 249 Beds
250+ Beds
Bed Size (Rural)
0 to 99 Beds
100 to 249 Beds
250+ Beds
Urban by Region
New England
Middle Atlantic
South Atlantic
East North Central
East South Central
West North Central
West South Central
Mountain
Pacific
Puerto Rico
Rural by Region
New England
Middle Atlantic
South Atlantic
East North Central
East South Central
West North Central
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Alternative Modeled Uncompensated Care Payments for Estimated
FY 2020 DSHs by Hospital Type: Model Uncompensated Care Payments($ in Millions)*
from FY 2019 to FY 2020
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BILLING CODE 4120–01–C
As seen in the above table for the
alternative methodology under consideration,
rural hospitals, in general, are projected to
experience larger increases in
uncompensated care payments than their
urban counterparts. Overall, rural hospitals
are projected to receive a 12.04 percent
increase in uncompensated care payments,
while urban hospitals are projected to receive
a 2.04 percent increase in uncompensated
care payments.
By bed size, smaller hospitals in urban
areas are projected to receive significantly
larger increases in uncompensated care
payments than their larger counterparts. The
smallest urban hospitals (0–99 beds) are
projected to receive an increase of 28.14
percent in uncompensated care payments,
while urban hospitals with 100–249 beds are
projected to see an increase of 2.78 percent,
and those with 250+ beds are projected to
receive a slight increase of 0.61 percent,
which is smaller than the overall average
uncompensated care payment increase.
Conversely, among rural hospitals, the largest
rural hospitals (250+ beds) are projected to
receive the largest increase in
uncompensated care payments at 20.76
percent. Rural hospitals with 100–249 beds
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are projected to receive an increase of 5.54
percent, and the smallest rural hospitals (0–
99 beds) are projected receive an increase of
15.95 percent.
By region, urban hospitals in the New
England, Middle Atlantic, East North Central,
Mountain and Pacific Regions are projected
to receive decreases in uncompensated care
payments. Urban hospitals in the South
Atlantic, East South Central, West North
Central, and West South Central Regions and
in Puerto Rico are expected to receive above
average uncompensated care payment
increases ranging from 3.56 percent to 18.56
percent. Among rural hospitals, those in the
New England, Middle Atlantic and Mountain
Regions are expected to receive decreases in
uncompensated care payments. Rural
hospitals in the South Atlantic, East North
Central, East South Central, West North
Central, West South Central, and Pacific
Regions are projected receive varied
uncompensated care payment increases,
ranging from 2.79 percent to 62.92 percent.
Nonteaching hospitals are projected to
receive a larger than average payment
increase of 5.03 percent. Teaching hospitals
with fewer than 100 residents are projected
to receive a payment increase of 2.22 percent,
while those teaching hospitals with 100+
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residents have a projected payment increase
of 0.91 percent, both of which are lower than
the overall average. Government hospitals are
projected to receive a larger than average
increase of 16.65 percent, while proprietary
hospitals are projected to receive a payment
increase below the average at 0.23 percent.
Voluntary hospitals are expected to receive a
payment decrease of 2.81 percent. Hospitals
with 0 to 25 percent Medicare utilization, or
above 50 percent Medicare utilization, are
projected to receive higher than average
increases in uncompensated care payments.
Hospitals with 25 to 50 percent Medicare
utilization are projected to receive a lower
than average increase in uncompensated care
payments of 0.64 percent.
5. Effects of Proposed Reductions Under the
Hospital Readmissions Reduction Program
for FY 2020
In section IV.G. of the preamble of this
proposed rule, we discuss our proposed
policies for the FY 2020 Hospital
Readmissions Reduction Program. This
program requires a reduction to a hospital’s
base operating DRG payment to account for
excess readmissions of selected applicable
conditions. The table and analysis below
illustrate the estimated financial impact of
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the Hospital Readmissions Reduction
Program payment adjustment methodology
by hospital characteristic. As outlined in
section IV.G. of the preamble of this
proposed rule, hospitals are stratified into
quintiles based on the proportion of dualeligible stays among Medicare fee-for-service
(FFS) and managed care stays between July
1, 2014 and June 30, 2017 (that is, the FY
2019 Hospital Readmissions Reduction
Program’s performance period). Hospitals’
excess readmission ratios (ERRs) are assessed
relative to their peer group median and a
neutrality modifier is applied in the payment
adjustment factor calculation to maintain
budget neutrality. To analyze the results by
hospital characteristic, we used the FY 2019
Hospital IPPS Proposed Rule Impact File.
These analyses include 3,062 nonMaryland hospitals eligible to receive a
penalty during the performance period.
Hospitals are eligible to receive a penalty if
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they have 25 or more eligible discharges for
at least one measure between July 1, 2014
and June 30, 2017. The second column in the
table indicates the total number of nonMaryland hospitals with available data for
each characteristic that have an estimated
payment adjustment factor less than 1 (that
is, penalized hospitals).
The third column in the table indicates the
percentage of penalized hospitals among
those eligible to receive a penalty by hospital
characteristic. For example, 82.26 percent of
eligible hospitals characterized as nonteaching hospitals are expected to be
penalized. Among teaching hospitals, 88.60
percent of eligible hospitals with fewer than
100 residents and 93.95 percent of eligible
hospitals with 100 or more residents are
expected to be penalized.
The fourth column in the table estimates
the financial impact on hospitals by hospital
characteristics. The table shows the share of
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19649
penalties as a percentage of all base operating
DRG payments for hospitals with each
characteristic. This is calculated as the sum
of penalties for all hospitals with that
characteristic over the sum of all base
operating DRG payments for those hospitals
between October 1, 2016 and September 30,
2017 (FY 2017). For example, the penalty as
a share of payments for urban hospitals is
0.67 percent. This means that total penalties
for all urban hospitals are 0.67 percent of
total payments for urban hospitals.
Measuring the financial impact on hospitals
as a percentage of total base operating DRG
payments accounts for differences in the
amount of base operating DRG payments for
hospitals within the characteristic when
comparing the financial impact of the
program on different groups of hospitals.
BILLING CODE 4120–01–P
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Proxy Percentage of Hospitals Penalized and Penalty as Share of Payments for
FY 2020 Hospital Readmissions Reduction Program by Hospital Characteristic
Number of
Eligible
Hospitals Ia]
(%)
(%)
2,599
84.88
0.67
Urban hospitals
2,297
1,983
86.33
0.67
1-99 beds
100-199 beds
534
714
377
649
70.60
90.90
0.90
0.79
200-299 beds
417
378
90.65
0.77
300-399 beds
275
253
92.00
0.68
400-499 beds
144
130
90.28
0.54
500 or more beds
213
196
92.02
0.55
Rural hospitals
1-49 beds
765
285
616
197
80.52
69.12
0.69
0.63
50-99 beds
282
242
85.82
0.62
100-149 beds
115
104
90.43
0.72
150-199 beds
44
35
79.55
0.64
38
97.44
0.81
1,651
82.26
0.78
715
88.60
0.68
233
93.95
0.50
Non-teaching
2,007
Teaching, fewer
than 100
Residents
807
Teaching, 100 or
more
Residents
248
Ownership Type (n= 3,043)
Government
476
399
83.82
0.51
Proprietary
748
619
82.75
1.01
1,573
86.48
0.63
Voluntary
1,819
Safety-net StatuslgJ (n= 3,062)
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Percentage of Penalty as a
Hospitals
share of
Penalized lei
paymentsldJ
All Hospitals
3,062
1
Geographic Location el (n= 3,062)
200 or more beds
39
Teaching Status 1fl (n= 3,062)
VerDate Sep<11>2014
Number of
Penalized
Hospitals 1bl
Safety-net hospitals
614
531
86.48
0.58
Non-safety-net
Hospitals
2,448
2,068
84.48
0.70
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Hospital
Characteristic
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19651
Disproportionate Share Hospital (DSH) Patient Percentage[hJ (n= 3,062)
0-24
25-49
50-64
1,221
1,485
0-24
25-49
432
2,087
467
62
129
352
509
482
289
246
474
217
364
997
1,293
81.65
87.07
0.76
0.63
90.48
82.63
0.63
0.60
364
1,802
381
42
84.26
86.34
81.58
67.74
0.46
0.68
0.93
0.90
114
320
461
421
253
193
384
163
290
88.37
90.91
90.57
87.34
87.54
78.46
81.01
75.12
79.67
0.85
0.85
0.75
0.59
0.86
0.43
0.65
0.55
0.46
171
189
65 and over
167
138
Medicare Cost Report (MCR) Percent[iJ (n= 3,048)
50-64
65 and over
Source: The table results are based on the proxy FY 2020 payment adjustment factors of open,
non-Maryland, subsection (d) hospitals only. The proxy FY 2020 payment adjustment factors are based on
discharges between July 1, 2014 and June 30,2017 (the FY 2019 Hospital Readmissions Reduction
Program performance period). Although data from all subsection (d) and Maryland hospitals are used in
calculations of each hospital's ERR, this table does not include results for Mary land hospitals and hospitals
that are not open as of the October 2018 public reporting open hospital list since these hospitals are not
eligible for a penalty under the program. Hospitals are stratified into quintiles based on the proportion of
Medicare FFS and managed care dual-eligible stays for the 3-year performance period. Hospital
characteristics are from the FY 2019 Hospital IPPS Proposed Rule Impact File.
Note: After the release of the FY 2019 IPPS/L TCH PPS final rule, it was determined that the neutrality
modifier was not applied in the calculation of the penalty as a share of payments presented in the FY 2019
IPPS/LTCH PPS final rule table (83 FR 41755 through 41756). This error only affected the penalty as a
share of payments by hospital characteristics (that is, the result for all hospitals was not impacted). The
penalty as share of payments results in the FY 2019 IPPS/LTCH PPS final rule table were slightly higher
than the corrected results. The table above includes the corrected values for the penalty as a share of
payments.
Footnotes:
a This colunm is the number of applicable hospitals within the characteristic that are eligible for a penalty
(that is, they have 25 or more eligible discharges for at least one measure).
b This colunm is the number of applicable hospitals that are penalized (that is, they have 25 or more eligible
discharges for at least one measure and an proxy payment adjustment factor less than 1) within the
characteristic.
c This colunm is the percentage of applicable hospitals that are penalized among hospitals that are eligible
to receive a penalty by characteristic.
u This colunm is calculated as the sum of all penalties for the group of hospitals with that characteristic
divided by total base operating DRG payments for all those hospitals. MedPAR data from October 1, 2016
through September 30, 2017 (FY 2017) are used to calculate the total base operating DRG payments.
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Region (n= 3,062)
New England
Middle Atlantic
South Atlantic
East North Central
East South Central
West North Central
West South Central
Mountain
Pacific
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6. Effects of Proposed Changes Under the FY
2020 Hospital Value-Based Purchasing (VBP)
Program
In section IV.H. of the preamble of this
proposed rule, we discuss the Hospital VBP
Program under which the Secretary makes
value-based incentive payments to hospitals
based on their performance on measures
during the performance period with respect
to a fiscal year. These incentive payments
will be funded for FY 2020 through a
reduction to the FY 2020 base operating DRG
payment amount for the discharge for the
hospital for such fiscal year, as required by
section 1886(o)(7)(B) of the Act. The
applicable percentage for FY 2020 and
subsequent years is 2 percent. The total
amount available for value-based incentive
payments must be equal to the total amount
of reduced payments for all hospitals for the
fiscal year, as estimated by the Secretary.
In section IV.H.1.b. of the preamble of this
proposed rule, we estimate the available pool
of funds for value-based incentive payments
in the FY 2020 program year, which, in
accordance with section 1886(o)(7)(C)(v) of
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the Act, would be 2.00 percent of base
operating DRG payments, or a total of
approximately $1.9 billion. This estimated
available pool for FY 2020 is based on the
historical pool of hospitals that were eligible
to participate in the FY 2019 program year
and the payment information from the
December 2018 update to the FY 2018
MedPAR file.
The proposed estimated impacts of the FY
2020 program year by hospital characteristic,
found in the table below, are based on
historical TPSs. We used the FY 2019
program year’s TPSs to calculate the proxy
adjustment factors used for this impact
analysis. These are the most recently
available scores that hospitals were given an
opportunity to review and correct. The proxy
adjustment factors use estimated annual base
operating DRG payment amounts derived
from the December 2018 update to the FY
2018 MedPAR file. The proxy adjustment
factors can be found in Table 16 associated
with this proposed rule (available via the
internet on the CMS website).
The impact analysis shows that, for the FY
2020 program year, the number of hospitals
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that would receive an increase in their base
operating DRG payment amount is higher
than the number of hospitals that would
receive a decrease. On average, urban
hospitals in the West North Central region
and rural hospitals in the Mountain region
would have the highest positive percent
change in base operating DRG. Urban Middle
Atlantic, Urban East South Central, and
Urban West South Central regions would
experience an average decrease in base
operating DRG. All other regions, both urban
and rural, would experience an average
increase in base operating DRG.
As DSH patient percentage increases, the
average percent change in base operating
DRG would tend to decrease. With respect to
hospitals’ Medicare utilization as a percent of
inpatient days (MCR), as the MCR percent
increases, the average percent change in base
operating DRG would increase. On average,
teaching hospitals would have a decrease in
base operating DRG while non-teaching
hospitals would have an increase in base
operating DRG.
BILLING CODE 4120–01–P
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19653
Urban hospitals
0-99 beds
100-199 beds
200-299 beds
300-499 beds
500 or more beds
2,132
377
705
421
412
217
0.081
0.464
0.148
-0.040
-0.139
-0.151
Rural hospitals
0-49 beds
50-99 beds
100-149 beds
150-199 beds
200 or more beds
654
204
264
103
45
38
0.436
0.600
0.464
0.369
0.125
-0.090
2,132
105
282
378
350
129
135
264
146
343
0.081
0.069
-0.030
0.012
0.157
-0.121
0.363
-0.014
0.107
0.202
654
19
49
104
0.436
0.597
0.364
0.488
BY REGION:
Urban Bv Re2ion
New England
Middle Atlantic
South Atlantic
East North Central
East South Central
West North Central
West South Central
Mountain
Pacific
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Rural Bv Re2ion
New England
Middle Atlantic
South Atlantic
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Impact Analysis of Adjustments to Base Operating DRG Payment Amounts
Resulting from the FY 2020 Hospital VBP Program
Average Net
Number of
Percentage
Hospitals
Payment
Ad.iustment
BY GEOGRAPHIC LOCATION:
2,786
0.164
All Hospitals
1,107
0.076
Large Urban
1,025
0.087
Other Urban
Rural Area
654
0.436
19654
BILLING CODE 4120–01–C
Actual FY 2020 program year’s TPSs will
not be reviewed and corrected by hospitals
until after the FY 2020 IPPS/LTCH PPS final
rule has been published. Therefore, the same
historical universe of eligible hospitals and
corresponding TPSs from the FY 2019
program year will be used for the updated
impact analysis in the final rule.
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7. Effects of Proposed Requirements Under
the HAC Reduction Program for FY 2020
In section IV.I. of the preamble of this
proposed rule, we discuss proposed
requirements for the HAC Reduction Program
for FY 2020. In this proposed rule, we are not
proposing to remove measures or to adopt
any new measures into the HAC Reduction
Program.
a. Burden Associated With Validation
We note the burden associated with
collecting and submitting data via the NHSN
system is captured under a separate OMB
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control number, 0920–0666, and therefore
will not impact our burden estimates.
We discuss the burden hours associated
with NHSN HAI validation (43,200 hours
over 600 hospitals) in section X.B.7. of the
preamble of this proposed rule, and note the
burden associated with these requirements is
captured in an information collection request
currently available for review and comment,
OMB control number 0938–1352. We are
proposing to update our cost burden to
hospitals using a wage plus benefit rate of
$37.66 per hour to account for an increase in
wage rate used in the last year’s PRA package
from $18.29 to $18.83. We believe that
doubling the hourly wage rate ($18.83 × 2 =
$37.66) to estimate total cost is a reasonably
accurate estimation method. Accordingly, we
calculate cost burden to hospitals using a
wage plus benefits estimate of $37.66 per
hour.
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b. The Cumulative Effect of Program
Measures and the Scoring Methodology
We are presenting the estimated impact of
the FY 2020 HAC Reduction Program on
hospitals by hospital characteristic. These FY
2020 HAC Reduction Program results were
calculated using the Equal Measure Weights
approach finalized in the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41486 through
41489). Each hospital’s Total HAC Score was
calculated as the equally weighted average of
the hospital’s measure scores. The table
below presents the estimated proportion of
hospitals in the worst-performing quartile of
the Total HAC Scores by hospital
characteristic.
Hospitals’ CMS PSI 90 Composite measure
results are based on Medicare FFS discharges
from July 1, 2016 through June 30, 2018 and
the recalibrated version 9.0 of the CMS PSI
software. Hospitals’ measure results for the
CLABSI, CAUTI, Colon and Abdominal
Hysterectomy SSI, MRSA Bacteremia, and
CDI measures are derived from standardized
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infection ratios (SIRs) calculated with
hospital surveillance data reported to the
NHSN for infections occurring between
January 1, 2016 and December 31, 2017.842
To analyze the results by hospital
characteristic, we used the FY 2019 Hospital
IPPS Final Rule Impact File. This table
includes 3,184 non-Maryland hospitals with
a FY 2020 Total HAC Score—Maryland
hospitals and hospitals without a Total HAC
Score are excluded from the table. Of these
3,184 hospitals, 3,170 hospitals had
information for geographic location with bed
size, safety-net status, DSH patient
percentages, and teaching status; 3,182
hospitals had information on region; 3,142
hospitals had information for ownership; and
3,155 hospitals had information for MCR
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842 Updated FY 2020 data for the CDC NHSN
measures (1/1/2017 through 12/31/2018) was not
available at the time of publication.
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percent. The first column presents a
breakdown of each characteristic.
The second column in the table indicates
the total number of non-Maryland hospitals
with an FY 2020 Total HAC Score and
available data for each characteristic. For
example, with regard to teaching status,
2,092 hospitals are characterized as nonteaching hospitals, 831 hospitals are
characterized as teaching hospitals with
fewer than 100 residents, and 247 hospitals
are characterized as teaching hospitals with
at least 100 residents. This only represents a
total of 3,170 hospitals because the other 14
hospitals are missing from the FY 2019
Hospital IPPS Final Rule Impact File.
The third column in the table indicates the
number of hospitals for each characteristic
that would be in the worst-performing
quartile of Total HAC Scores. These hospitals
would receive a payment reduction under the
FY 2020 HAC Reduction Program. For
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19655
example, with regard to teaching status, 458
hospitals out of 2,092 hospitals characterized
as non-teaching hospitals would be subject to
a payment reduction. Among teaching
hospitals, 208 out of 831 hospitals with fewer
than 100 residents, and 120 out of 247
hospitals with 100 or more residents would
be subject to a payment reduction.
The fourth column in the table indicates
the proportion of hospitals for each
characteristic that would be in the worstperforming quartile of Total HAC Scores and
thus receive a payment reduction under the
FY 2020 HAC Reduction Program. For
example, 21.9 percent of the 2,092 hospitals
characterized as non-teaching hospitals, 25.0
percent of the 831 teaching hospitals with
fewer than 100 residents, and 48.6 percent of
the 247 teaching hospitals with 100 or more
residents would be subject to a payment
reduction.
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Estimated Proportion of Hospitals in the Worst-Performing Quartile (>75th
percentile) of the Total HAC Scores for the FY 2020 HAC Reduction Program by
Hospital Characteristic
Number of
Hospitals
Number of
Hospitals in the
WorstPerforming
Quartilea
Percent of
Hospitals in
the WorstPerforming
Quartileb
3,184
795
25.0
2,397
634
26.4
1-99 beds
618
123
19.9
100-199 beds
720
177
24.6
200-299 beds
300-399 beds
423
277
130
30.7
83
30.0
400-499 beds
140
42
30.0
500 or more beds
219
79
36.1
Rural hospitals
1-49 beds
773
307
152
58
19.7
18.9
50-99 beds
275
58
21.1
100-149 beds
107
20
18.7
150-199 beds
45
9
20.0
39
7
17.9
2,526
570
22.6
Safety-net
644
By DSH Patient Percentager (n = 3,170)
216
33.5
Hospital Characteristic
Total c
By Geographic Location (n = 3,170)d
Urban hospitals
200 or more beds
By Safety-Net Statuse (n = 3,170)
Non-safety net
0-24
1,300
273
21.0
25-49
1,488
372
25.0
50-64
195
73
37.4
65 and over
187
68
36.4
2,092
458
21.9
Fewer than 100 residents
831
208
25.0
100 or more residents
247
120
48.6
1,854
457
24.6
By Teaching Statusg (n = 3,170)
Non-teaching
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By Ownershiph (n = 3,142)
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Number of
Hospitals
Number of
Hospitals in the
WorstPerforming
Quartilea
Percent of
Hospitals in
the WorstPerforming
Quartileb
3,184
795
25.0
Proprietary
800
168
21.0
Government
488
153
31.4
0-24
558
160
28.7
25-49
2,121
509
24.0
50-64
404
92
22.8
65 and over
72
19
26.4
New England
131
40
30.5
Mid-Atlantic
358
105
29.3
South Atlantic
521
140
26.9
East North Central
493
105
21.3
East South Central
293
69
23.5
West North Central
254
53
20.9
West South Central
511
110
21.5
Mountain
225
56
24.9
Pacific
396
115
29.0
Hospital Characteristic
Total c
19657
By MCR Percenti (n = 3,155)
Source: FY 2020 HAC ReductiOn Program Proposed Rule Results are based on CMS PSI 90 data from
July 2016 through June 2018 and CDC CLABSI, CAUTI, SSI, CDI, and MRSA results from January 2016
through December 2017. Hospital Characteristics are based on the FY 2019 Hospital IPPS Final Rule
Impact File.
a This colunm is the number of non-Maryland hospitals with a Total HAC Score within the corresponding
characteristic that are estimated to be in the worst-performing quartile.
b This colunm is the percent of non-Mary land hospitals within each characteristic that are estimated to be in
the worst-performing quartile. The percentages are calculated by dividing the number of non-Maryland
hospitals with a Total HAC Score in the worst -performing quartile by the total number of non-Maryland
hospitals with a Total HAC Score within that characteristic.
c The number of non-Maryland hospitals with a FY 2020 Total HAC Score (N = 3,184). Note that not all
hospitals have data for all hospital characteristics.
d The number of hospitals that had information for geographic location with bed size, Safety-net status,
DSH patient percentage, teaching status, and ownership status (n = 3, 170).
e A hospital is considered a Safety-net hospital if it is in the top quintile for DSH patient percentage.
f The DSH patient percentage is equal to the sum of (1) the percentage of Medicare inpatient days
attributable to patients eligible for both Medicare Part A and Supplemental Security Income and (2) the
percentage of total inpatient days attributable to patients eligible for Medicaid but not Medicare Part A.
g A hospital is considered a teaching hospital if it has an Indirect Medical Education (IME) adjustment
factor for Operation PPS (TCHOP) greater than zero.
h Not all hospitals had data for Ownership (n = 3, 142)
'Not all hospitals had data for MCR percent (n = 3, 155).
1
Not all hospitals had data for Region (n = 3,182)
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8. Effects of Proposed Changes Relating to
Critical Access Hospitals (CAHs) as
Nonproviders for Direct GME and IME
Payment Purposes
In section IV.J.2. of the preamble of this
proposed rule, we discuss our proposal to
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consider CAHs as nonprovider settings for
purposes of direct GME and IME payments
such that, effective with portions of cost
reporting periods beginning October 1, 2019,
a hospital may include full-time equivalent
(FTE) residents training at a CAH in its FTE
count as long as it meets the nonprovider
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setting requirements currently included at 42
CFR 413.78(g). We note that we are not
proposing to change our policy with respect
to CAHs incurring the costs of training
residents. That is, a CAH may continue to
incur the costs of training residents in an
approved residency training program(s) and
be paid based on 101 percent of the
reasonable costs for these training costs.
We anticipate any impact associated with
this proposed change to be negligible.
Because IPPS teaching hospitals have caps in
place for the number of FTE residents they
may claim for direct GME and IME payment
purposes, these hospitals could only receive
direct GME and IME payments for the FTE
residents for which they incur the training
costs at CAHs within their existing FTE caps.
Allowing IPPS hospitals to claim FTE
residents training at CAHs would not mean
the hospitals would be able to claim
additional FTE residents above their FTE
caps. Thus, because no additional funded
slots would be created for IPPS hospitals by
this proposal, and because CAHs would no
longer be claiming and receiving payment for
the salary costs of the residents in situations
where the CAHs are being treated as
nonprovider sites, we believe there is
minimal to no impact.
9. Effects of Implementation of the Rural
Community Hospital Demonstration Program
in FY 2020
In section IV.K. of the preamble of this
proposed rule for FY 2020, we discussed our
implementation and budget neutrality
methodology for section 410A of Public Law
108–173, as amended by sections 3123 and
10313 of Public Law 111–148, and more
recently, by section 15003 of Public Law
114–255, which requires the Secretary to
conduct a demonstration that would modify
payments for inpatient services for up to 30
rural hospitals.
Section 15003 of Public Law 114–255
requires the Secretary to conduct the Rural
Community Hospital Demonstration for a 10year extension period (in place of the 5-year
extension period required by the Affordable
Care Act), beginning on the date immediately
following the last day of the initial 5-year
period under section 410A(a)(5) of Public
Law 108–173. Specifically, section 15003 of
Public Law 114–255 amended section
410A(g)(4) of Public Law 108–173 to require
that, for hospitals participating in the
demonstration as of the last day of the initial
5-year period, the Secretary shall provide for
continued participation of such rural
community hospitals in the demonstration
during the 10-year extension period, unless
the hospital makes an election to discontinue
participation. Furthermore, section 15003 of
Public Law 114–255 requires that, during the
second 5 years of the 10-year extension
period, the Secretary shall provide for
participation under the demonstration during
the second 5 years of the 10-year extension
period for hospitals that are not described in
subsection 410A(g)(4).
Section 15003 of Public Law 114–255 also
requires that no later than 120 days after the
enactment of Public Law 114–255 that the
Secretary issue a solicitation for applications
to select additional hospitals to participate in
the demonstration program for the second 5
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years of the 10-year extension period so long
as the maximum number of 30 hospitals
stipulated by Public Law 111–148 is not
exceeded. Section 410A(c)(2) requires that in
conducting the demonstration program under
this section, the Secretary shall ensure that
the aggregate payments made by the
Secretary do not exceed the amount which
the Secretary would have paid if the
demonstration program under this section
was not implemented (budget neutrality).
In the preamble to this FY 2020 IPPS/
LTCH PPS proposed rule, we described the
terms of participation for the extension
period authorized by Public Law 114–255. In
the FY 2018 IPPS/LTCH PPS final rule, we
finalized our policy with regard to the
effective date for the application of the
reasonable cost-based payment methodology
under the demonstration for those among the
hospitals that had previously participated
and were choosing to participate in the
second 5-year extension period. According to
our finalized policy, each of these previously
participating hospitals began the second 5
years of the 10-year extension period on the
date immediately after the date the period of
performance under the 5-year extension
period ended. Seventeen of the 21 hospitals
that completed their periods of participation
under the extension period authorized by
Public Law 111–148 elected to continue in
the second 5-year extension period, while 13
additional hospitals were selected to
participate. One of the hospitals selected
from the solicitation in 2017 withdrew from
the demonstration program prior to
beginning participation on July 1, 2018. Each
of the remaining newly participating
hospitals began its 5-year period of
participation effective with the start of the
first cost reporting period on or after October
1, 2017. Thus, 29 hospitals participated in
FYs 2018 and 2019, and are scheduled to
participate in FY 2020.
In the FY 2018 IPPS/LTCH PPS final rule,
we finalized the budget neutrality
methodology in accordance with our policies
for implementing the demonstration,
adopting the general methodology used in
previous years, whereby we estimated the
additional payments made by the program for
each of the participating hospitals as a result
of the demonstration. In order to achieve
budget neutrality, we adjusted the national
IPPS rates by an amount sufficient to account
for the added costs of this demonstration. In
other words, we have applied budget
neutrality across the payment system as a
whole rather than across the participants of
this demonstration. The language of the
statutory budget neutrality requirement
permits the agency to implement the budget
neutrality provision in this manner. The
statutory language requires that aggregate
payments made by the Secretary do not
exceed the amount which the Secretary
would have paid if the demonstration was
not implemented, but does not identify the
range across which aggregate payments must
be held equal.
For this proposed rule, the resulting
amount applicable to FY 2020 is $61,970,567,
which we are proposing to include in the
budget neutrality offset adjustment for FY
2020. This estimated amount is based on the
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specific assumptions regarding the data
sources used, that is, recently available ‘‘as
submitted’’ cost reports and historical and
proposed update factors for cost and
payment. If updated data become available
prior to the FY 2020 IPPS/LTCH PPS final
rule, we will use them to the extent
appropriate to estimate the costs of the
demonstration program.
In previous years, we have incorporated a
second component into the budget neutrality
offset amounts identified in the final IPPS
rules. As finalized cost reports became
available, we determined the amount by
which the actual costs of the demonstration
for an earlier, given year differed from the
estimated costs for the demonstration set
forth in the final IPPS rule for the
corresponding fiscal year, and we
incorporated that amount into the budget
neutrality offset amount for the upcoming
fiscal year. We have calculated this
difference for FYs 2005 through 2013
between the actual costs of the demonstration
as determined from finalized cost reports
once available, and estimated costs of the
demonstration as identified in the applicable
IPPS final rules for these years.
With the extension of the demonstration
for another 5-year period, as authorized by
section 15003 of Public Law 114–255, we
will continue this general procedure.
Currently, finalized cost reports are now
available for the 22 hospitals that completed
a cost reporting period beginning in FY 2014
according to the demonstration cost-based
payment methodology. The actual costs of
the demonstration for this fiscal year as
determined from the finalized cost reports
fell short of the estimated amount that was
finalized in the FY 2014 IPPS/LTCH PPS
final rule by $14,932,060.
We note that, for this proposed rule, the
amounts identified for the actual costs of the
demonstration for FY 2014 (determined from
finalized cost reports) is less than the amount
that was identified in the final rule for this
fiscal year. Therefore, in keeping with
previous policy finalized in similar situations
when the costs of the demonstration fell
short of the amount estimated in the
corresponding year’s final rule, we will be
including this component as a negative
adjustment to the budget neutrality offset
amount for the current fiscal year.
Therefore, for FY 2020, the total amount
that we are proposing to apply to the national
IPPS rates is $47,038,507. If updated data
become available prior to the FY 2020 IPPS/
LTCH PPS final rule, we would use them to
the extent appropriate to determine the
budget neutrality offset amount for FY 2020.
Furthermore, if the needed cost reports are
available in time for the FY 2020 IPPS/LTCH
PPS final rule, we will also identify the
difference between the total cost of the
demonstration based on finalized FY 2015
cost reports and the estimate of the costs of
the demonstration for that year, and
incorporate that amount into the final budget
neutrality offset amount for FY 2020.
10. Effects of Proposed Change Relating to
CAH Payment for Ambulance Services
In section VI.C.2. of the preamble of this
proposed rule, we discuss our proposal to
revise the regulations at § 413.70(b)(5) by
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adding a new paragraph (D) to state that,
effective for cost reporting periods beginning
on or after October 1, 2019, payment for
ambulance services furnished by a CAH or by
an entity that is owned and operated by a
CAH is 101 percent of the reasonable costs
of the CAH or the entity in furnishing those
services, but only if the CAH or the entity is
the only provider or supplier of ambulance
services located within a 35-mile drive of the
CAH, excluding ambulance providers or
suppliers that are not legally authorized to
furnish ambulance services to transport
individuals either to or from the CAH.
Consistent with the existing policy under
§ 413.70(b)(5)(i)(C), if there is no provider or
supplier of ambulance services located
within a 35-mile drive of the CAH and there
is an entity that is owned and operated by
a CAH that is more than a 35-mile drive from
the CAH, payment for ambulance services
furnished by that entity is 101 percent of the
reasonable costs of the entity in furnishing
those services, but only if the entity is the
closest provider or supplier of ambulance
services to the CAH.
Based on the best data available, assuming
no significant change in the volume of CAH
ambulance trips and that approximately 5
CAHs may be affected by the specific
situation described in our proposal, we
estimate Medicare payments will increase by
$2 million in FY 2020 as compared to FY
2019.
11. Effects of Continued Implementation of
the Frontier Community Health Integration
Project (FCHIP) Demonstration
In section VI.C.3. of the preamble of this
proposed rule, we discuss the
implementation of the FCHIP demonstration,
which allows eligible entities to develop and
test new models for the delivery of health
care services in eligible counties in order to
improve access to and better integrate the
delivery of acute care, extended care, and
other health care services to Medicare
beneficiaries in no more than four States.
Budget neutrality estimates for the
demonstration will be based on the
demonstration period of August 1, 2016
through July 31, 2019. The demonstration
includes three intervention prongs, under
which specific waivers of Medicare payment
rules will allow for enhanced payment:
Telehealth, skilled nursing facility/nursing
facility services, and ambulance services.
These waivers are being implemented with
the goal of increasing access to care with no
net increase in costs. (We initially addressed
this demonstration in the FY 2017 IPPS/
LTCH PPS final rule (81 FR 57064 through
57065), FY 2018 IPPS/LTCH PPS final rule
(82 FR 38294 through 38296) and FY 2019
IPPS/LTCH PPS final rule (83 FR 41516
through 41517).)
We specified the payment enhancements
for the demonstration and selected CAHs for
participation with the goal of maintaining the
budget neutrality of the demonstration on its
own terms (that is, the demonstration will
produce savings from reduced transfers and
admissions to other health care providers,
thus offsetting any increase in payments
resulting from the demonstration). However,
because of the small size of this
demonstration program and uncertainty
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associated with projected Medicare
utilization and costs, in the FY 2019 IPPS/
LTCH PPS final rule we adopted a
contingency plan (83 FR 41516 through
41517) to ensure that the budget neutrality
requirement in section 123 of Public Law
110–275 is met. Accordingly, if analysis of
claims data for the Medicare beneficiaries
receiving services at each of the participating
CAHs, as well as of other data sources,
including cost reports, shows that increases
in Medicare payments under the
demonstration during the 3-year period are
not sufficiently offset by reductions
elsewhere, we will recoup the additional
expenditures attributable to the
demonstration through a reduction in
payments to all CAHs nationwide. The
demonstration is projected to impact
payments to participating CAHs under both
Medicare Part A and Part B. Thus, in the
event that we determine that aggregate
payments under the demonstration exceed
the payments that would otherwise have
been made, CMS will recoup payments
through reductions of Medicare payments to
all CAHs under both Medicare Part A and
Part B. Because of the small scale of the
demonstration, it would not be feasible to
implement budget neutrality by reducing
payments only to the participating CAHs.
Therefore, we will make the reduction to
payments to all CAHs, not just those
participating in the demonstration, because
the FCHIP demonstration is specifically
designed to test innovations that affect
delivery of services by this provider category.
As we explained in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41516 through 41517),
we believe that the language of the statutory
budget neutrality requirement at section
123(g)(1)(B) of the Act permits the agency to
implement the budget neutrality provision in
this manner. The statutory language merely
refers to ensuring that aggregate payments
made by the Secretary do not exceed the
amount which the Secretary estimates would
have been paid if the demonstration project
was not implemented, and does not identify
the range across which aggregate payments
must be held equal.
Given the 3-year period of performance of
the FCHIP demonstration and the time
needed to conduct the budget neutrality
analysis, in the event the demonstration is
found not to have been budget neutral, we
plan to recoup any excess costs over a period
of three cost report periods, beginning in CY
2020. Therefore, based on currently available
data, this policy will likely have no impact
for any national payment system for FY 2020.
I. Effects of Proposed Changes in the Capital
IPPS
1. General Considerations
For the impact analysis presented below,
we used data from the December 2018 update
of the FY 2018 MedPAR file and the
December 2018 update of the ProviderSpecific File (PSF) that was used for payment
purposes. Although the analyses of the
proposed changes to the capital prospective
payment system do not incorporate cost data,
we used the December 2018 update of the
most recently available hospital cost report
data (FYs 2016 and 2017) to categorize
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19659
hospitals. Our analysis has several
qualifications. We use the best data available
and make assumptions about case-mix and
beneficiary enrollment, as described later in
this section.
Due to the interdependent nature of the
IPPS, it is very difficult to precisely quantify
the impact associated with each proposed
change. In addition, we draw upon various
sources for the data used to categorize
hospitals in the tables. In some cases (for
instance, the number of beds), there is a fair
degree of variation in the data from different
sources. We have attempted to construct
these variables with the best available
sources overall. However, it is possible that
some individual hospitals are placed in the
wrong category.
Using cases from the December 2018
update of the FY 2018 MedPAR file, we
simulated payments under the capital IPPS
for FY 2019 and the proposed payments for
FY 2020 for a comparison of total payments
per case. Short-term, acute care hospitals not
paid under the general IPPS (for example,
hospitals in Maryland) are excluded from the
simulations.
The methodology for determining a capital
IPPS payment is set forth at § 412.312. The
basic methodology for calculating the
proposed capital IPPS payments in FY 2020
is as follows:
(Standard Federal rate) × (DRG weight) ×
(GAF) × (COLA for hospitals located in
Alaska and Hawaii) × (1 + DSH adjustment
factor + IME adjustment factor, if applicable).
In addition to the other adjustments,
hospitals may receive outlier payments for
those cases that qualify under the threshold
established for each fiscal year. We modeled
payments for each hospital by multiplying
the capital Federal rate by the GAF and the
hospital’s case-mix. We then added estimated
payments for indirect medical education,
disproportionate share, and outliers, if
applicable. For purposes of this impact
analysis, the model includes the following
assumptions:
• An estimated increase in the Medicare
case-mix index of 0.5 percent in FY 2019 and
0.5 percent in FY 2020 based on preliminary
FY 2019 data.
• We estimate that Medicare discharges
would be approximately 10.8 million in both
FYs 2019 and 2020.
• The capital Federal rate was updated,
beginning in FY 1996, by an analytical
framework that considers changes in the
prices associated with capital-related costs
and adjustments to account for forecast error,
changes in the case-mix index, allowable
changes in intensity, and other factors. As
discussed in section III.A.1.a. of the
Addendum to this proposed rule, the
proposed update to the capital Federal rate
is 1.5 percent for FY 2020.
• In addition to the proposed FY 2020
update factor, the proposed FY 2020 capital
Federal rate was calculated based on a
proposed GAF/DRG budget neutrality
adjustment factor of 0.9976 and a proposed
outlier adjustment factor of 0.9466.
2. Results
We used the actuarial model previously
described in section I.I. of Appendix A of this
proposed rule to estimate the potential
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impact of the proposed changes for FY 2020
on total capital payments per case, using a
universe of 3,242 hospitals. As previously
described, the individual hospital payment
parameters are taken from the best available
data, including the December 2018 update of
the FY 2018 MedPAR file, the December
2018 update to the PSF, and the most recent
cost report data from the December 2018
update of HCRIS. In Table III, we present a
comparison of estimated proposed total
payments per case for FY 2019 and estimated
total payments per case for FY 2020 based on
the proposed FY 2020 payment policies.
Column 2 shows estimates of payments per
case under our model for FY 2019. Column
3 shows estimates of proposed payments per
case under our model for FY 2020. Column
4 shows the proposed total percentage
change in payments from FY 2019 to FY
2020. The change represented in Column 4
includes the proposed 1.5 percent update to
the capital Federal rate and other proposed
changes in the adjustments to the capital
Federal rate. The comparisons are provided
by: (1) Geographic location; (2) region; and
(3) payment classification.
The simulation results show that, on
average, capital payments per case in FY
2020 are expected to increase as compared to
capital payments per case in FY 2019. This
expected increase overall is largely due to the
proposed 1.5 percent update to the capital
Federal rate for FY 2020. Hospitals within
both rural and urban regions may experience
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an increase or a decrease in capital payments
per case due to changes in the GAFs. These
regional effects of the proposed changes to
the GAFs on capital payments are consistent
with the projected changes in payments due
to proposed changes in the wage index (and
proposed policies affecting the wage index),
as shown in Table I in section I.G. of this
Appendix A.
The net impact of these proposed changes
is an estimated 1.9 percent change in capital
payments per case from FY 2019 to FY 2020
for all hospitals (as shown in Table III).
The geographic comparison shows that, on
average, hospitals in both urban and rural
classifications would experience an increase
in capital IPPS payments per case in FY 2020
as compared to FY 2019. Capital IPPS
payments per case would increase by an
estimated 1.7 percent for hospitals in large
urban areas and by 1.8 percent for hospitals
in other urban areas, while payments to
hospitals in rural areas would increase by 3.1
percent in FY 2019 to FY 2020.
The comparisons by region show that the
estimated changes in capital payments per
case from FY 2019 to FY 2020 in urban areas
range from a 0.4 percent decrease for the New
England region to a 3.1 percent increase for
the East South Central region. For rural
regions, the Pacific rural region is projected
to experience an increase in capital IPPS
payments per case of 4.1 percent, while the
New England rural region is projected to
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experience an increase in capital IPPS
payments per case of 0.6 percent.
Hospitals of all types of ownership (that is,
voluntary hospitals, government hospitals,
and proprietary hospitals) are expected to
experience an increase in capital payments
per case from FY 2019 to FY 2020. The
projected increase in capital payments for
voluntary hospitals is estimated to be 1.8
percent. Proprietary hospitals and
government hospitals are expected to
experience an increase in capital IPPS
payments of 2.2 percent.
Section 1886(d)(10) of the Act established
the MGCRB. Hospitals may apply for
reclassification for purposes of the wage
index for FY 2020. Reclassification for wage
index purposes also affects the GAFs because
that factor is constructed from the hospital
wage index. To present the effects of the
hospitals being reclassified as of the
publication of this proposed rule for FY
2020, we show the proposed average capital
payments per case for reclassified hospitals
for FY 2020. Urban reclassified hospitals are
expected to experience an increase in capital
payments of 1.4 percent; urban
nonreclassified hospitals are expected to
experience an increase in capital payments of
2.1 percent. The estimated percentage
increase for rural reclassified hospitals is 2.6
percent, and for rural nonreclassified
hospitals, the estimated percentage increase
in capital payments is 3.9 percent.
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TABLE 111.-COMPARISON OF TOTAL PAYMENTS PER CASE
[FY 2019 PAYMENTS COMPARED To PROPOSED FY 2020 PAYMENTS]
Proposed
Average Proposed
Number of FY 2019
FY 2020 Percent
Hospitals !Payments/
Payments/ Change
Case
Case
Average
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All hospitals ............................................................................... .
Large urban areas (populations over 1 million) ......................... .
Other urban areas (populations of 1 million of fewer) ............... .
Urban hospitals .......................................................................... .
0-99 beds ................................................................................. .
100-199 beds ........................................................................... .
200-299 beds ........................................................................... .
300-499 beds ........................................................................... .
500 or more beds .................................................................... .
Rural hospitals ........................................................................... .
0-49 beds ................................................................................. .
50-99 beds ............................................................................... .
100-149 beds ........................................................................... .
150-199 beds ........................................................................... .
200 or more beds .................................................................... .
IBY Region:
Urban by Region
New England .......................................................................... .
Middle Atlantic ....................................................................... .
South Atlantic ......................................................................... .
East North Central .................................................................. .
East South Central .................................................................. .
West North Central ................................................................. .
West South Central ................................................................. .
Mountain ................................................................................. .
Pacific ..................................................................................... .
Rural by Region ......................................................................... .
New England .......................................................................... .
Middle Atlantic ....................................................................... .
South Atlantic ......................................................................... .
East North Central .................................................................. .
East South Central .................................................................. .
West North Central ................................................................. .
West South Central ................................................................. .
Mountain ................................................................................. .
Pacific ..................................................................................... .
IBY Payment Classification:
All hospitals ............................................................................... .
Large urban areas (populations over 1 million) ......................... .
Other urban areas (populations of 1 million of fewer) .............. .
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3,242
1,268
1,208
2,476
643
759
431
424
219
766
302
272
108
45
39
$967
$1,041
$965
$1,001
$811
$858
$928
$1,007
$1,197
$664
$558
$624
$655
$715
$783
$986
$1,059
$1,019
$983
$829
$875
$945
$1,026
$1,218
$684
$586
$644
$677
$734
$798
1.9
1.7
1.8
1.9
2.2
1.9
1.8
1.8
1.8
3.1
5.0
3.2
3.3
2.7
1.8
112
307
399
386
147
157
375
169
374
$1,118
$1,093
$888
$958
$843
$979
$914
$1,033
$1,270
$1,113
$1,107
$905
$974
$869
$1,005
$934
$1,049
$1,298
-0.4
1.3
1.9
1.7
3.1
2.6
2.2
1.6
2.2
20
53
120
114
150
93
142
50
24
$927
$651
$613
$672
$609
$698
$601
$761
$860
$932
$665
$633
$688
$633
$722
$623
$784
$895
0.6
2.1
3.1
2.4
4.0
3.4
3.7
3.0
4.1
1,283
905
$1,040
$929
$986
$1,058
1.9
1.7
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BILLING CODE 4120–01–C
J. Effects of Proposed Payment Rate Changes
and Proposed Policy Changes Under the
LTCH PPS
1. Introduction and General Considerations
In section VII. of the preamble of this
proposed rule and section V. of the
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Addendum to this proposed rule, we set forth
the proposed annual update to the payment
rates for the LTCH PPS for FY 2020. In the
preamble of this proposed rule, we specify
the statutory authority for the provisions that
are presented, identify the proposed policies,
and present rationales for our decisions as
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TABLE 111.-COMPARISON OF TOTAL PAYMENTS PER CASE
[FY 2019 PAYMENTS COMPARED To PROPOSED FY 2020 PAYMENTS]
Proposed
Average
Average Proposed
Number of FY 2019
FY 2020 Percent
Hospitals Payments/
Payments/ Change
Case
Case
Rural areas ..................................................................................
1,054
$895
$951
2.4
!reaching Status:
Non-teaching ...........................................................................
2,127
$820
$839
2.3
Fewer than 100 Residents ........................................................
865
$927
$944
1.8
250
$1,342
$1,365
1.7
100 or more Residents .............................................................
UrbanDSH:
Non-DSH ..............................................................................
538
$906
$924
2.0
1,393
$1,018
$1,038
2.0
100 or more beds ..................................................................
Less than 100 beds
352
$743
$759
2.2
Rural DSH:
Sole Community (SCH/EACH) ...........................................
256
$682
$706
3.6
Referral Center (RRC/EACH)
442
$956
$970
1.4
Other Rural:
31
$804
$809
0.7
100 or more beds ...............................................................
Less than 100 beds ............................................................
230
$547
$573
4.7
Urban teaching and DSH:
Both teaching and DSH ...........................................................
776
$1,087
$1,108
1.9
Teaching and no DSH ..............................................................
84
$984
$1,001
1.8
No teaching and DSH ..............................................................
969
$866
$885
2.1
No teaching and no DSH .........................................................
359
$868
$887
2.1
!Rural Hospital Types:
171
$692
$711
2.8
Plain Rural
SCH/EACH .............................................................................
380
$989
$1,003
1.4
305
$755
$780
3.2
SCH/EACH .............................................................................
143
$795
$811
2.1
SCH, RRC and EACH
~ospitals Reclassified by the Medicare Geographic Classification
!Review Board:
FY20 18 Reclassifications:
All Urban Reclassified .............................................................
679
$1,016
$1,031
1.4
All Urban Non-Reclassified ....................................................
1,753
$992
$1,013
2.1
All Rural Reclassified ..............................................................
278
$688
$706
2.6
All Rural Non-Reclassified ......................................................
441
$626
$650
3.9
Other Reclassified Hospitals (Section 1886(d)(8)(B)) ............
47
$677
$693
2.4
Type ofOwnership:
1.8
Voluntary .................................................................................
1,893
$981
$998
Proprietary ...............................................................................
852
$880
$899
2.2
Government .............................................................................
496
$1,009
$1,031
2.2
Medicare Utilization as a Percent of Inpatient Days:
0~5 ..........................................................................................
596
$1,106
$1,128
2.0
25-50 ........................................................................................
2,122
$965
$983
1.9
50-65 ........................................................................................
414
$788
$803
2.0
73
$577
$612
6.0
Over 65 ....................................................................................
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well as alternatives that were considered. In
this section of Appendix A to this proposed
rule, we discuss the impact of the proposed
changes to the payment rate, factors, and
other payment rate policies related to the
LTCH PPS that are presented in the preamble
of this proposed rule in terms of their
estimated fiscal impact on the Medicare
budget and on LTCHs.
There are 384 LTCHs included in this
impact analysis. We note that, although there
are currently approximately 394 LTCHs, for
purposes of this impact analysis, we
excluded the data of all-inclusive rate
providers consistent with the development of
the proposed FY 2020 MS–LTC–DRG relative
weights (discussed in section VII.B.3.c. of the
preamble of this proposed rule. Moreover, in
the claims data used for this proposed rule,
2 of these 384 LTCHs only have claims for
site neutral payment rate cases and,
therefore, do not affect our impact analysis
for LTCH PPS standard Federal payment rate
cases.) In the impact analysis, we used the
proposed payment rate, factors, and policies
presented in this proposed rule, the proposed
1.027 percent annual update to the LTCH
PPS standard Federal payment rate, the onetime budget neutrality adjustment factor for
the estimated cost of eliminating the 25percent threshold policy in FY 2020 as
discussed in section VII.D. of the preamble of
this proposed rule, the proposed update to
the MS–LTC–DRG classifications and relative
weights, the proposed update to the wage
index values and labor-related share, and the
best available claims and CCR data to
estimate the proposed change in payments
for FY 2020.
Under the dual rate LTCH PPS payment
structure, payment for LTCH discharges that
meet the criteria for exclusion from the site
neutral payment rate (that is, LTCH PPS
standard Federal payment rate cases) is based
on the LTCH PPS standard Federal payment
rate. Consistent with the statute, the site
neutral payment rate is the lower of the IPPS
comparable per diem amount as determined
under § 412.529(d)(4), including any
applicable outlier payments as specified in
§ 412.525(a), reduced by 4.6 percent for FYs
2018 through 2026; or 100 percent of the
estimated cost of the case as determined
under existing § 412.529(d)(2). In addition,
there are two separate high cost outlier
targets—one for LTCH PPS standard Federal
payment rate cases and one for site neutral
payment rate cases. The statute also
establishes a transitional payment method for
cases that are paid the site neutral payment
rate for LTCH discharges occurring in cost
reporting periods beginning during FY 2016
through FY 2019. The transitional payment
amount for site neutral payment rate cases is
a blended payment rate, which is calculated
as 50 percent of the applicable site neutral
payment rate amount for the discharge as
determined under § 412.522(c)(1) and 50
percent of the applicable LTCH PPS standard
Federal payment rate for the discharge
determined under § 412.523. For FY 2019,
the applicability of this transitional payment
method for site neutral payment rate cases is
dependent upon both the discharge date of
the case and the start date of the LTCH’s FY
2019 cost reporting period. Specifically, the
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transitional payment method only applies to
those site neutral payment rate cases whose
discharges occur during a LTCH’s cost
reporting period that begins before October 1,
2019. While the transitional payment amount
for site neutral payment rate cases is a
blended payment rate, which is calculated as
50 percent of the applicable site neutral
payment rate amount for the discharge as
determined under § 412.522(c)(1) and 50
percent of the applicable LTCH PPS standard
Federal payment rate for the discharge
determined under § 412.523, site neutral
payment rate cases whose discharges from an
LTCH occur during the LTCH’s cost reporting
period that begins on or after October 1, 2019
are paid the site neutral payment rate amount
determined under § 412.522(c)(1).
Based on the best available data for the 384
LTCHs in our database that were considered
in the analyses used for this proposed rule,
we estimate that overall LTCH PPS payments
in FY 2020 will increase by approximately
0.9 percent (or approximately $37 million)
based on the proposed rates and factors
presented in section VII. of the preamble and
section V. of the Addendum to this proposed
rule.
The statutory transitional payment method
for cases that are paid the site neutral
payment rate for LTCH discharges occurring
in cost reporting periods beginning during
FY 2018 or FY 2019 uses a blended payment
rate, which is determined as 50 percent of the
site neutral payment rate amount for the
discharge and 50 percent of the LTCH PPS
standard Federal prospective payment rate
amount for the discharge (§ 412.522(c)(3)).
Therefore, when estimating FY 2019 LTCH
PPS payments for site neutral payment rate
cases for this impact analysis, the transitional
blended payment rate was applied to all such
cases because all discharges in FY 2019 are
either in the LTCH’s cost reporting period
that began during FY 2018 or in the LTCH’s
cost reporting period that will begin during
FY 2019. However, when estimating FY 2020
LTCH PPS payments for site neutral payment
rate cases for this impact analysis, because
the statute specifies that the site neutral
payment rate effective date for a given LTCH
is based on the date that the LTCH’s cost
reporting period begins during FY 2020, we
included an adjustment to account for this
rolling effective date, consistent with the
general approach used for the LTCH PPS
impact analysis presented in the FY 2016
IPPS/LTCH PPS final rule (80 FR 49831).
This approach accounts for the fact that site
neutral payment rate cases in FY 2019 that
are in an LTCH’s cost reporting period that
begins before October 1, 2019 continue to be
paid under the transitional payment method
until the start of the LTCH’s first cost
reporting period beginning on or after
October 1, 2019. Site neutral payment rate
cases whose discharges from LTCHs
occurring during an LTCH’s cost reporting
period that begins on or after October 1, 2019
will no longer be paid under the transitional
payment method and will instead be paid the
site neutral payment rate amount as
determined under § 412.522(c)(1).
For purposes of this impact analysis, to
estimate proposed total FY 2020 LTCH PPS
payments for site neutral payment rate cases,
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we used the same general approach as was
used in the FY 2016 IPPS/LTCH PPS final
rule with modifications to account for the
rolling end date to the transitional blended
payment rate in FY 2020 instead of the
rolling effective date for implementation of
the transitional site neutral payment rate in
FY 2016. In summary, under this approach,
we grouped LTCHs based on the quarter their
cost reporting periods would begin during FY
2020. For example, LTCHs with cost
reporting periods that begin during October
through December 2019 would be grouped to
site neutral payment rate cases whose
discharges would occur during the first
quarter of FY 2020. For LTCHs grouped in
each quarter of FY 2020, we modeled those
LTCHs’ estimated FY 2020 site neutral
payment rate payments under the transitional
blended payment rate based on the quarter in
which the LTCHs in each group would
continue to be paid the transitional payment
method for the site neutral payment rate
cases.
For purposes of this estimate, then, we
assume the cost reporting period is the same
for all LTCHs in each of the quarterly groups
and that this cost reporting period begins on
the first day of that quarter. (For example, our
first group consists of 37 LTCHs whose cost
reporting period will begin in the first quarter
of FY 2020 so that, for purposes of this
estimate, we assume all 37 LTCHs will begin
their FY 2020 cost reporting period on
October 1, 2019.) Second, we estimated the
proportion of FY 2020 site neutral payment
rate cases in each of the quarterly groups, and
we then assume this proportion is applicable
for all four quarters of FY 2020. (For
example, as discussed in more detail below,
we estimate the first quarter group will
discharge 7.1 percent of all FY 2020 site
neutral payment rate cases and, therefore, we
estimate that group of LTCHs will discharge
7.1 percent of all FY 2018 site neutral
payment rate cases in each quarter of FY
2020.) Then, we modeled estimated FY 2020
payments on a quarterly basis under the
LTCH PPS standard Federal payment rate
based on the assumptions described above.
We continue to believe that this approach is
a reasonable means of taking the rolling
effective date into account when estimating
FY 2020 payments.
Based on the fiscal year begin date
information in the December 2018 update of
the PSF and the LTCH claims from the
December 2018 update of the FY 2018
MedPAR files for the 384 LTCHs in our
database used for this proposed rule, we
found the following: 7.1 percent of site
neutral payment rate cases are from 37
LTCHs whose cost reporting periods will
begin during the first quarter of FY 2020; 23.4
percent of site neutral payment rate cases are
from 94 LTCHs whose cost reporting periods
will begin in the second quarter of FY 2020;
9.3 percent of site neutral payment rate cases
are from 52 LTCHs whose cost reporting
periods will begin in the third quarter of FY
2020; and 60.3 percent of site neutral
payment rate cases are from 201 LTCHs
whose cost reporting periods will begin in
the fourth quarter of FY 2020. Therefore, the
following percentages apply in the approach
described above:
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• First Quarter FY 2020: 7.1 percent of site
neutral payment rate cases (that is, the
percentage of discharges from LTCHs whose
FY 2018 cost reporting period will begin in
the first quarter of FY 2020) are no longer
eligible for the transitional blended payment
method, while the remaining 92.9 percent of
site neutral payment rate discharges are
eligible to be paid under the transitional
payment method.
• Second Quarter FY 2020: 30.4 percent of
site neutral payment rate second quarter
discharges (that is, the percentage of
discharges from LTCHs whose FY 2020 cost
reporting period will begin in the first or
second quarter of FY 2020) are no longer
eligible for the transitional blended payment
method, while the remaining 69.6 percent of
site neutral payment rate second quarter
discharges are eligible to be paid under the
transitional payment method.
• Third Quarter FY 2020: 39.7 percent of
site neutral payment rate third quarter
discharges (that is, the percentage of
discharges from LTCHs whose FY 2020 cost
reporting period will begin in the first,
second, or third quarter of FY 2020) are no
longer eligible for the transitional blended
payment method while the remaining 60.3
percent of site neutral payment rate third
quarter discharges are eligible to be paid
under the transitional payment method.
• Fourth Quarter FY 2020: 100.0 percent of
site neutral payment rate fourth quarter
discharges (that is, the percentage of
discharges from LTCHs whose FY 2020 cost
reporting period will begin in the first,
second, third, or fourth quarter of FY 2020)
are no longer eligible for the transitional
blended payment method.
Based on the FY 2018 LTCH cases that
were used for the analysis in this proposed
rule, approximately 29 percent of those cases
were classified as site neutral payment rate
cases (that is, 29 percent of LTCH cases did
not meet the patient-level criteria for
exclusion from the site neutral payment rate).
Our Office of the Actuary currently estimates
that the percent of LTCH PPS cases that will
be paid at the site neutral payment rate in FY
2020 will not change significantly from the
most recent historical data. Taking into
account the transitional blended payment
rate and other changes that will apply to the
site neutral payment rate cases in FY 2020,
we estimate that aggregate LTCH PPS
payments for these site neutral payment rate
cases will decrease by approximately 4.9
percent (or approximately $41 million).
Approximately 71 percent of LTCH cases
are expected to meet the patient-level criteria
for exclusion from the site neutral payment
rate in FY 2020, and will be paid based on
the LTCH PPS standard Federal payment rate
for the full year. We estimate that total LTCH
PPS payments for these LTCH PPS standard
Federal payment rate cases in FY 2020 will
increase approximately 2.3 percent (or
approximately $79 million). This estimated
increase in LTCH PPS payments for LTCH
PPS standard Federal payment rate cases in
FY 2020 is primarily due to the proposed 2.7
percent annual update to the LTCH PPS
standard Federal payment rate for FY 2020
and the estimated 0.3 percent decrease in
high cost outlier payments discussed in
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section V.D.3.b.(3). of the Addendum to this
proposed rule.
Based on the 384 LTCHs that were
represented in the FY 2018 LTCH cases that
were used for the analyses in this proposed
rule presented in this Appendix, we estimate
that aggregate FY 2019 LTCH PPS payments
will be approximately $4.274 billion, as
compared to estimated aggregate FY 2020
LTCH PPS payments of approximately $4.311
billion, resulting in an estimated overall
increase in LTCH PPS payments of
approximately $37 million. We note that the
estimated $37 million increase in LTCH PPS
payments in FY 2020 does not reflect
changes in LTCH admissions or case-mix
intensity, which will also affect the overall
payment effects of the proposed policies in
this proposed rule.
The LTCH PPS standard Federal payment
rate for FY 2019 is $41,558.68. For FY 2020,
we are proposing to establish an LTCH PPS
standard Federal payment rate of $42,950.91
which reflects the proposed 2.7 percent
annual update to the LTCH PPS standard
Federal payment rate, the proposed one-time
budget neutrality adjustment factor of
0.999856 for eliminating the 25-percent
threshold policy in FY 2020 as discussed in
section VII.D. of the preamble of this
proposed rule, and the proposed area wage
budget neutrality factor of 1.0064747 to
ensure that the changes in the wage indexes
and labor-related share do not influence
aggregate payments. For LTCHs that fail to
submit data for the LTCH QRP, in accordance
with section 1886(m)(5)(C) of the Act, we are
proposing to establish an LTCH PPS standard
Federal payment rate of $42,114.47. This
proposed LTCH PPS standard Federal
payment rate reflects the proposed updates
and factors previously described, as well as
the required 2.0 percentage point reduction
to the annual update for failure to submit
data under the LTCH QRP. We note that the
factors previously described to determine the
proposed FY 2020 LTCH PPS standard
Federal payment rate are applied to the FY
2019 LTCH PPS standard Federal rate set
forth under § 412.523(c)(3)(xiv) (that is,
$41,558.68).
Table IV shows the estimated impact for
LTCH PPS standard Federal payment rate
cases. The estimated change attributable
solely to the proposed annual update of 2.7
percent to the LTCH PPS standard Federal
payment rate is projected to result in an
increase of 2.6 percent in payments per
discharge for LTCH PPS standard Federal
payment rate cases from FY 2019 to FY 2020,
on average, for all LTCHs (Column 6). In
addition to the proposed annual update to
the LTCH PPS standard Federal payment rate
for FY 2020, the estimated increase of 2.6
percent shown in Column 6 of Table IV also
includes estimated payments for SSO cases,
a portion of which are not affected by the
annual update to the LTCH PPS standard
Federal payment rate, as well as the
reduction that is applied to the annual
update for LTCHs that do not submit the
required LTCH QRP data. Therefore, for all
hospital categories, the projected increase in
payments based on the proposed LTCH PPS
standard Federal payment rate to LTCH PPS
standard Federal payment rate cases is
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somewhat less than the proposed 2.7 percent
annual update for FY 2020.
For FY 2020, we are proposing to update
the wage index values based on the most
recent available data, and we are proposing
to continue to use labor market areas based
on the CBSA delineations (as discussed in
section V.B. of the Addendum to this
proposed rule). In addition, we are proposing
the labor-related share would remain at 66.0
percent under the LTCH PPS for FY 2020,
based on the most recent available data on
the relative importance of the labor-related
share of operating and capital costs of the
2013-based LTCH market basket. We also are
proposing to apply a proposed area wage
level budget neutrality factor of 1.0064747 to
ensure that the changes to the wage data and
labor-related share do not result in any
change in estimated aggregate LTCH PPS
payments to LTCH PPS standard Federal
payment rate cases.
We currently estimate total high cost
outlier payments for LTCH PPS standard
Federal payment rate cases would decrease
from FY 2019 to FY 2020. Based on the FY
2018 LTCH cases that were used for the
analyses in this proposed rule, we estimate
that the FY 2019 high cost outlier threshold
of $27,121 (as established in the FY 2019
IPPS/LTCH PPS final rule correction notice)
would result in estimated high cost outlier
payments for LTCH PPS standard Federal
payment rate cases in FY 2019 that are
projected to exceed the 7.975 percent target.
Specifically, we currently estimate that high
cost outlier payments for LTCH PPS standard
Federal payment rate cases would be
approximately 8.24 percent of the estimated
total LTCH PPS standard Federal payment
rate payments in FY 2019. Combined with
our estimate that FY 2020 high cost outlier
payments for LTCH PPS standard Federal
payment rate cases would be 7.975 percent
of estimated total LTCH PPS standard
Federal payment rate payments in FY 2020,
this would result in an estimated decrease in
high cost outlier payments of approximately
0.3 percent between FY 2019 and FY 2020.
We note that, consistent with past practice,
in calculating these estimated high cost
outlier payments, we increased estimated
costs by an inflation factor of 6.0 percent
(determined by the Office of the Actuary) to
update the FY 2018 costs of each case to FY
2020.
Table IV shows the estimated impact of the
proposed payment rate and proposed policy
changes on LTCH PPS payments for LTCH
PPS standard Federal payment rate cases for
FY 2020 by comparing estimated FY 2019
LTCH PPS payments to estimated FY 2020
LTCH PPS payments. (As noted earlier, our
analysis does not reflect changes in LTCH
admissions or case-mix intensity.) We note
that these impacts do not include LTCH PPS
site neutral payment rate cases for the
reasons discussed in section I.J.4. of this
Appendix.
As we discuss in detail throughout this
proposed rule, based on the most recent
available data, we believe that the provisions
of this proposed rule relating to the LTCH
PPS, which are projected to result in an
overall increase in estimated aggregate LTCH
PPS payments, and the resulting LTCH PPS
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payment amounts would result in
appropriate Medicare payments that are
consistent with the statute.
2. Impact on Rural Hospitals
For purposes of section 1102(b) of the Act,
we define a small rural hospital as a hospital
that is located outside of an urban area and
has fewer than 100 beds. As shown in Table
IV, we are projecting a 2.2 percent increase
in estimated payments for LTCH PPS
standard Federal payment rate cases for
LTCHs located in a rural area. This estimated
impact is based on the FY 2018 data for the
19 rural LTCHs (out of 384 LTCHs) that were
used for the impact analyses shown in Table
IV.
3. Effect of Proposed Payment Adjustment for
LTCH Discharges That Do Not Meet the
Applicable Discharge Payment Percentage
In section VII.C. of the preamble of this
proposed rule, we discuss our proposal to
implement the requirements of section
1886(m)(6)(C)(ii) of the Act, which specifies
for cost reporting periods beginning on or
after October 1, 2019, any LTCH with a
discharge payment percentage for the period
that is not at least 50 percent will be
informed of such a fact, and all of the LTCH’s
discharges in each successive cost reporting
period will be paid the payment amount that
would apply under subsection (d) for the
discharge if the hospital were a subsection
(d) hospital, subject to the process for
reinstatement provided for by section
1886(m)(6)(C)(iii) of the Act. Specifically, we
are proposing to continue to use our existing
policy to calculate the discharge payment
percentage and to inform LTCHs when their
discharge payment percentage for the period
is not at least 50 percent. We also are
proposing that an LTCH would become
subject to this payment adjustment for each
cost reporting period after its calculated
discharge payment percentage that is not at
least 50 percent.
To establish a reinstatement process as
required by the statute, we are proposing that
the payment adjustment for an LTCH would
be discontinued beginning with the
discharges occurring in the cost reporting
period after the LTCH’s discharge payment
percentage is calculated to be at least 50
percent. Furthermore, we are proposing a
probationary-cure period that would allow an
LTCH the opportunity to have the payment
adjustment suspended for a cost reporting
period if, for the period of at least 5
consecutive months of the immediately
preceding 6-month period, the discharge
payment percentage is at least 50 percent.
Under the proposed probationary-cure
period, an LTCH would have an opportunity
to delay the application of the payment
adjustment until the end of the cost reporting
period, and waive the payment adjustment
for that cost reporting period if the discharge
payment percentage for that cost reporting
period is ultimately found to be at least 50
percent.
As noted above, under our proposal, an
LTCH would be first subject to a potential
payment adjustment based on the hospital’s
discharge payment percentage for its FY 2020
cost reporting period. Hospitals would be
notified of that percentage in FY 2021, with
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the payment adjustment taking effect in FY
2022. Therefore, we do not estimate any
effect on LTCH PPS payments until FY 2022.
Based on the most recent information
available at the time of development of this
proposed rule, we estimate that, for FY 2022,
our proposal would reduce Medicare
spending under the LTCH PPS by
approximately $60 million. While we expect
that there would be less than the maximum
estimated savings due to the proposed
inclusion of a provisional-cure period, at this
time we do not have a reliable estimate of the
effect of that policy on the estimated savings.
Based on the FY 2017 claims data (the
most recent set of full claims available), on
average, each discharge from an LTCH that
fails to meet the 50-percent patient discharge
threshold would result in a payment decrease
of approximately $20,200 for LTCH PPS
standard Federal payment rate discharges
and an estimated payment increase of
approximately $1,700 for site neutral
payment rate discharges. To estimate the
number of discharges, we assumed that
LTCHs that fail to meet the 50-percent
patient discharge threshold are those whose
discharge payment percentage is below 40
percent based on FY 2017 claims data. We
expect that an LTCH whose discharge
payment percentage is at least 40 percent
based on FY 2017 claims data will adjust its
admission/discharge practices, such that it
would no longer be below the 50-percent
patient discharge threshold. Applying our
actuary’s assumption of a 74-percent to 26percent split between LTCH PPS standard
Federal payment rate discharges and site
neutral payment rate discharges in FY 2022,
we estimate there would be 3,475 LTCH PPS
standard Federal payment rate discharges
and 8,670 site neutral payment rate
discharges. The FY 2017 estimate is inflated
to FY 2022, resulting in estimated savings of
$60 million (comprised of approximately $80
million in savings from LTCH PPS standard
Federal payment rate discharges and
approximately $20 million in costs from site
neutral payment rate discharges).
4. Anticipated Effects of Proposed LTCH PPS
Payment Rate Changes and Policy Changes
a. Budgetary Impact
Section 123(a)(1) of the BBRA requires that
the PPS developed for LTCHs ‘‘maintain
budget neutrality.’’ We believe that the
statute’s mandate for budget neutrality
applies only to the first year of the
implementation of the LTCH PPS (that is, FY
2003). Therefore, in calculating the FY 2003
standard Federal payment rate under
§ 412.523(d)(2), we set total estimated
payments for FY 2003 under the LTCH PPS
so that estimated aggregate payments under
the LTCH PPS were estimated to equal the
amount that would have been paid if the
LTCH PPS had not been implemented.
Section 1886(m)(6)(A) of the Act
establishes a dual rate LTCH PPS payment
structure with two distinct payment rates for
LTCH discharges beginning in FY 2016.
Under this statutory change, LTCH
discharges that meet the patient-level criteria
for exclusion from the site neutral payment
rate (that is, LTCH PPS standard Federal
payment rate cases) are paid based on the
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LTCH PPS standard Federal payment rate.
LTCH discharges paid at the site neutral
payment rate are generally paid the lower of
the IPPS comparable per diem amount,
reduced by 4.6 percent for FYs 2018 through
2026, including any applicable HCO
payments, or 100 percent of the estimated
cost of the case, reduced by 4.6 percent. The
statute also establishes a transitional
payment method for cases that are paid at the
site neutral payment rate for LTCH
discharges occurring in cost reporting
periods beginning during FY 2016 through
FY 2019, under which the site neutral
payment rate cases are paid based on a
blended payment rate calculated as 50
percent of the applicable site neutral
payment rate amount for the discharge and
50 percent of the applicable LTCH PPS
standard Federal payment rate for the
discharge.
As discussed in section I.J. of this
Appendix, we project an increase in
aggregate LTCH PPS payments in FY 2020 of
approximately $37 million. This estimated
increase in payments reflects the projected
increase in payments to LTCH PPS standard
Federal payment rate cases of approximately
$79 million and the projected decrease in
payments to site neutral payment rate cases
of approximately $41 million under the dual
rate LTCH PPS payment rate structure
required by the statute beginning in FY 2016.
As discussed in section V.D. of the
Addendum to this proposed rule, our
actuaries project cost and resource changes
for site neutral payment rate cases due to the
site neutral payment rates required under the
statute. Specifically, our actuaries project
that the costs and resource use for cases paid
at the site neutral payment rate will likely be
lower, on average, than the costs and
resource use for cases paid at the LTCH PPS
standard Federal payment rate, and will
likely mirror the costs and resource use for
IPPS cases assigned to the same MS–DRG.
While we are able to incorporate this
projection at an aggregate level into our
payment modeling, because the historical
claims data that we are using in this
proposed rule to project estimated FY 2020
LTCH PPS payments (that is, FY 2018 LTCH
claims data) do not reflect this actuarial
projection, we are unable to model the
impact of the proposed change in LTCH PPS
payments for site neutral payment rate cases
at the same level of detail with which we are
able to model the impacts of the proposed
changes to LTCH PPS payments for LTCH
PPS standard Federal payment rate cases.
Therefore, Table IV only reflects proposed
changes in LTCH PPS payments for LTCH
PPS standard Federal payment rate cases
and, unless otherwise noted, the remaining
discussion in section I.J.4. of this Appendix
refers only to the impact on proposed LTCH
PPS payments for LTCH PPS standard
Federal payment rate cases. In the following
section, we present our provider impact
analysis for the proposed changes that affect
LTCH PPS payments for LTCH PPS standard
Federal payment rate cases.
b. Impact on Providers
The basic methodology for determining a
per discharge payment for LTCH PPS
standard Federal payment rate cases is
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currently set forth under §§ 412.515 through
412.533 and 412.535. In addition to adjusting
the LTCH PPS standard Federal payment rate
by the MS–LTC–DRG relative weight, we
make adjustments to account for area wage
levels and SSOs. LTCHs located in Alaska
and Hawaii also have their payments
adjusted by a COLA. Under our application
of the dual rate LTCH PPS payment structure,
the LTCH PPS standard Federal payment rate
is generally only used to determine payments
for LTCH PPS standard Federal payment rate
cases (that is, those LTCH PPS cases that
meet the statutory criteria to be excluded
from the site neutral payment rate). LTCH
discharges that do not meet the patient-level
criteria for exclusion are paid the site neutral
payment rate, which we are calculating as the
lower of the IPPS comparable per diem
amount as determined under § 412.529(d)(4),
reduced by 4.6 percent for FYs 2018 through
2026, including any applicable outlier
payments, or 100 percent of the estimated
cost of the case as determined under existing
§ 412.529(d)(2). In addition, when certain
thresholds are met, LTCHs also receive HCO
payments for both LTCH PPS standard
Federal payment rate cases and site neutral
payment rate cases that are paid at the IPPS
comparable per diem amount.
To understand the impact of the proposed
changes to the LTCH PPS payments for LTCH
PPS standard Federal payment rate cases
presented in this proposed rule on different
categories of LTCHs for FY 2020, it is
necessary to estimate payments per discharge
for FY 2019 using the rates, factors, and the
policies established in the FY 2019 IPPS/
LTCH PPS final rule and estimate payments
per discharge for FY 2020 using the proposed
rates, factors, and the policies in this FY 2020
IPPS/LTCH PPS proposed rule (as discussed
in section VII. of the preamble of this
proposed rule and section V. of the
Addendum to this proposed rule). As
discussed elsewhere in this proposed rule,
these estimates are based on the best
available LTCH claims data and other factors,
such as the application of inflation factors to
estimate costs for HCO cases in each year.
The resulting analyses can then be used to
compare how our policies applicable to
LTCH PPS standard Federal payment rate
cases affect different groups of LTCHs.
For the following analysis, we group
hospitals based on characteristics provided
in the OSCAR data, cost report data in
HCRIS, and PSF data. Hospital groups
included the following:
• Location: Large urban/other urban/rural.
• Participation date.
• Ownership control.
• Census region.
• Bed size.
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17:51 May 02, 2019
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c. Calculation of Proposed LTCH PPS
Payments for LTCH PPS Standard Federal
Payment Rate Cases
For purposes of this impact analysis, to
estimate the per discharge payment effects of
our proposed policies on proposed payments
for LTCH PPS standard Federal payment rate
cases, we simulated FY 2019 and proposed
FY 2020 payments on a case-by-case basis
using historical LTCH claims from the FY
2018 MedPAR files that met or would have
met the criteria to be paid at the LTCH PPS
standard Federal payment rate if the statutory
patient-level criteria had been in effect at the
time of discharge for all cases in the FY 2018
MedPAR files. For modeling FY 2019 LTCH
PPS payments, we used the FY 2019 standard
Federal payment rate of $41,558.68 (or
$40,738.57 for LTCHs that failed to submit
quality data as required under the
requirements of the LTCH QRP). Similarly,
for modeling payments based on the
proposed FY 2020 LTCH PPS standard
Federal payment rate, we used the proposed
FY 2020 standard Federal payment rate of
$42,950.91 (or $42,114.47 for LTCHs that
failed to submit quality data as required
under the requirements of the LTCH QRP). In
each case, we applied the applicable
adjustments for area wage levels and the
COLA for LTCHs located in Alaska and
Hawaii. Specifically, for modeling FY 2019
LTCH PPS payments, we used the current FY
2019 labor-related share (66.0 percent), the
wage index values established in the Tables
12A and 12B listed in the Addendum to the
FY 2019 IPPS/LTCH PPS final rule (which
are available via the internet on the CMS
website), the FY 2019 HCO fixed-loss amount
for LTCH PPS standard Federal payment rate
cases of $27,121 (as reflected in the FY 2019
IPPS/LTCH PPS correction notice to the final
rule), and the FY 2019 COLA factors (shown
in the table in section V.C. of the Addendum
to that final rule) to adjust the FY 2019
nonlabor-related share (34.0 percent) for
LTCHs located in Alaska and Hawaii.
Similarly, for modeling proposed FY 2020
LTCH PPS payments, we used the proposed
FY 2020 LTCH PPS labor-related share (66.0
percent), the proposed FY 2020 wage index
values from Tables 12A and 12B listed in
section VI. of the Addendum to this proposed
rule (which are available via the internet on
the CMS website), the proposed FY 2020
fixed-loss amount for LTCH PPS standard
Federal payment rate cases of $29,997 (as
discussed in section V.D.3. of the Addendum
to this proposed rule), and the proposed FY
2020 COLA factors (shown in the table in
section V.C. of the Addendum to this
proposed rule) to adjust the FY 2020
nonlabor-related share (34.0 percent) for
LTCHs located in Alaska and Hawaii. We
note that in modeling payments for HCO
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cases for LTCH PPS standard Federal
payment rate cases, we applied an inflation
factor of 2.7 percent (determined by the
Office of the Actuary) to update the FY 2018
costs of each case to FY 2019, and an
inflation factor of 6.0 percent (determined by
the Office of the Actuary) to update the FY
2018 costs of each case to FY 2020.
The impacts that follow reflect the
estimated ‘‘losses’’ or ‘‘gains’’ among the
various classifications of LTCHs from FY
2019 to FY 2020 based on the proposed
payment rates and proposed policy changes
applicable to LTCH PPS standard Federal
payment rate cases presented in this
proposed rule. Table IV illustrates the
estimated aggregate impact of the proposed
change in LTCH PPS payments for LTCH PPS
standard Federal payment rate cases among
various classifications of LTCHs. (As
discussed previously, these impacts do not
include LTCH PPS site neutral payment rate
cases.)
• The first column, LTCH Classification,
identifies the type of LTCH.
• The second column lists the number of
LTCHs of each classification type.
• The third column identifies the number
of LTCH cases expected to meet the LTCH
PPS standard Federal payment rate criteria.
• The fourth column shows the estimated
FY 2019 payment per discharge for LTCH
cases expected to meet the LTCH PPS
standard Federal payment rate criteria (as
described previously).
• The fifth column shows the estimated FY
2020 payment per discharge for LTCH cases
expected to meet the LTCH PPS standard
Federal payment rate criteria (as described
previously).
• The sixth column shows the percentage
change in estimated payments per discharge
for LTCH cases expected to meet the LTCH
PPS standard Federal payment rate criteria
from FY 2019 to FY 2020 due to the proposed
annual update to the standard Federal rate
(as discussed in section V.A.2. of the
Addendum to this proposed rule).
• The seventh column shows the
percentage change in estimated payments per
discharge for LTCH PPS standard Federal
payment rate cases from FY 2019 to FY 2020
for proposed changes to the area wage level
adjustment (that is, the wage indexes and the
labor-related share), including the
application of the proposed area wage level
budget neutrality factor (as discussed in
section V.B. of the Addendum to this
proposed rule).
• The eighth column shows the percentage
change in estimated payments per discharge
for LTCH PPS standard Federal payment rate
cases from FY 2019 (Column 4) to FY 2020
(Column 5) for all proposed changes.
BILLING CODE 4120–01–P
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03MYP2
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VerDate Sep<11>2014
Change
Due to
Change
to the
Proposed
Annual
Update to
the
Standard
Federal
Rate2
(6)
2.6
Percent
Change
Due to
Changes to
Proposed
Area Wage
Adjustment
with Wage
Budget
Neutrality3
(7)
0.0
Percent
Change
Due to All
Proposed
Standard
Payment
Rate
Changes 4
(8)
2.3
19
365
180
185
2,597
69,778
37,654
32,124
$38,012
$47,824
$51,477
$43,543
$38,835
$48,923
$52,614
$44,597
2.6
2.6
2.6
2.6
0.4
0.0
-0.1
0.1
2.2
2.3
2.2
2.4
44
9,280
2,603
33,689
26,803
$53,667
$45,098
$45,974
$47,441
$54,747
$46,275
$47,081
$48,503
2.6
2.6
2.6
2.6
-0.1
0.1
0.1
-0.1
2.0
2.6
2.4
2.2
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Number
ofLTCH
PPS
Standard
Payment
Rate
Cases
(3)
72,375
Average
FY 2019
LTCH
PPS
Payment
Per
Standard
Payment
Rate
(4)
$47,472
Average
Proposed
FY 2020
LTCH
PPS
Payment
Per
Standard
Payment
Rate 1
(5)
$48,561
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L TCH Classification
(1)
ALL PROVIDERS
E:\FR\FM\03MYP2.SGM
BY LOCATION:
RURAL
URBAN
LARGE
OTHER
03MYP2
BY PARTICIPATION DATE:
BEFORE OCT.1983
OCT. 1983- SEPT. 1993
OCT. 1993- SEPT. 2002
AFTER OCTOBER 2002
No. of
LTCHS
(2)
384
13
176
151
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17:51 May 02, 2019
TABLE IV: IMPACT OF PROPOSED PAYMENT RATE AND PROPOSED POLICY CHANGES TO LTCH PPS
PAYMENTS FOR LTCH PPS STANDARD FEDERAL PAYMENT RATE CASES FOR
FY 2020 (ESTIMATED FY 2019 PAYMENTS COMPARED TO ESTIMATED PROPOSED FY 2020 PAYMENTS)
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VerDate Sep<11>2014
Percent
Change
Due to
Changes to
Proposed
Area Wage
Adjustment
with Wage
Budget
Neutrality3
(7)
Percent
Change
Due to All
Proposed
Standard
Payment
Rate
Changes 4
(8)
75
295
14
10,389
60,235
1,751
$48,981
$47,038
$53,457
$50,195
$48,099
$54,769
2.6
2.6
2.6
0.0
0.0
0.2
2.5
2.3
2.5
BY REGION:
NEW ENGLAND
MIDDLE ATLANTIC
SOUTH ATLANTIC
EAST NORTH CENTRAL
EAST SOUTH CENTRAL
WEST NORTH CENTRAL
WEST SOUTH CENTRAL
MOUNTAIN
PACIFIC
10
25
63
25
64
32
Ill
30
24
2,464
5,838
11,172
4,317
13,723
5,929
18,098
3,711
7,123
$44,497
$53,511
$46,241
$45,234
$47,533
$42,496
$42,138
$48,643
$63,806
$45,491
$54,692
$47,404
$46,315
$48,560
$43,465
$43,098
$49,728
$65,297
2.6
2.6
2.6
2.6
2.6
2.6
2.6
2.6
2.6
-0.2
-0.2
0.0
0.2
-0.1
0.0
0.1
0.1
-0.1
2.2
2.2
2.5
2.4
2.2
2.3
2.3
2.2
2.3
BY BED SIZE:
BEDS: 0-24
40
4,471
$45,935
$47,272
2.6
0.5
2.9
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E:\FR\FM\03MYP2.SGM
03MYP2
EP03MY19.055
L TCH Classification
(1)
BY OWNERSHIP TYPE:
VOLUNTARY
PROPRIETARY
GOVERNMENT
No. of
LTCHS
(2)
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Change
Due to
Change
to the
Proposed
Annual
Update to
the
Standard
Federal
Rate2
(6)
17:51 May 02, 2019
Number
ofLTCH
PPS
Standard
Payment
Rate
Cases
(3)
Average
FY 2019
LTCH
PPS
Payment
Per
Standard
Payment
Rate
(4)
Average
Proposed
FY 2020
LTCH
PPS
Payment
Per
Standard
Payment
Rate 1
(5)
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d. Results
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03MYP2
1
25-49
50-74
75-124
125-199
200+
(3)
25,525
17,861
12,261
7,759
4,498
Percent
Change
Due to
Changes to
Proposed
Area Wage
Adjustment
with Wage
Budget
Neutrality3
(7)
0.0
-0.2
0.0
0.1
0.0
Percent
Change
Due to All
Proposed
Standard
Payment
Rate
Changes 4
(8)
2.2
2.2
2.5
2.3
2.5
Estimated FY 2020 L TCH PPS payments for LTCH PPS standard Federal payment rate criteria based on the proposed payment rate and factor changes
applicable to such cases presented in the preamble of and the Addendum to this proposed rule.
2
Percent change in estimated payments per discharge for L TCH PPS standard Federal payment rate cases from FY 2019 to FY 2020 for the proposed annual
update to the L TCH PPS standard Federal payment rate.
3
Percent change in estimated payments per discharge for L TCH PPS standard Federal payment rate cases from FY 2019 to FY 2020 for proposed changes to the
area wage level adjustment under§ 412.525(c) (as discussed in section V.B. of the Addendum to this proposed rule).
4
Percent change in estimated payments per discharge for LTCH PPS standard Federal payment rate cases fromFY 2019 (shown in Colunm 4) to FY 2020
(shown in Colunm 5), including all of the proposed changes to the rates and factors applicable to such cases presented in the preamble and the Addendum to this
proposed rule. We note that this colunm, which shows the proposed percent change in estimated payments per discharge for all proposed changes, does not equal
the sum of the proposed percent changes in estimated payments per discharge for the proposed annual update to the L TCH PPS standard Federal payment rate
(Colunm 6) and the proposed changes to the area wage level adjustment with budget neutrality (Colunm 7) due to the effect of estimated changes in estimated
payments to aggregate HCO payments for LTCH PPS standard Federal payment rate cases (as discussed in this impact analysis), as well as other interactive
effects that cannot be isolated.
19669
projected to increase 2.3 percent, on average,
for all LTCHs from FY 2019 to FY 2020 as
a result of the proposed payment rate and
proposed policy changes applicable to LTCH
PPS standard Federal payment rate cases
presented in this proposed rule. This
estimated 2.3 percent increase in LTCH PPS
E:\FR\FM\03MYP2.SGM
in Table IV) of the proposed LTCH PPS
payment rate and proposed policy changes
for LTCH PPS standard Federal payment rate
cases presented in this proposed rule. The
impact analysis in Table IV shows that
estimated payments per discharge for LTCH
PPS standard Federal payment rate cases are
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BEDS:
BEDS:
BEDS:
BEDS:
BEDS:
No. of
LTCHS
(2)
174
93
44
24
9
Change
Due to
Change
to the
Proposed
Annual
Update to
the
Standard
Federal
Rate2
(6)
2.6
2.6
2.6
2.6
2.6
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17:51 May 02, 2019
Based on the FY 2018 LTCH cases (from
384 LTCHs) that were used for the analyses
in this proposed rule, we have prepared the
following summary of the impact (as shown
VerDate Sep<11>2014
EP03MY19.056
L TCH Classification
Number
ofLTCH
PPS
Standard
Payment
Rate
Cases
Average
FY 2019
LTCH
PPS
Payment
Per
Standard
Payment
Rate
(4)
$44,098
$49,193
$51,271
$47,914
$50,197
Average
Proposed
FY 2020
LTCH
PPS
Payment
Per
Standard
Payment
Rate 1
(5)
$45,049
$50,258
$52,537
$49,010
$51,431
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payments per discharge was determined by
comparing estimated FY 2020 LTCH PPS
payments (using the proposed payment rates
and factors discussed in this proposed rule)
to estimated FY 2019 LTCH PPS payments
for LTCH discharges which would be LTCH
PPS standard Federal payment rate cases if
the dual rate LTCH PPS payment structure
was or had been in effect at the time of the
discharge (as described in section I.J.4. of this
Appendix).
As stated previously, we are proposing to
update the LTCH PPS standard Federal
payment rate for FY 2020 by 2.7 percent. For
LTCHs that fail to submit quality data under
the requirements of the LTCH QRP, as
required by section 1886(m)(5)(C) of the Act,
a 2.0 percentage point reduction is applied to
the annual update to the LTCH PPS standard
Federal payment rate. In addition, we are
proposing to apply the one-time budget
neutrality adjustment factor of 0.999856 for
the cost of eliminating the 25-percent
threshold policy in FY 2020 as discussed in
section VII.D. of the preamble of this
proposed rule. Consistent with
§ 412.523(d)(4), we also are proposing to
apply an area wage level budget neutrality
factor to the proposed FY 2020 LTCH PPS
standard Federal payment rate of 1.0064747,
based on the best available data at this time,
to ensure that any proposed changes to the
area wage level adjustment (that is, the
proposed annual update of the wage index
values and labor-related share) will not result
in any change (increase or decrease) in
estimated aggregate LTCH PPS standard
Federal payment rate payments. As we also
explained earlier in this section, for most
categories of LTCHs (as shown in Table IV,
Column 6), the estimated payment increase
due to the proposed 2.7 percent annual
update to the LTCH PPS standard Federal
payment rate is projected to result in
approximately a 2.6 percent increase in
estimated payments per discharge for LTCH
PPS standard Federal payment rate cases for
all LTCHs from FY 2019 to FY 2020. This is
because our estimate of the proposed changes
in payments due to the proposed update to
the LTCH PPS standard Federal payment rate
also reflects estimated payments for SSO
cases that are paid using a methodology that
is not entirely affected by the update to the
LTCH PPS standard Federal payment rate.
Consequently, for certain hospital categories,
we estimate that payments to LTCH PPS
standard Federal payment rate cases may
increase by less than 2.7 percent due to the
proposed annual update to the LTCH PPS
standard Federal payment rate for FY 2020.
(1) Location
Based on the most recent available data,
the vast majority of LTCHs are located in
urban areas. Only approximately 5 percent of
the LTCHs are identified as being located in
a rural area, and approximately 4 percent of
all LTCH PPS standard Federal payment rate
cases are expected to be treated in these rural
hospitals. The impact analysis presented in
Table IV shows that the proposed overall
average percent increase in estimated
payments per discharge for LTCH PPS
standard Federal payment rate cases from FY
2019 to FY 2020 for all hospitals is 2.3
percent. For rural LTCHs, estimated
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payments for LTCH PPS standard Federal
payment rate cases are expected to increase
2.2 percent. For urban LTCHs, we estimate an
increase of 2.3 percent from FY 2019 to FY
2020. Among the urban LTCHs, large urban
LTCHs are projected to experience an
increase of 2.2 percent in estimated payments
per discharge for LTCH PPS standard Federal
payment rate cases from FY 2019 to FY 2020,
and such payments for the remaining urban
LTCHs are projected to increase 2.4 percent,
as shown in Table IV.
(4) Census Region
(2) Participation Date
(5) Bed Size
LTCHs are grouped by participation date
into four categories: (1) Before October 1983;
(2) between October 1983 and September
1993; (3) between October 1993 and
September 2002; and (4) October 2002 and
after. Based on the most recent available data,
the categories of LTCHs with the largest
expected percentage of LTCH PPS standard
Federal payment rate cases (approximately
47 percent) are in LTCHs that began
participating in the Medicare program
between October 1993 and September 2002,
and they are projected to experience a 2.4
percent increase in estimated payments per
discharge for LTCH PPS standard Federal
payment rate cases from FY 2019 to FY 2020,
as shown in Table IV.
Approximately 11 percent of LTCHs began
participating in the Medicare program before
October 1983, and these LTCHs are projected
to experience an average percent increase of
2.0 percent in estimated payments per
discharge for LTCH PPS standard Federal
payment rate cases from FY 2019 to FY 2020.
Approximately 3 percent of LTCHs began
participating in the Medicare program
between October 1983 and September 1993,
and these LTCHs are projected to experience
an increase of 2.6 percent in estimated
payments for LTCH PPS standard Federal
payment rate cases from FY 2019 to FY 2020.
LTCHs that began participating in the
Medicare program after October 1, 2002,
which treat approximately 37 percent of all
LTCH PPS standard Federal payment rate
cases, are projected to experience a 2.2
percent increase in estimated payments from
FY 2019 to FY 2020.
LTCHs are grouped into six categories
based on bed size: 0–24 beds; 25–49 beds;
50–74 beds; 75–124 beds; 125–199 beds; and
greater than 200 beds. We project that LTCHs
with 0–24 beds will experience the largest
increase in payments for LTCH PPS standard
Federal payment rate cases of 2.9 percent.
LTCHs with 25–49 beds and 50–74 beds are
both projected to experience an increase of
2.2 percent. LTCHs with 75–124 beds and
LTCHs with 200+ beds are both projected to
experience an increase of 2.5 percent. LTCHs
with 125–199 beds are projected to
experience an increase in payments of 2.3
percent.
(3) Ownership Control
LTCHs are grouped into three categories
based on ownership control type: voluntary,
proprietary, and government. Based on the
most recent available data, approximately 20
percent of LTCHs are identified as voluntary
(Table IV). The majority (approximately 77
percent) of LTCHs are identified as
proprietary, while government owned and
operated LTCHs represent approximately 4
percent of LTCHs. Based on ownership type,
voluntary LTCHs are expected to experience
a 2.5 percent increase in payments to LTCH
PPS standard Federal payment rate cases,
while proprietary LTCHs are expected to
experience an average increase of 2.3 percent
in payments to LTCH PPS standard Federal
payment rate cases. Government owned and
operated LTCHs, meanwhile, are expected to
experience a 2.5 percent increase in
payments to LTCH PPS standard Federal
payment rate cases from FY 2019 to FY 2020.
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Estimated payments per discharge for
LTCH PPS standard Federal payment rate
cases for FY 2020 are projected to increase
across all census regions. LTCHs located in
the South Atlantic are projected to
experience the largest increase at 2.5 percent
followed by the East North Central at 2.4
percent. The remaining regions are projected
to increase by either 2.2 or 2.3 percent. These
regional variations are largely due to
proposed updates in the wage index.
5. Effect on the Medicare Program
As stated previously, we project that the
provisions of this proposed rule would result
in an increase in estimated aggregate LTCH
PPS payments to LTCH PPS standard Federal
payment rate cases in FY 2020 relative to FY
2019 of approximately $79 million (or
approximately 2.3 percent) for the 384
LTCHs in our database. Although, as stated
previously, the hospital-level impacts do not
include LTCH PPS site neutral payment rate
cases, we estimate that the provisions of this
proposed rule would result in a decrease in
estimated aggregate LTCH PPS payments to
site neutral payment rate cases in FY 2020
relative to FY 2019 of approximately $41
million (or approximately ¥4.9 percent) for
the 384 LTCHs in our database. Therefore, we
project that the provisions of this proposed
rule would result in an increase in estimated
aggregate LTCH PPS payments for all LTCH
cases in FY 2020 relative to FY 2019 of
approximately $37 million (or approximately
0.9 percent) for the 384 LTCHs in our
database.
6. Effect on Medicare Beneficiaries
Under the LTCH PPS, hospitals receive
payment based on the average resources
consumed by patients for each diagnosis. We
do not expect any changes in the quality of
care or access to services for Medicare
beneficiaries as a result of this proposed rule,
but we continue to expect that paying
prospectively for LTCH services will enhance
the efficiency of the Medicare program. As
discussed above, we do not expect the
continued implementation of the site neutral
payment system to have a negative impact on
access to or quality of care, as demonstrated
in areas where there is little or no LTCH
presence, general short-term acute care
hospitals are effectively providing treatment
for the same types of patients that are treated
in LTCHs.
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K. Effects of Proposed Requirements for the
Hospital Inpatient Quality Reporting (IQR)
Program
In section VIII.A. of the preamble of this
proposed rule, we discuss our current and
proposed requirements for hospitals to report
quality data under the Hospital IQR Program
in order to receive the full annual percentage
increase for the FY 2021 payment
determination and subsequent years.
In this proposed rule, we are proposing to:
(1) Adopt two new opioid-related eCQMs,
Safe Use of Opioids—Concurrent Prescribing
eCQM (NQF #3316e) and Hospital Harm—
Opioid-Related Adverse Events eCQM,
beginning with the CY 2021 reporting period/
FY 2023 payment determination; (2) adopt
the Hybrid Hospital-Wide Readmission
Measure with Claims and Electronic Health
Record Data (Hybrid HWR measure) (NQF
#2879) in a stepwise manner, beginning with
two years of voluntary reporting periods
which would run from July 1, 2021 through
June 30, 2022, and from July 1, 2022 through
June 30, 2023, before requiring reporting of
the measure for the reporting period that
would run from July 1, 2023 through June 30,
2024, impacting the FY 2026 payment
determination and subsequent years; (3)
remove the Claims-Based Hospital-Wide AllCause Unplanned Readmission Measure
(NQF #1789) (HWR claims-only measure)
beginning with the FY 2026 payment
determination; (4) extend the current eCQM
reporting and submission requirements for
the CY 2020 reporting period/FY 2022
payment determination and CY 2021
reporting period/FY 2023 payment
determination; (5) change the eCQM
reporting and submission requirements for
the CY 2022 reporting period/FY 2024
payment determination, such that hospitals
would be required to report one, self-selected
calendar quarter of data for: (a) Three selfselected eCQMs, and (b) the proposed Safe
Use of Opioids—Concurrent Prescribing
eCQM (NQF #3316e), for a total of four
eCQMs; (6) continue requiring that EHRs be
certified to all available eCQMs used in the
Hospital IQR Program for the CY 2020
reporting period/FY 2022 payment
determination and subsequent years; and (7)
establish reporting and submission
requirements for the Hybrid HWR measure.
We estimate a total information collection
burden increase of 2,211 hours (associated
with our proposal to adopt the Hybrid HWR
measure) and a total cost increase related to
information collection of approximately
$83,266 (due to this proposal and our
updated hourly wage plus benefits estimate),
beginning with the first voluntary reporting
period, which runs from July 1, 2021 through
June 30, 2022. We refer readers to section
X.B.3. of the preamble of this proposed rule
(information collection requirements) for a
detailed discussion of the calculations
estimating the changes to the burden for
submitting data to the Hospital IQR Program.
With regard to our proposals to add two
new opioid-related eCQMs to the eCQM
measure set, while we expect no change to
the information collection burden for the
Hospital IQR Program as discussed in section
X.B.3.b. of the preamble of this proposed rule
because we are also propos eCQM reporting
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requirements such that the total number of
eCQMs that would be reported and the total
quarters of data would remain unchanged
from previously finalized requirements, we
expect some investment in EHR system
updates. We are also proposing that hospitals
use certified electronic heath record
technology (CEHRT) that are certified to
report all available eCQMs. We expect no
change to the information collection burden
for the Hospital IQR Program as discussed in
section X.B.3.e.(3) of the preamble of this
proposed rule because this policy does not
require hospitals to submit new data to CMS
and we do not require CEHRT to be
recertified each time it is updated to a more
recent version of the eCQM electronic
specifications. However, for certifying new
eCQMs in the eCQM measure set, we expect
some costs for hospitals and EHR vendors in
certifying the two new proposed eCQMs so
that hospitals have the option to report the
new eCQMs if they are finalized. For all of
these proposals, due to the differences in the
build of respective CEHRT deployed in
hospitals, the mapping required to capture
required data for measure calculation, and
the range of hospital participation in the
development, implementation, and testing of
new CEHRT functionality, an estimated cost
impact of the proposals is not quantifiable as
it will vary by CEHRT and hospital.
Historically, 100 hospitals, on average, that
participate in the Hospital IQR Program do
not receive the full annual percentage
increase in any fiscal year due to the failure
to meet all requirements of this Program. We
anticipate that the number of hospitals not
receiving the full annual percentage increase
will be approximately the same as in past
years.
L. Effects of Proposed Requirements for the
PPS-Exempt Cancer Hospital Quality
Reporting (PCHQR) Program
In section VIII.B. of the preamble of this
proposed rule, we discuss our proposed
policies for the quality data reporting
program for PPS-exempt cancer hospitals
(PCHs), which we refer to as the PPS-Exempt
Cancer Hospital Quality Reporting (PCHQR)
Program. The PCHQR Program is authorized
under section 1866(k) of the Act, which was
added by section 3005 of the Affordable Care
Act. There is no financial impact to PCH
Medicare reimbursement if a PCH does not
submit data.
In section VIII.B.3.b. of the preamble of this
proposed rule, we are proposing to remove
one web-based, structural measure beginning
with the FY 2022 program year: External
Beam Radiotherapy (EBRT) for Bone
Metastases (formerly NQF #1822). In
addition, in section VIII.B.4. of the preamble
of this proposed rule, we are proposing to
adopt a claims-based measure for the FY
2022 program year and subsequent years:
Surgical Treatment Complications for
Localized Prostate Cancer.
As explained in section X.B.4. of the
preamble of this proposed rule, we anticipate
that the proposed removal of the External
Beam Radiotherapy (EBRT) for Bone
Metastases (formerly NQF #1822) measure
will reduce the overall burden on
participating PCHs by 15-mins per PCH. We
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19671
estimate a total annual reduction of
approximately 3 hours for all 11 PCHs (15
minutes × 11 PCHs/60 minutes per hour),
due to the proposed removal of this measure.
We do not anticipate any change in burden
on the PCHs associated with our proposed
adoption of the Surgical Treatment
Complications for Localized Prostate Cancer
measure into the PCHQR Program beginning
with the FY 2022 program year. This measure
is claims-based and does not require PCHs to
report any additional data beyond that
already submitted on Medicare
administrative claims for payment purposes.
Therefore, we do not believe that there would
be any associated change in burden resulting
from this proposal.
M. Effects of Proposed Requirements for the
Long-Term Care Hospital Quality Reporting
Program (LTCH QRP)
Under the LTCH QRP, the Secretary must
reduce by 2 percentage points the annual
update to the LTCH PPS standard Federal
rate for discharges for an LTCH during a
fiscal year if the LTCH has not complied with
the LTCH QRP requirements specified for
that fiscal year. Information is not available
to determine the precise number of LTCHs
that will not meet the requirements to receive
the full annual update for the FY 2020
payment determination.
We believe that the burden and costs
associated with the LTCH QRP is the time
and effort associated with complying with
the requirements of the LTCH QRP. We
intend to closely monitor the effects of this
quality reporting program on LTCHs to help
facilitate successful reporting outcomes
through ongoing stakeholder education,
national trainings, and help desk support.
We refer readers to section X.B.6. of the
preamble of this proposed rule (information
collection requirements) for a detailed
discussion of the burden associated with the
proposed new requirements for the LTCH
QRP.
N. Effects of Proposed Requirements
Regarding the Promoting Interoperability
Program
In section VIII.D. of the preamble of this
proposed rule, we discuss our current and
proposed requirements for eligible hospitals
and CAHs participating in the Medicare and
Medicaid Promoting Interoperability
Programs.
In this proposed rule, we are proposing the
following changes to the Medicare Promoting
Interoperability Program: (1) Eliminate the
requirement that, for the FY 2020 payment
adjustment year, for an eligible hospital that
has not successfully demonstrated it is a
meaningful EHR user in a prior year, the EHR
reporting period in CY 2019 must end before
and the eligible hospital must successfully
register for and attest to meaningful use no
later than October 1, 2019; (2) establish an
EHR reporting period of a minimum of any
continuous 90-day period in CY 2021 for new
and returning participants (eligible hospitals
and CAHs) in the Medicare Promoting
Interoperability Program attesting to CMS; (3)
require that the Medicare Promoting
Interoperability Program measure actions
must occur within the EHR reporting period
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beginning with the EHR reporting period in
CY 2020; (4) revise the Query of PDMP
measure to change the reporting requirement
from numerator and denominator to a ‘‘yes/
no’’ response beginning with CY 2019 for
eligible hospitals and CAHs that attest to
CMS under the Medicare Promoting
Interoperability Program, make it an optional
measure worth five bonus points in CY 2020,
remove the exclusions associated with this
measure in CY 2020, and clearly state our
intended policy that the measure is worth a
full 5 bonus points in CY 2019 and CY 2020;
(5) change the maximum points available for
the e-Prescribing measure to 10 points
beginning in CY 2020, in the event we
finalize the proposed changes to the Query of
PDMP measure; (6) remove the Verify Opioid
Treatment Agreement measure beginning in
CY 2020 and clearly state our intended
policy that the measure is worth a full 5
bonus points in CY 2019; and (7) revise the
Support Electronic Referral Loops by
Receiving and Incorporating Health
Information measure to more clearly capture
the previously established policy regarding
CHERT use. We are also proposing to amend
our regulations to incorporate several of these
proposals.
For CQM reporting under the Medicare and
Medicaid Promoting Interoperability
Programs, in section VIII.D.6. of the preamble
of this proposed rule, we are making a
number of proposals with respect to the
reporting of CQM data, including proposing
to add two opioid-related measures
beginning with the reporting period in CY
2021 and proposing the reporting period,
reporting criteria, submission period, and
form and method requirements for CQM
reporting in CY 2020. However, for the
reporting period in CY 2020, these proposals
are continuations of current policies and
therefore we do not believe that there would
be a change in burden for CY 2020.
As explained in section X.B.9. of the
preamble of this proposed rule, we estimate
for CY 2020 a total information collection
burden decrease of 2,200 hours, associated
with our proposal to revise the Query of
PDMP measure to change the reporting
requirement from numerator and
denominator to a ‘‘yes/no’’ response
beginning with CY 2019 for eligible hospitals
and CAHs that attest to CMS under the
Medicare Promoting Interoperability
Program, and a total cost decrease of
$130,102.50 related to information collection
burden cost estimates due to this proposal
and our updated hourly wage plus benefits
estimate.
O. Alternatives Considered
This proposed rule contains a range of
policies. It also provides descriptions of the
statutory provisions that are addressed,
identifies the proposed policies, and presents
rationales for our decisions and, where
relevant, alternatives that were considered.
1. Wage Index
We considered a number of alternatives to
our proposed policies discussed in section
III.N.3. of the preamble of this proposed rule
to address wage index disparities. As
described more fully in section III.N.3.b. of
the preamble of this proposed rule, we are
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proposing to maintain budget neutrality for
our proposal to increase the wage index for
hospitals with wage index values below the
25th percentile wage index value (that is, low
wage index hospitals) by reducing the wage
index of hospitals with wage index values
above the 75th percentile wage index value
(that is, high wage index hospitals).
Specifically, as described in section III.N.3.b.
of this proposed rule, we are proposing to
implement budget neutrality by reducing the
distance between the otherwise applicable
wage index for high wage index hospitals
and the 75th percentile wage index across all
hospitals. As an alternative to this proposed
budget neutrality approach, we considered
applying a budget neutrality factor to the
standardized amount rather than focusing the
adjustment on the wage index of high wage
index hospitals. This alternative approach
would have been similar to the budget
neutrality approach proposed for the
transition, as described more fully in section
III.N.3.d. of the preamble of this proposed
rule.
As another alternative to addressing wage
index disparities, we also considered
mirroring our proposed approach of raising
the wage index for low wage index hospitals
in reducing the wage index values for high
wage index hospitals. As described more
fully in section III.N.3.a. of the preamble of
this proposed rule, we are proposing to
increase the wage index for hospitals with a
wage index below the 25th percentile wage
index. The proposed increase in the wage
index for these hospitals would be equal to
half the difference between the otherwise
applicable final wage index value for these
hospitals and the 25th percentile wage index
value. Under the alternative considered, we
also would decrease the wage index for
hospitals with a wage index above the 75th
percentile wage index by half the difference
between the otherwise applicable final wage
index value for these hospitals and the 75th
percentile wage index value. We would make
the estimated net effect on payments of (1)
the increase in the wage index for hospitals
below the 25th percentile and (2) the
decrease in the wage index for hospitals
above the 75th percentile budget neutral
through an adjustment to the standardized
amount.
A third alternative we considered to
address wage index disparities was the
creation of a national rural wage index area.
We considered whether there currently exists
a national rural labor market for hospital
labor and, if not, whether we should facilitate
the creation of such a national rural labor
market through the establishment of this
national rural wage index area. Currently, we
use statewide rural wage index areas based
on the non-MSA area of each State. Under
the alternative we considered, we would
create a single national rural wage index area.
A single national rural wage index area and
rural wage index value would arguably
partially address wage index disparities
because the current rural area in each State
with a wage index value below the national
rural wage index value would rise to the
national rural wage index value. A national
rural labor market area would also act to
mitigate the incentives to manipulate the
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rural floor because the effect of such
manipulations on the rural average hourly
wage would be spread across the national
rural wage index area rather than targeted in
a single State. However, it should also be
noted that the establishment of a national
rural wage index area would have a negative
impact on hospitals in the rural areas in
States with current rural wage index values
above the national rural wage index value
because these current wage index values
would decline to the national rural wage
index value.
In order to facilitate public consideration
of these alternatives considered for
addressing wage index disparities, we have
created a file at the hospital level of the
different wage index values for each hospital
under each of these alternatives considered.
This file is available on the FY 2020
proposed rule web page on the CMS website
as part of the FY 2020 Proposed Rule Data
Files.
2. New Technology Add-On Payments
As discussed in section II.H.8. of the
preamble of this proposed rule, in situations
where a new medical device is part of the
Breakthrough Devices Program and has
received FDA marketing authorization, we
are proposing an alternative inpatient new
technology add-on payment pathway to
facilitate access to this technology for
Medicare beneficiaries. We also considered
whether it would be appropriate to apply this
alternative inpatient new technology add-on
payment pathway in situations where a new
drug is part of an FDA expedited program for
drugs and has received FDA marketing
authorization. However, in reviewing this
issue, we noted that the current drug-pricing
system provides generous incentives for
innovation, but too often fails to deliver
important medications at an affordable cost.
Making this policy applicable to drugs would
further incentive innovation but without
decreasing cost, a key priority of this
Administration. In May 2018, President
Donald Trump and HHS Secretary Alex Azar
released the American Patients First
blueprint, a comprehensive plan to lower
drug prices and out-of-pocket costs. Since the
launch of the blueprint, we have been taking
action to turn the President’s vision into
action, and improve the health and wellbeing of every American. While we continue
to work on these initiatives for drug
affordability, we believe that it is appropriate
to distinguish between drugs and devices in
our consideration of a proposed policy
change for transformative new technologies.
3. Uncompensated Care Payments
Another policy area where an alternative
was considered was in the calculation of the
FY 2020 Medicare uncompensated care
payments to hospitals, as discussed in greater
detail in section IV.F.4.c. of the preamble of
this proposed rule. We are proposing to use
Worksheet S–10 data from the FY 2015 cost
reports in the calculation of Factor 3 for FY
2020. Although we are proposing to use
Worksheet S–10 data from the FY 2015 cost
reports, we acknowledge that some hospitals
have raised concerns regarding the cost
reporting instructions in effect for FY 2015,
especially compared to the reporting
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instructions that were effective for cost
reporting periods beginning on or after
October 1, 2016. Therefore, as discussed in
section IV.F.4.c. of the preamble of this
proposed rule, we also are seeking public
comments on whether, due to the changes in
the cost reporting instructions, we should use
a single year of uncompensated care data
from the FY 2017 reports, instead of the FY
2015 reports, to calculate Factor 3 for FY
2020.
4. LTCHs
Another policy area where an alternative
was considered was in the reinstatement
process for LTCHs that do not meet the
applicable discharge payment percentage, as
discussed in greater detail in section VII.C. of
the preamble of this proposed rule. We are
proposing to implement a special
probationary reinstatement process.
Although we are proposing to use a special
probationary reinstatement process, we
believe the normal reinstatement process
discussed in more detail in section VII.C. of
the preamble of this proposed rule would
satisfy the statutory requirement without
further modification. Additionally, as
discussed in more detail in section VII.C. of
the preamble of this proposed rule, in
developing our proposals for the a special
probationary reinstatement process, we are
concerned that hospitals may be able to
manipulate discharges or delay billing in
such a way as to artificially inflate their
discharge payment percentage for purposes
of a special reinstatement process if the
special reinstatement process were not
probationary. We are soliciting public
comments on whether to have a special
reinstatement process and, if so, whether it
should be probationary.
P. Reducing Regulation and Controlling
Regulatory Costs
Executive Order 13771, titled Reducing
Regulation and Controlling Regulatory Costs,
was issued on January 30, 2017. This
proposed rule, if finalized, is considered an
E.O. 13771 regulatory action. We estimate
that this rule generates approximately $2.4
million in annualized costs, discounted at 7
percent relative to fiscal year 2016, over a
perpetual time horizon.
We discuss the estimated burden and costs
for the Hospital IQR Program in section
X.B.3. of the preamble of this proposed rule,
and estimate that the impact of these
proposed changes is an increase in costs of
approximately $25 per hospital annually or
approximately $83,266 for all hospitals
annually.
We discuss the estimated burden and cost
reductions for the PCHQR Program in section
X.B.4. of the preamble of this proposed rule,
and estimate that the impact of these
proposed changes is a reduction in costs of
approximately $10 per PCH annually or
approximately $113 for all participating
PCHs annually.
We discuss the estimated burden for the
LTCH QRP in section X.B.6. of the preamble
of this proposed rule, and estimate that the
impact of these proposed changes is an
increase in costs of approximately $5,499.63
per LTCH annually or approximately
$2,282,346 for all LTCHs annually.
We do not anticipate an increase or
decrease in burden and costs for the Hospital
Readmissions Reduction Program, the HAC
Reduction Program, or the Hospital ValueBased Purchasing Program based on the
proposed policies in this proposed rule.
Also, as noted in section I.R. of this
Appendix, the regulatory review cost for this
proposed rule is $1,905,475.
Amount of
costs or
savings
Section of the proposed rule
Description
Section X.B.3. of the preamble ...................................................
Section X.B.4. of the preamble ...................................................
Section X.B.6. of the preamble ...................................................
ICRs for the Hospital IQR Program ...........................................
ICRs for the PCHQR Program ..................................................
ICRs for the LTCH QRP ............................................................
$83,266
($113)
2,282,346
Total .....................................................................................
....................................................................................................
2,365,499
Q. Overall Conclusion
1. Acute Care Hospitals
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5. eCQM
As discussed in section VIII.A.9.d.(4) of the
preamble of this proposed rule, in the context
of proposing eCQM reporting and submission
requirements under the Hospital IQR
Program for the CY 2022 reporting period/FY
2024 payment determination, hospitals
would be required to report one, self-selected
calendar quarter of data for three self-selected
eCQMs and for all hospitals to report the
proposed Safe Use of Opioids—Concurrent
Prescribing eCQM (NQF #3316e) as their
fourth eCQM. We also considered an
alternative whereby hospitals would have the
option to select one of the two proposed
opioids-related eCQMs, the Safe Use of
Opioids eCQM or Opioid-Related Adverse
Events eCQM, as their fourth required eCQM.
However, such an approach would add
additional complexity to the eCQM reporting
requirements, and we believe that the Safe
Use of Opioids eCQM is more closely related
to combating the current opioid epidemic, as
discussed in sections VIII.A.5.a. and
VIII.A.9.d.(4) of the preamble of this
proposed rule, than the Opioid-Related
Adverse Events eCQM, which is focused on
improved monitoring of patients who receive
opioids during hospitalization. Because the
alternative considered would not impact the
collection of information for hospitals, we do
not expect these alternatives to affect the
reporting burden on hospitals. We
considered this alternative and are seeking
public comment on it.
19673
Acute care hospitals are estimated to
experience an increase of approximately
$4.67 billion in FY 2020, taking into account
operating, capital, new technology, and low
volume hospital payments as modeled for
this proposed rule. Approximately $4.4
billion of this estimated increase is due to the
proposed changes in operating payments,
including $0.2 billion in uncompensated care
payments (discussed in sections I.G. and I.H.
of this Appendix), approximately $174
million is due to the change in capital
payments (discussed in section I.I. of this
Appendix), approximately $110 million is
due to the change in new technology add-on
payments (discussed in section I.H. of this
Appendix), and approximately $25 million is
due to the change in low-volume hospital
payments (discussed in section I.H. of this
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Appendix). Total differs from the sum of the
components due to rounding.
Table I. of section I.G. of this Appendix
also demonstrates the estimated
redistributional impacts of the IPPS budget
neutrality requirements for the proposed
MS–DRG and wage index changes, and for
the wage index reclassifications under the
MGCRB.
We estimate that hospitals would
experience a 1.9 percent increase in capital
payments per case, as shown in Table III. of
section I.I. of this Appendix. We project that
there would be a $174 million increase in
capital payments in FY 2020 compared to FY
2019.
The discussions presented in the previous
pages, in combination with the remainder of
this proposed rule, constitute a regulatory
impact analysis.
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2. LTCHs
Overall, LTCHs are projected to experience
an increase in estimated payments per
discharge in FY 2020. In the impact analysis,
we are using the proposed rates, factors, and
policies presented in this proposed rule
based on the best available claims and CCR
data to estimate the change in payments
under the LTCH PPS for FY 2020.
Accordingly, based on the best available data
for the 384 LTCHs in our database, we
estimate that overall FY 2020 LTCH PPS
payments will increase approximately $37
million relative to FY 2019 as a result of the
proposed payment rates and factors
presented in this proposed rule.
R. Regulatory Review Costs
If regulations impose administrative costs
on private entities, such as the time needed
to read and interpret a rule, we should
estimate the cost associated with regulatory
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review. Due to the uncertainty involved with
accurately quantifying the number of entities
that would review the proposed rule, we
assumed that the total number of timely
pieces of correspondence on last year’s
proposed rule would be the number of
reviewers of the proposed rule. We
acknowledge that this assumption may
understate or overstate the costs of reviewing
the rule. It is possible that not all
commenters reviewed last year’s rule in
detail, and it is also possible that some
reviewers chose not to comment on the
proposed rule. For those reasons, and
consistent with our approach in previous
rulemakings (82 FR 38585; 83 FR 41777), we
believe that the number of past commenters
would be a fair estimate of the number of
reviewers of the proposed rule. We welcome
any public comments on the approach in
estimating the number of entities that will
review this proposed rule.
We also recognize that different types of
entities are in many cases affected by
mutually exclusive sections of the proposed
rule. Therefore, for the purposes of our
estimate, and consistent with our approach
in previous rulemaking (82 FR 38585; 83 FR
41777), we assume that each reviewer read
approximately 50 percent of the proposed
rule. We welcome public comments on this
assumption.
We have used the number of timely pieces
of correspondence on the FY 2019 proposed
rule as our estimate for the number of
reviewers of this proposed rule. We continue
to acknowledge the uncertainty involved
with using this number, but we believe it is
a fair estimate due to the variety of entities
affected and the likelihood that some of them
choose to rely (in full or in part) on press
releases, newsletters, fact sheets, or other
sources rather than the comprehensive
review of preamble and regulatory text. Using
the wage information from the BLS for
medical and health service managers (Code
11–9111), we estimate that the cost of
reviewing the proposed rule is $107.38 per
hour, including overhead and fringe benefits
(https://www.bls.gov/oes/current/oes_
nat.htm). Assuming an average reading
speed, we estimate that it would take
approximately 21 hours for the staff to review
half of this proposed rule. For each IPPS
hospital or LTCH that reviews this proposed
rule, the estimated cost is $2,255 (21 hours
× $107.38). Therefore, we estimate that the
total cost of reviewing this proposed rule is
$1,905,475 ($2,255 × 845 reviewers).
II. Accounting Statements and Tables
A. Acute Care Hospitals
As required by OMB Circular A–4
(available at https://
obamawhitehouse.archives.gov/omb/
circulars_a-004_a-4/ and https://
georgewbush-whitehouse.archives.gov/omb/
circulars/a004/a-4.html), in the following
Table V., we have prepared an accounting
statement showing the classification of the
expenditures associated with the provisions
of this proposed rule as they relate to acute
care hospitals. This table provides our best
estimate of the change in Medicare payments
to providers as a result of the proposed
changes to the IPPS presented in this
proposed rule. All expenditures are classified
as transfers to Medicare providers.
As shown below in Table V., the net costs
to the Federal Government associated with
the proposed policies in this proposed rule
are estimated at $4.67 billion.
TABLE V—ACCOUNTING STATEMENT: CLASSIFICATION OF ESTIMATED EXPENDITURES UNDER THE IPPS FROM FY 2019
TO FY 2020
Category
Transfers
Annualized Monetized Transfers ..............................................................
From Whom to Whom ..............................................................................
B. LTCHs
As discussed in section I.J. of this
Appendix, the impact analysis of the
proposed payment rates and factors
presented in this proposed rule under the
LTCH PPS is projected to result in an
increase in estimated aggregate LTCH PPS
payments in FY 2020 relative to FY 2019 of
approximately $37 million based on the data
for 384 LTCHs in our database that are
subject to payment under the LTCH PPS.
$4.67 billion.
Federal Government to IPPS Medicare Providers.
Therefore, as required by OMB Circular A–
4 (available at: https://
obamawhitehouse.archives.gov/omb/
circulars_a004_a-4/ and https://georgewbushwhitehouse.archives.gov/omb/circulars/
a004/a-4.html), in Table VI., we have
prepared an accounting statement showing
the classification of the expenditures
associated with the provisions of this
proposed rule as they relate to the changes
to the LTCH PPS. Table VI. provides our best
estimate of the estimated change in Medicare
payments under the LTCH PPS as a result of
the proposed payment rates and factors and
other provisions presented in this proposed
rule based on the data for the 384 LTCHs in
our database. All expenditures are classified
as transfers to Medicare providers (that is,
LTCHs).
As shown in Table VI. below, the net cost
to the Federal Government associated with
the proposed policies for LTCHs in this
proposed rule are estimated at $37 million.
TABLE VI—ACCOUNTING STATEMENT: CLASSIFICATION OF ESTIMATED EXPENDITURES FROM THE FY 2019 LTCH PPS TO
THE FY 2020 LTCH PPS
Category
Transfers
Annualized Monetized Transfers ..............................................................
From Whom to Whom ..............................................................................
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III. Regulatory Flexibility Act (RFA)
Analysis
The RFA requires agencies to analyze
options for regulatory relief of small entities.
For purposes of the RFA, small entities
include small businesses, nonprofit
organizations, and small government
jurisdictions. We estimate that most hospitals
and most other providers and suppliers are
small entities as that term is used in the RFA.
The great majority of hospitals and most
other health care providers and suppliers are
small entities, either by being nonprofit
organizations or by meeting the SBA
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$37 million.
Federal Government to LTCH Medicare Providers.
definition of a small business (having
revenues of less than $7.5 million to $38.5
million in any 1 year). (For details on the
latest standards for health care providers, we
refer readers to page 36 of the Table of Small
Business Size Standards for NAIC 622 found
on the SBA website at: https://www.sba.gov/
sites/default/files/files/Size_Standards_
Table.pdf.)
For purposes of the RFA, all hospitals and
other providers and suppliers are considered
to be small entities. Individuals and States
are not included in the definition of a small
entity. We believe that the provisions of this
proposed rule relating to acute care hospitals
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will have a significant impact on small
entities as explained in this Appendix. For
example, because all hospitals are considered
to be small entities for purposes of the RFA,
the hospital impacts described in this
proposed rule are impacts on small entities.
For example, we refer readers to ‘‘Table I.—
Impact Analysis of Proposed Changes to the
IPPS for Operating Costs for FY 2020.’’
Because we lack data on individual hospital
receipts, we cannot determine the number of
small proprietary LTCHs. Therefore, we are
assuming that all LTCHs are considered
small entities for the purpose of the analysis
in section I.J. of this Appendix. MACs are not
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considered to be small entities because they
do not meet the SBA definition of a small
business. Because we acknowledge that many
of the affected entities are small entities, the
analysis discussed throughout the preamble
of this proposed rule constitutes our
regulatory flexibility analysis. This proposed
rule contains a range of proposed policies. It
provides descriptions of the statutory
provisions that are addressed, identifies the
proposed policies, and presents rationales for
our decisions and, where relevant,
alternatives that were considered.
For purposes of the RFA, as stated above,
all hospitals and other providers and
suppliers are considered to be small entities.
We estimate the provisions of this proposed
rule would result in an estimated $4.67
billion increase in FY 2020 payments to IPPS
hospitals, primarily driven by the proposed
applicable percentage increase to the IPPS
rates in conjunction with other proposed
payment changes including uncompensated
care payments, capital payments, new
technology add-on payments, and lowvolume hospital payments, as discussed in
section I.B. of this Appendix. As discussed
in section I.J. of this Appendix, the impact
analysis of the proposed payment rates and
factors presented in this proposed rule under
the LTCH PPS is projected to result in an
increase in estimated aggregate LTCH PPS
payments in FY 2020 relative to FY 2019 of
approximately $37 million. We are soliciting
public comments on our estimates and
analysis of the impact of our proposals on
those small entities. Any public comments
that we received and our responses will be
presented throughout the final rule.
IV. Impact on Small Rural Hospitals
Section 1102(b) of the Social Security Act
requires us to prepare a regulatory impact
analysis for any proposed or final rule that
may have a significant impact on the
operations of a substantial number of small
rural hospitals. This analysis must conform
to the provisions of section 604 of the RFA.
With the exception of hospitals located in
certain New England counties, for purposes
of section 1102(b) of the Act, we define a
small rural hospital as a hospital that is
located outside of an urban area and has
fewer than 100 beds. Section 601(g) of the
Social Security Amendments of 1983 (Pub. L.
98–21) designated hospitals in certain New
England counties as belonging to the adjacent
urban area. Thus, for purposes of the IPPS
and the LTCH PPS, we continue to classify
these hospitals as urban hospitals. (As shown
in Table I. in section I.G. of this Appendix,
rural IPPS hospitals with 0–49 beds and 50–
99 beds are expected to experience an
increase in payments from FY 2019 to FY
2020 of 4.9 percent and 3.5 percent,
respectively. We refer readers to Table I. in
section I.G. of this Appendix for additional
information on the quantitative effects of the
proposed policy changes under the IPPS for
operating costs.)
V. Unfunded Mandates Reform Act Analysis
Section 202 of the Unfunded Mandates
Reform Act of 1995 (Pub. L. 104–4) also
requires that agencies assess anticipated costs
and benefits before issuing any rule whose
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mandates require spending in any 1 year of
$100 million in 1995 dollars, updated
annually for inflation. In 2020, that threshold
level is approximately $154 million. This
proposed rule would not mandate any
requirements for State, local, or tribal
governments, nor would it affect private
sector costs.
VI. Executive Order 13175
Executive Order 13175 requires that, to the
extent practicable and permitted by law, no
agency shall promulgate any regulation that
has tribal implications, that imposes
substantial direct compliance costs on Indian
tribal governments, and that is not required
by statute, unless: (1) Funds necessary to pay
the direct costs incurred by the Indian tribal
government or the tribe in complying with
the regulation are provided by the Federal
Government; or (2) the agency, prior to the
formal promulgation of the regulation, (A)
consulted with tribal officials early in the
process of developing the proposed
regulation; (B) in a separately identified
portion of the preamble to the regulation as
it is to be issued in the Federal Register,
provides to the Director of the Office of
Management and Budget (OMB) a tribal
summary impact statement, which consists of
a description of the extent of the agency’s
prior consultation with tribal officials, a
summary of the nature of their concerns and
the agency’s position supporting the need to
issue the regulation, and a statement of the
extent to which the concerns of tribal
officials have been met; and (C) makes
available to the Director of OMB any written
communications submitted to the agency by
tribal officials.
Section 1880(a) of the Act states that a
hospital of the Indian Health Service,
whether operated by such Service or by an
Indian tribe or tribal organization, is eligible
for payments under title XVIII of the Act, so
long as it meets all of the conditions and
requirements for such payments which are
applicable generally to hospitals under title
XVIII of the Act.
This proposed rule would not mandate any
requirement for Indian tribal governments,
and it would not impose substantial direct
compliance costs on Indian tribal
governments.
VII. Executive Order 12866
In accordance with the provisions of
Executive Order 12866, the Executive Office
of Management and Budget reviewed this
proposed rule.
Appendix B: Recommendation of
Update Factors for Operating Cost
Rates of Payment for Inpatient Hospital
Services
I. Background
Section 1886(e)(4)(A) of the Act requires
that the Secretary, taking into consideration
the recommendations of MedPAC,
recommend update factors for inpatient
hospital services for each fiscal year that take
into account the amounts necessary for the
efficient and effective delivery of medically
appropriate and necessary care of high
quality. Under section 1886(e)(5) of the Act,
we are required to publish update factors
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recommended by the Secretary in the
proposed and final IPPS rules. Accordingly,
this Appendix provides the
recommendations for the update factors for
the IPPS national standardized amount, the
hospital-specific rate for SCHs and MDHs,
and the rate-of-increase limits for certain
hospitals excluded from the IPPS, as well as
LTCHs. In prior years, we made a
recommendation in the IPPS proposed rule
and final rule for the update factors for the
payment rates for IRFs and IPFs. However,
for FY 2020, consistent with our approach for
FY 2019, we are including the Secretary’s
recommendation for the update factors for
IRFs and IPFs in separate Federal Register
documents at the time that we announce the
annual updates for IRFs and IPFs. We also
discuss our response to MedPAC’s
recommended update factors for inpatient
hospital services.
II. Inpatient Hospital Update for FY 2020
A. Proposed FY 2020 Inpatient Hospital
Update
As discussed in section IV.B. of the
preamble to this proposed rule, for FY 2020,
consistent with section 1886(b)(3)(B) of the
Act, as amended by sections 3401(a) and
10319(a) of the Affordable Care Act, we are
setting the applicable percentage increase by
applying the following adjustments in the
following sequence. Specifically, the
applicable percentage increase under the
IPPS is equal to the rate-of-increase in the
hospital market basket for IPPS hospitals in
all areas, subject to a reduction of one-quarter
of the applicable percentage increase (prior to
the application of other statutory
adjustments; also referred to as the market
basket update or rate-of-increase (with no
adjustments)) for hospitals that fail to submit
quality information under rules established
by the Secretary in accordance with section
1886(b)(3)(B)(viii) of the Act and a reduction
of three-quarters of the applicable percentage
increase (prior to the application of other
statutory adjustments; also referred to as the
market basket update or rate-of-increase
(with no adjustments)) for hospitals not
considered to be meaningful electronic
health record (EHR) users in accordance with
section 1886(b)(3)(B)(ix) of the Act, and then
subject to an adjustment based on changes in
economy-wide productivity (the multifactor
productivity (MFP) adjustment). Section
1886(b)(3)(B)(xi) of the Act, as added by
section 3401(a) of the Affordable Care Act,
states that application of the MFP adjustment
may result in the applicable percentage
increase being less than zero. (We note that
section 1886(b)(3)(B)(xii) of the Act required
an additional reduction each year only for
FYs 2010 through 2019.)
In compliance with section 404 of the
MMA, in the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38587), we replaced the FY 2010based IPPS operating and capital market
baskets with the rebased and revised 2014based IPPS operating and capital market
baskets, effective beginning in FY 2018.
In this FY 2020 IPPS/LTCH PPS proposed
rule, in accordance with section 1886(b)(3)(B)
of the Act, we are proposing to base the
proposed FY 2020 market basket update used
to determine the applicable percentage
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increase for the IPPS on IGI’s fourth quarter
2018 forecast of the 2014-based IPPS market
basket rate-of-increase with historical data
through third quarter 2018, which is
estimated to be 3.2 percent. In accordance
with section 1886(b)(3)(B) of the Act, as
amended by section 3401(a) of the Affordable
Care Act, in section IV.B. of the preamble of
this FY 2020 IPPS/LTCH PPS proposed rule,
based on IGI’s fourth quarter 2018 forecast,
we are proposing an MFP adjustment of 0.5
percent for FY 2020. We also are proposing
that if more recent data subsequently become
available, we would use such data, if
appropriate, to determine the FY 2020 market
basket update and MFP adjustment for the
final rule.
Therefore, based on IGI’s fourth quarter
2018 forecast of the 2014-based IPPS market
basket and the MFP adjustment, depending
on whether a hospital submits quality data
under the rules established in accordance
with section 1886(b)(3)(B)(viii) of the Act
(hereafter referred to as a hospital that
submits quality data) and is a meaningful
EHR user under section 1886(b)(3)(B)(ix) of
the Act (hereafter referred to as a hospital
that is a meaningful EHR user), we are
proposing four possible applicable
percentage increases that could be applied to
the standardized amount, as shown in the
table below.
B. Proposed Update for SCHs and MDHs for
FY 2020
Section 1886(b)(3)(B)(iv) of the Act
provides that the FY 2020 applicable
percentage increase in the hospital-specific
rate for SCHs and MDHs equals the
applicable percentage increase set forth in
section 1886(b)(3)(B)(i) of the Act (that is, the
same update factor as for all other hospitals
subject to the IPPS). Under current law, the
MDH program is effective for discharges
through September 30, 2022, as discussed in
the FY 2019 IPPS/LTCH PPS final rule (83 FR
41429 through 41430).
As previously mentioned, the update to the
hospital specific rate for SCHs and MDHs is
subject to section 1886(b)(3)(B)(i) of the Act,
as amended by sections 3401(a) and 10319(a)
of the Affordable Care Act. Accordingly,
depending on whether a hospital submits
quality data and is a meaningful EHR user,
we are proposing the same four possible
applicable percentage increases in the table
above for the hospital-specific rate applicable
to SCHs and MDHs.
standardized amount and 25 percent of the
Puerto Rico-specific standardized amount.
Section 601 of Public Law 114–113 amended
section 1886(d)(9)(E) of the Act to specify
that the payment calculation with respect to
operating costs of inpatient hospital services
of a subsection (d) Puerto Rico hospital for
inpatient hospital discharges on or after
January 1, 2016, shall use 100 percent of the
national standardized amount. Because
Puerto Rico hospitals are no longer paid with
a Puerto Rico-specific standardized amount
under the amendments to section
1886(d)(9)(E) of the Act, there is no longer a
need for us to make an update to the Puerto
Rico standardized amount. Hospitals in
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C. Proposed FY 2020 Puerto Rico Hospital
Update
As discussed in the FY 2017 IPPS/LTCH
PPS final rule (81 FR 56939), prior to January
1, 2016, Puerto Rico hospitals were paid
based on 75 percent of the national
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Puerto Rico are now paid 100 percent of the
national standardized amount and, therefore,
are subject to the same update to the national
standardized amount discussed under
section IV.B.1. of the preamble of this
proposed rule. Accordingly, for FY 2020, we
are proposing to establish an applicable
percentage increase of 2.7 percent to the
standardized amount for hospitals located in
Puerto Rico.
D. Proposed Update for Hospitals Excluded
From the IPPS for FY 2020
Section 1886(b)(3)(B)(ii) of the Act is used
for purposes of determining the percentage
increase in the rate-of-increase limits for
children’s hospitals, cancer hospitals, and
hospitals located outside the 50 States, the
District of Columbia, and Puerto Rico (that is,
short-term acute care hospitals located in the
U.S. Virgin Islands, Guam, the Northern
Mariana Islands, and America Samoa).
Section 1886(b)(3)(B)(ii) of the Act sets the
percentage increase in the rate-of-increase
limits equal to the market basket percentage
increase. In accordance with § 403.752(a) of
the regulations, RNHCIs are paid under the
provisions of § 413.40, which also use section
1886(b)(3)(B)(ii) of the Act to update the
percentage increase in the rate-of-increase
limits.
Currently, children’s hospitals, PPSexcluded cancer hospitals, RNHCIs, and
short-term acute care hospitals located in the
U.S. Virgin Islands, Guam, the Northern
Mariana Islands, and American Samoa are
among the remaining types of hospitals still
paid under the reasonable cost methodology,
subject to the rate-of-increase limits. In
addition, in accordance with § 412.526(c)(3)
of the regulations, extended neoplastic
disease care hospitals (described in
§ 412.22(i) of the regulations) also are subject
to the rate-of-increase limits. As discussed in
section VI. of the preamble of this proposed
rule, in the FY 2018 IPPS/LTCH PPS final
rule, we finalized the use of the percentage
increase in the 2014-based IPPS operating
market basket to update the target amounts
for children’s hospitals, PPS-excluded cancer
hospitals, RNHCIs, and short-term acute care
hospitals located in the U.S. Virgin Islands,
Guam, the Northern Mariana Islands, and
American Samoa for FY 2018 and subsequent
fiscal years. In addition, as discussed in
section IV.B. of the preamble of this proposed
rule, the update to the target amount for
extended neoplastic disease care hospitals for
FY 2020 would be the percentage increase in
the 2014-based IPPS operating market basket.
Accordingly, for FY 2020, the rate-of-increase
percentage to be applied to the target amount
for these children’s hospitals, cancer
hospitals, RNHCIs, extended neoplastic
disease care hospitals, and short-term acute
care hospitals located in the U.S. Virgin
Islands, Guam, the Northern Mariana Islands,
and American Samoa would be the FY 2020
percentage increase in the 2014-based IPPS
operating market basket. For this proposed
rule, the current estimate of the IPPS
operating market basket percentage increase
for FY 2020 is 3.2 percent.
E. Proposed Update for LTCHs for FY 2020
Section 123 of Public Law 106–113, as
amended by section 307(b) of Public Law
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106–554 (and codified at section 1886(m)(1)
of the Act), provides the statutory authority
for updating payment rates under the LTCH
PPS.
As discussed in section V.A. of the
Addendum to this proposed rule, we are
proposing to update to the LTCH PPS
standard Federal payment rate for FY 2020
by 2.7 percent, consistent with the
amendments to section 1886(m)(3) of the Act
which provides that any annual update be
reduced by the productivity adjustment
described in section 1886(b)(3)(B)(xi)(II) of
the Act (that is, the MFP adjustment).
Furthermore, in accordance with the
LTCHQR Program under section 1886(m)(5)
of the Act, we are proposing to reduce the
annual update to the LTCH PPS standard
Federal rate by 2.0 percentage points for
failure of a LTCH to submit the required
quality data. Accordingly, we are proposing
to establish an update factor of 1.027 in
determining the LTCH PPS standard Federal
rate for FY 2020. For LTCHs that fail to
submit quality data for FY 2020, we are
proposing to apply an annual update to the
LTCH PPS standard Federal rate of 0.7
percent (that is, the proposed annual update
for FY 2020 of 2.7 percent less 2.0 percentage
points for failure to submit the required
quality data in accordance with section
1886(m)(5)(C) of the Act and our rules) by
applying a proposed update factor of 1.007 in
determining the LTCH PPS standard Federal
rate for FY 2020. (We note that, as discussed
in section VII.D. of the preamble of this
proposed rule, the proposed update to the
LTCH PPS standard Federal payment rate of
2.7 percent for FY 2020 does not reflect any
proposed budget neutrality factors.)
III. Secretary’s Recommendations
MedPAC is recommending an inpatient
hospital update in the amount specified in
current law for FY 2020. MedPAC’s rationale
for this update recommendation is described
in more detail below. As mentioned above,
section 1886(e)(4)(A) of the Act requires that
the Secretary, taking into consideration the
recommendations of MedPAC, recommend
update factors for inpatient hospital services
for each fiscal year that take into account the
amounts necessary for the efficient and
effective delivery of medically appropriate
and necessary care of high quality. Consistent
with current law, depending on whether a
hospital submits quality data and is a
meaningful EHR user, we are recommending
the four applicable percentage increases to
the standardized amount listed in the table
under section II. of this Appendix B. We are
recommending that the same applicable
percentage increases apply to SCHs and
MDHs.
In addition to making a recommendation
for IPPS hospitals, in accordance with
section 1886(e)(4)(A) of the Act, we are
recommending update factors for certain
other types of hospitals excluded from the
IPPS. Consistent with our policies for these
facilities, we are recommending an update to
the target amounts for children’s hospitals,
cancer hospitals, RNHCIs, short-term acute
care hospitals located in the U.S. Virgin
Islands, Guam, the Northern Mariana Islands,
and American Samoa and extended
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19677
neoplastic disease care hospitals of 3.2
percent.
For FY 2020, consistent with policy set
forth in section VII. of the preamble of this
proposed rule, for LTCHs that submit quality
data, we are recommending an update of 2.7
percent to the LTCH PPS standard Federal
rate. For LTCHs that fail to submit quality
data for FY 2020, we are recommending an
annual update to the LTCH PPS standard
Federal rate of 0.7 percent.
IV. MedPAC Recommendation for Assessing
Payment Adequacy and Updating Payments
in Traditional Medicare
In its March 2019 Report to Congress,
MedPAC assessed the adequacy of current
payments and costs, and the relationship
between payments and an appropriate cost
base. MedPAC recommended an update to
the hospital inpatient rates by 2 percent with
the difference between this and the update
amount specified in current law to be used
to increase payments in a new suggested
Medicare quality program, the ‘‘Hospital
Value Incentive Program (HVIP).’’ MedPAC
stated that together, these recommendations,
paired with the recommendation to eliminate
the current hospital quality program
incentives, would increase hospital payments
by increasing the base payment rate and by
increasing the average rewards hospitals
receive under MedPAC’s proposed Medicare
HVIP.
We refer readers to the March 2019
MedPAC report, which is available for
download at www.medpac.gov, for a
complete discussion on these
recommendations.
Response: With regard to MedPAC’s
recommendation of an update to the hospital
inpatient rates equal to 2 percent, with the
remainder of the 2.7 percent to be used to
fund its recommended Medicare HVIP,
section 1886(b)(3)(B) of the Act sets the
requirements for the FY 2020 applicable
percentage increase. Therefore, consistent
with the statute, we are proposing an
applicable percentage increase for FY 2020 of
2.7 percent, provided the hospital submits
quality data and is a meaningful EHR user
consistent with these statutory requirements.
Furthermore, we appreciate MedPAC’s
recommendation concerning a new HVIP. We
agree that continual improvement motivated
by quality programs is an important incentive
of the IPPS. However, under current law, the
inpatient hospital quality programs include
the Hospital Readmissions Reduction
Program, the Hospital Value-Based
Purchasing Program, and the HospitalAcquired Condition Reduction Program.
We note that, because the operating and
capital prospective payment systems remain
separate, we are continuing to use separate
updates for operating and capital payments.
The proposed update to the capital rate is
discussed in section III. of the Addendum to
this proposed rule.
[FR Doc. 2019–08330 Filed 4–23–19; 4:15 pm]
BILLING CODE 4120–01–P
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[Federal Register Volume 84, Number 86 (Friday, May 3, 2019)]
[Proposed Rules]
[Pages 19158-19677]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2019-08330]
[[Page 19157]]
Vol. 84
Friday,
No. 86
May 3, 2019
Part II
Book 2 of 2 Books
Pages 19157-19682
Department of Health and Human Services
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42 CFR Parts 412, 413, and 495
Medicare Program; Hospital Inpatient Prospective Payment Systems for
Acute Care Hospitals and the Long-Term Care Hospital Prospective
Payment System and Proposed Policy Changes and Fiscal Year 2020 Rates;
Proposed Quality Reporting Requirements for Specific Providers;
Medicare and Medicaid Promoting Interoperability Programs Proposed
Requirements for Eligible Hospitals and Critical Access Hospitals;
Proposed Rule
Federal Register / Vol. 84 , No. 86 / Friday, May 3, 2019 / Proposed
Rules
[[Page 19158]]
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DEPARTMENT OF HEALTH AND HUMAN SERVICES
Centers for Medicare & Medicaid Services
42 CFR Parts 412, 413, and 495
[CMS-1716-P]
RIN 0938-AT73
Medicare Program; Hospital Inpatient Prospective Payment Systems
for Acute Care Hospitals and the Long-Term Care Hospital Prospective
Payment System and Proposed Policy Changes and Fiscal Year 2020 Rates;
Proposed Quality Reporting Requirements for Specific Providers;
Medicare and Medicaid Promoting Interoperability Programs Proposed
Requirements for Eligible Hospitals and Critical Access Hospitals
AGENCY: Centers for Medicare & Medicaid Services (CMS), HHS.
ACTION: Proposed rule.
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SUMMARY: We are proposing to revise the Medicare hospital inpatient
prospective payment systems (IPPS) for operating and capital-related
costs of acute care hospitals to implement changes arising from our
continuing experience with these systems for FY 2020 and to implement
certain recent legislation. We also are proposing to make changes
relating to Medicare graduate medical education (GME) for teaching
hospitals and payments to critical access hospital (CAHs). In addition,
we are proposing to provide the market basket update that would apply
to the rate-of-increase limits for certain hospitals excluded from the
IPPS that are paid on a reasonable cost basis, subject to these limits
for FY 2020. We are proposing to update the payment policies and the
annual payment rates for the Medicare prospective payment system (PPS)
for inpatient hospital services provided by long-term care hospitals
(LTCHs) for FY 2020. In this proposed rule, we are including proposals
to address wage index disparities between high and low wage index
hospitals; to provide for an alternative IPPS new technology add-on
payment pathway for certain transformative new devices; and to revise
the calculation of the IPPS new technology add-on payment. In addition,
we are requesting public comments on the substantial clinical
improvement criterion used for evaluating applications for both the
IPPS new technology add-on payment and the OPPS transitional pass-
through payment for devices, and we discuss potential revisions that we
are considering adopting as final policies related to the substantial
clinical improvement criterion for applications received beginning in
FY 2020 for IPPS (that is, for FY 2021 and later new technology add-on
payments) and beginning in CY 2020 for the OPPS.
We are proposing to establish new requirements or revise existing
requirements for quality reporting by specific Medicare providers
(acute care hospitals, PPS-exempt cancer hospitals, and LTCHs). We also
are proposing to establish new requirements and revise existing
requirements for eligible hospitals and critical access hospitals
(CAHs) participating in the Medicare and Medicaid Promoting
Interoperability Programs. We are proposing to update policies for the
Hospital Value-Based Purchasing (VBP) Program, the Hospital
Readmissions Reduction Program, and the Hospital-Acquired Condition
(HAC) Reduction Program.
DATES: To be assured consideration, comments must be received at one of
the addresses provided in the ADDRESSES section, no later than 5 p.m.
EDT on June 24, 2019.
ADDRESSES: In commenting, please refer to file code CMS-1716-P. Because
of staff and resource limitations, we cannot accept comments by
facsimile (FAX) transmission.
Comments, including mass comment submissions, must be submitted in
one of the following three ways (please choose only one of the ways
listed):
1. Electronically. You may (and we encourage you to) submit
electronic comments on this regulation to https://www.regulations.gov.
Follow the instructions under the ``submit a comment'' tab.
2. By regular mail. You may mail written comments to the following
address ONLY: Centers for Medicare & Medicaid Services, Department of
Health and Human Services, Attention: CMS-1716-P, P.O. Box 8013,
Baltimore, MD 21244-1850.
Please allow sufficient time for mailed comments to be received
before the close of the comment period.
3. By express or overnight mail. You may send written comments via
express or overnight mail to the following address ONLY: Centers for
Medicare & Medicaid Services, Department of Health and Human Services,
Attention: CMS-1716-P, Mail Stop C4-26-05, 7500 Security Boulevard,
Baltimore, MD 21244-1850.
For information on viewing public comments, we refer readers to the
beginning of the SUPPLEMENTARY INFORMATION section.
FOR FURTHER INFORMATION CONTACT: Donald Thompson, (410) 786-4487, and
Michele Hudson, (410) 786-4487, Operating Prospective Payment, MS-DRGs,
Wage Index, New Medical Service and Technology Add-On Payments,
Hospital Geographic Reclassifications, Graduate Medical Education,
Capital Prospective Payment, Excluded Hospitals, Medicare
Disproportionate Share Hospital (DSH) Payment Adjustment, Medicare-
Dependent Small Rural Hospital (MDH) Program, Low-Volume Hospital
Payment Adjustment, and Critical Access Hospital (CAH) Issues.
Michele Hudson, (410) 786-4487, Mark Luxton, (410) 786-4530, and
Emily Lipkin, (410) 786-3633, Long-Term Care Hospital Prospective
Payment System and MS-LTC-DRG Relative Weights Issues.
Siddhartha Mazumdar, (410) 786-6673, Rural Community Hospital
Demonstration Program Issues.
Jeris Smith, (410) 786-0110, Frontier Community Health Integration
Project Demonstration Issues.
Erin Patton, (410) 786-2437, Hospital Readmissions Reduction
Program Administration Issues.
Lein Han, 410-786-0205, Hospital Readmissions Reduction Program--
Readmissions--Measures Issues.
Michael Brea, (410) 786-4961, Hospital-Acquired Condition Reduction
Program Issues.
Annese Abdullah-Mclaughlin, (410) 786-2995, Hospital-Acquired
Condition Reduction Program--Measures Issues.
Grace Snyder, (410) 786-0700 and James Poyer, (410) 786-2261,
Hospital Inpatient Quality Reporting and Hospital Value-Based
Purchasing--Program Administration, Validation, and Reconsideration
Issues.
Cindy Tourison, (410) 786-1093, Hospital Inpatient Quality
Reporting and Hospital Value-Based Purchasing--Measures Issues Except
Hospital Consumer Assessment of Healthcare Providers and Systems
Issues.
Elizabeth Goldstein, (410) 786-6665, Hospital Inpatient Quality
Reporting and Hospital Value-Based Purchasing--Hospital Consumer
Assessment of Healthcare Providers and Systems Measures Issues.
Nekeshia McInnis, (410) 786-4486 and Ronique Evans, (410) 786-1000,
PPS-Exempt Cancer Hospital Quality Reporting Issues.
Mary Pratt, (410) 786-6867, Long-Term Care Hospital Quality Data
Reporting Issues.
Elizabeth Holland, (410) 786-1309, Dylan Podson (410) 786-5031, and
Bryan Rossi (410) 786-065l, Promoting Interoperability Programs.
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Benjamin Moll, (410) 786-4390, Provider Reimbursement Review Board
Appeals Issues.
SUPPLEMENTARY INFORMATION: Inspection of Public Comments: All comments
received before the close of the comment period are available for
viewing by the public, including any personally identifiable or
confidential business information that is included in a comment. We
post all comments received before the close of the comment period on
the following website as soon as possible after they have been
received: https://www.regulations.gov/. Follow the search instructions
on that website to view public comments.
Electronic Access
This Federal Register document is available from the Federal
Register online database through Federal Digital System (FDsys), a
service of the U.S. Government Printing Office. This database can be
accessed via the internet at: https://www.gpo.gov/fdsys.
Tables Available Through the Internet on the CMS Website
In the past, a majority of the tables referred to throughout this
preamble and in the Addendum to the proposed rule and the final rule
were published in the Federal Register as part of the annual proposed
and final rules. However, beginning in FY 2012, the majority of the
IPPS tables and LTCH PPS tables are no longer published in the Federal
Register. Instead, these tables, generally, will be available only
through the internet. The IPPS tables for this FY 2020 proposed rule
are available through the internet on the CMS website at: https://www.cms.hhs.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/. Click on the link on the left side of the
screen titled, ``FY 2020 IPPS Proposed Rule Home Page'' or ``Acute
Inpatient--Files for Download.'' The LTCH PPS tables for this FY 2020
proposed rule are available through the internet on the CMS website at:
https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/LongTermCareHospitalPPS/ under the list item for Regulation
Number CMS-1716-P. For further details on the contents of the tables
referenced in this proposed rule, we refer readers to section VI. of
the Addendum to this proposed rule.
Readers who experience any problems accessing any of the tables
that are posted on the CMS websites identified above should contact
Michael Treitel at (410) 786-4552.
Table of Contents
I. Executive Summary and Background
A. Executive Summary
B. Background Summary
C. Summary of Provisions of Recent Legislation Implemented in
This Proposed Rule
D. Summary of the Provisions of This Proposed Rule
E. Advancing Health Information Exchange
II. Proposed Changes to Medicare Severity Diagnosis-Related Group
(MS-DRG) Classifications and Relative Weights
A. Background
B. MS-DRG Reclassifications
C. Adoption of the MS-DRGs in FY 2008
D. Proposed FY 2020 MS-DRG Documentation and Coding Adjustment
E. Refinement of the MS-DRG Relative Weight Calculation
F. Proposed Changes to Specific MS-DRG Classifications
G. Recalibration of the Proposed FY 2020 MS-DRG Relative Weights
H. Proposed Add-On Payments for New Services and Technologies
for FY 2020
III. Proposed Changes to the Hospital Wage Index for Acute Care
Hospitals
A. Background
B. Worksheet S-3 Wage Data for the Proposed FY 2020 Wage Index
C. Verification of Worksheet S-3 Wage Data
D. Method for Computing the Proposed FY 2020 Unadjusted Wage
Index
E. Proposed Occupational Mix Adjustment to the Proposed FY 2020
Wage Index
F. Analysis and Implementation of the Proposed Occupational Mix
Adjustment and the Proposed FY 2020 Occupational Mix Adjusted Wage
Index
G. Proposed Application of the Rural Floor, Expired Imputed
Floor Policy, and Proposed Application of the State Frontier Floor
H. Proposed FY 2020 Wage Index Tables
I. Proposed Revisions to the Wage Index Based on Hospital
Redesignations and Reclassifications
J. Proposed Out-Migration Adjustment Based on Commuting Patterns
of Hospital Employees
K. Reclassification from Urban to Rural Under Section
1886(d)(8)(E) of the Act Implemented at 42 CFR 412.103
L. Process for Requests for Wage Index Data Corrections
M. Proposed Labor-Related Share for the FY 2020 Wage Index
N. Proposals to Address Wage Index Disparities Between High and
Low Wage Index Hospitals
IV. Other Decisions and Proposed Changes to the IPPS for Operating
Costs
A. Proposed Changes to MS-DRGs Subject to Postacute Care
Transfer and MS-DRG Special Payment Policies
B. Proposed Changes in the Inpatient Hospital Updates for FY
2020 (Sec. 412.64(d))
C. Proposed Rural Referral Centers (RRCs) Annual Updates to
Case-Mix Index and Discharge Criteria (Sec. 412.96)
D. Proposed Payment Adjustment for Low-Volume Hospitals (Sec.
412.101)
E. Proposed Indirect Medical Education (IME) Payment Adjustment
(Sec. 412.105)
F. Proposed Payment Adjustment for Medicare Disproportionate
Share Hospitals (DSHs) for FY 2020 (Sec. 412.106)
G. Hospital Readmissions Reduction Program: Proposed Updates and
Changes (Sec. Sec. 412.150 through 412.154)
H. Hospital Value-Based Purchasing (VBP) Program: Proposed
Policy Changes
I. Hospital-Acquired Condition (HAC) Reduction Program
J. Payments for Indirect and Direct Graduate Medical Education
Costs (Sec. Sec. 412.105 and 413.75 through 413.83)
K. Rural Community Hospital Demonstration Program
V. Proposed Changes to the IPPS for Capital-Related Costs
A. Overview
B. Additional Provisions
C. Proposed Annual Update for FY 2020
VI. Proposed Changes for Hospitals Excluded From the IPPS
A. Proposed Rate-of-Increase in Payments to Excluded Hospitals
for FY 2020
B. Request for Public Comments on Methodologies and Requirements
for Adjustments to Rate-of-Increase Ceiling
C. Critical Access Hospitals (CAHs)
VII. Proposed Changes to the Long-Term Care Hospital Prospective
Payment System (LTCH PPS) for FY 2019
A. Background of the LTCH PPS
B. Proposed Medicare Severity Long-Term Care Diagnosis-Related
Group (MS-LTC-DRG) Classifications and Relative Weights for FY 2020
C. Proposed Payment Adjustment for LTCH Discharges That Do Not
Meet the Applicable Discharge Payment Percentage
D. Proposed Changes to the LTCH PPS Payment Rates and Other
Proposed Changes to the LTCH PPS for FY 2020
VIII. Proposed Quality Data Reporting Requirements for Specific
Providers and Suppliers
A. Hospital Inpatient Quality Reporting (IQR) Program
B. PPS-Exempt Cancer Hospital Quality Reporting (PCHQR) Program
C. Long-Term Care Hospital Quality Reporting Program (LTCH QRP)
D. Proposed Changes to the Medicare and Medicaid Promoting
Interoperability Programs
IX. MedPAC Recommendations
X. Other Required Information
A. Publicly Available Data
B. Collection of Information Requirements
C. Response to Public Comments
XI. Provider Reimbursement Review Board (PRRB) Appeals
Regulation Text
Addendum--Proposed Schedule of Standardized Amounts, Update Factors,
and Rate-of-Increase Percentages Effective With Cost Reporting Periods
Beginning on or After October 1, 2019 and Proposed Payment Rates for
LTCHs Effective With Discharges Occurring on or After October 1, 2019
I. Summary and Background
II. Proposed Changes to the Prospective Payment Rates for Hospital
Inpatient
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Operating Costs for Acute Care Hospitals for FY 2020
A. Calculation of the Proposed Adjusted Standardized Amount
B. Proposed Adjustments for Area Wage Levels and Cost-of-Living
C. Calculation of the Proposed Prospective Payment Rates
III. Proposed Changes to Payment Rates for Acute Care Hospital
Inpatient Capital-Related Costs for FY 2020
A. Determination of Proposed Federal Hospital Inpatient Capital-
Related Prospective Payment Rate Update
B. Calculation of the Proposed Inpatient Capital-Related
Prospective Payments for FY 2020
C. Capital Input Price Index
IV. Proposed Changes to Payment Rates for Excluded Hospitals: Rate-
of-Increase Percentages for FY 2020
V. Proposed Updates to the Payment Rates for the LTCH PPS for FY
2020
A. Proposed LTCH PPS Standard Federal Payment Rate for FY 2020
B. Proposed Adjustment for Area Wage Levels Under the LTCH PPS
for FY 2020
C. Proposed LTCH PPS Cost-of-Living Adjustment (COLA) for LTCHs
Located in Alaska and Hawaii
D. Proposed Adjustment for LTCH PPS High-Cost Outlier (HCO)
Cases
E. Proposed Update to the IPPS Comparable/Equivalent Amounts to
Reflect the Statutory Changes to the IPPS DSH Payment Adjustment
Methodology
F. Computing the Proposed Adjusted LTCH PPS Federal Prospective
Payments for FY 2020
VI. Tables Referenced in This Proposed Rule and Available Through
the Internet on the CMS Website
Appendix A--Economic Analyses
I. Regulatory Impact Analysis
A. Statement of Need
B. Overall Impact
C. Objectives of the IPPS and the LTCH PPS
D. Limitations of Our Analysis
E. Hospitals Included in and Excluded From the IPPS
F. Effects on Hospitals and Hospital Units Excluded From the
IPPS
G. Quantitative Effects of the Proposed Policy Changes Under the
IPPS for Operating Costs
H. Effects of Other Proposed Policy Changes
I. Effects of Proposed Changes in the Capital IPPS
J. Effects of Proposed Payment Rate Changes and Policy Changes
Under the LTCH PPS
K. Effects of Proposed Requirements for Hospital Inpatient
Quality Reporting (IQR) Program
L. Effects of Proposed Requirements for the PPS-Exempt Cancer
Hospital Quality Reporting (PCHQR) Program
M. Effects of Proposed Requirements for the Long-Term Care
Hospital Quality Reporting Program (LTCH QRP)
N. Effects of Proposed Requirements Regarding the Medicare
Promoting Interoperability Program
O. Alternatives Considered
P. Reducing Regulation and Controlling Regulatory Costs
Q. Overall Conclusion
R. Regulatory Review Costs
II. Accounting Statements and Tables
A. Acute Care Hospitals
B. LTCHs
III. Regulatory Flexibility Act (RFA) Analysis
IV. Impact on Small Rural Hospitals
V. Unfunded Mandate Reform Act (UMRA) Analysis
VI. Executive Order 13175
VII. Executive Order 12866
Appendix B: Recommendation of Update Factors for Operating Cost Rates
of Payment for Inpatient Hospital Services
I. Background
II. Proposed Inpatient Hospital Update for FY 2020
A. Proposed FY 2020 Inpatient Hospital Update
B. Proposed Update for SCHs and MDHs for FY 2020
C. Proposed FY 2020 Puerto Rico Hospital Update
D. Proposed Update for Hospitals Excluded From the IPPS
E. Proposed Update for LTCHs for FY 2020
III. Secretary's Recommendation
IV. MedPAC Recommendation for Assessing Payment Adequacy and
Updating Payments in Traditional Medicare
I. Executive Summary and Background
A. Executive Summary
1. Purpose and Legal Authority
This proposed rule would make payment and policy changes under the
Medicare inpatient prospective payment systems (IPPS) for operating and
capital-related costs of acute care hospitals as well as for certain
hospitals and hospital units excluded from the IPPS. In addition, it
would make payment and policy changes for inpatient hospital services
provided by long-term care hospitals (LTCHs) under the long-term care
hospital prospective payment system (LTCH PPS). This proposed rule also
would make policy changes to programs associated with Medicare IPPS
hospitals, IPPS-excluded hospitals, and LTCHs. In this proposed rule,
we are including proposals to address wage index disparities between
high and low wage index hospitals; to provide for an alternative IPPS
new technology add-on payment pathway for certain transformative new
devices; and to revise the calculation of the IPPS new technology add-
on payment. In addition, we are requesting public comments on the
substantial clinical improvement criterion for evaluating applications
for both the IPPS new technology add-on payment and the OPPS
transitional pass-through payment for devices, and we discuss potential
revisions that we are considering adopting as final policies related to
the substantial clinical improvement criterion for FY 2020 for IPPS and
CY 2020 for the OPPS.
We are proposing to establish new requirements and revise existing
requirements for quality reporting by specific providers (acute care
hospitals, PPS-exempt cancer hospitals, and LTCHs) that are
participating in Medicare. We also are proposing to establish new
requirements and revise existing requirements for eligible hospitals
and CAHs participating in the Medicare and Medicaid Promoting
Interoperability Programs. We are proposing to update policies for the
Hospital Value-Based Purchasing (VBP) Program, the Hospital
Readmissions Reduction Program, and the Hospital-Acquired Condition
(HAC) Reduction Program.
Under various statutory authorities, we are proposing to make
changes to the Medicare IPPS, to the LTCH PPS, and to other related
payment methodologies and programs for FY 2020 and subsequent fiscal
years. These statutory authorities include, but are not limited to, the
following:
Section 1886(d) of the Social Security Act (the Act),
which sets forth a system of payment for the operating costs of acute
care hospital inpatient stays under Medicare Part A (Hospital
Insurance) based on prospectively set rates. Section 1886(g) of the Act
requires that, instead of paying for capital-related costs of inpatient
hospital services on a reasonable cost basis, the Secretary use a
prospective payment system (PPS).
Section 1886(d)(1)(B) of the Act, which specifies that
certain hospitals and hospital units are excluded from the IPPS. These
hospitals and units are: Rehabilitation hospitals and units; LTCHs;
psychiatric hospitals and units; children's hospitals; cancer
hospitals; extended neoplastic disease care hospitals, and hospitals
located outside the 50 States, the District of Columbia, and Puerto
Rico (that is, hospitals located in the U.S. Virgin Islands, Guam, the
Northern Mariana Islands, and American Samoa). Religious nonmedical
health care institutions (RNHCIs) are also excluded from the IPPS.
Sections 123(a) and (c) of the BBRA (Pub. L. 106-113) and
section 307(b)(1) of the BIPA (Pub. L. 106-554) (as codified under
section 1886(m)(1) of the Act), which provide for the development and
implementation of a prospective payment system for payment for
inpatient hospital services of LTCHs described in section
1886(d)(1)(B)(iv) of the Act.
[[Page 19161]]
Sections 1814(l), 1820, and 1834(g) of the Act, which
specify that payments are made to critical access hospitals (CAHs)
(that is, rural hospitals or facilities that meet certain statutory
requirements) for inpatient and outpatient services and that these
payments are generally based on 101 percent of reasonable cost.
Section 1866(k) of the Act, which establishes a quality
reporting program for hospitals described in section 1886(d)(1)(B)(v)
of the Act, referred to as ``PPS-exempt cancer hospitals.''
Section 1886(a)(4) of the Act, which specifies that costs
of approved educational activities are excluded from the operating
costs of inpatient hospital services. Hospitals with approved graduate
medical education (GME) programs are paid for the direct costs of GME
in accordance with section 1886(h) of the Act.
Section 1886(b)(3)(B)(viii) of the Act, which requires the
Secretary to reduce the applicable percentage increase that would
otherwise apply to the standardized amount applicable to a subsection
(d) hospital for discharges occurring in a fiscal year if the hospital
does not submit data on measures in a form and manner, and at a time,
specified by the Secretary.
Section 1886(o) of the Act, which requires the Secretary
to establish a Hospital Value-Based Purchasing (VBP) Program, under
which value-based incentive payments are made in a fiscal year to
hospitals meeting performance standards established for a performance
period for such fiscal year.
Section 1886(p) of the Act, which establishes a Hospital-
Acquired Condition (HAC) Reduction Program, under which payments to
applicable hospitals are adjusted to provide an incentive to reduce
hospital-acquired conditions.
Section 1886(q) of the Act, as amended by section 15002 of
the 21st Century Cures Act, which establishes the Hospital Readmissions
Reduction Program. Under the program, payments for discharges from an
applicable hospital as defined under section 1886(d) of the Act will be
reduced to account for certain excess readmissions. Section 15002 of
the 21st Century Cures Act requires the Secretary to compare hospitals
with respect to the number of their Medicare-Medicaid dual-eligible
beneficiaries (dual-eligibles) in determining the extent of excess
readmissions.
Section 1886(r) of the Act, as added by section 3133 of
the Affordable Care Act, which provides for a reduction to
disproportionate share hospital (DSH) payments under section
1886(d)(5)(F) of the Act and for a new uncompensated care payment to
eligible hospitals. Specifically, section 1886(r) of the Act requires
that, for fiscal year 2014 and each subsequent fiscal year, subsection
(d) hospitals that would otherwise receive a DSH payment made under
section 1886(d)(5)(F) of the Act will receive two separate payments:
(1) 25 percent of the amount they previously would have received under
section 1886(d)(5)(F) of the Act for DSH (``the empirically justified
amount''), and (2) an additional payment for the DSH hospital's
proportion of uncompensated care, determined as the product of three
factors. These three factors are: (1) 75 percent of the payments that
would otherwise be made under section 1886(d)(5)(F) of the Act; (2) 1
minus the percent change in the percent of individuals who are
uninsured; and (3) a hospital's uncompensated care amount relative to
the uncompensated care amount of all DSH hospitals expressed as a
percentage.
Section 1886(m)(6) of the Act, as added by section
1206(a)(1) of the Pathway for Sustainable Growth Rate (SGR) Reform Act
of 2013 (Pub. L. 113-67) and amended by section 51005(a) of the
Bipartisan Budget Act of 2018 (Pub. L. 115-123), which provided for the
establishment of site neutral payment rate criteria under the LTCH PPS,
with implementation beginning in FY 2016, and provides for a 4-year
transitional blended payment rate for discharges occurring in LTCH cost
reporting periods beginning in FYs 2016 through 2019. Section 51005(b)
of the Bipartisan Budget Act of 2018 amended section 1886(m)(6)(B) by
adding new clause (iv), which specifies that the IPPS comparable amount
defined in clause (ii)(I) shall be reduced by 4.6 percent for FYs 2018
through 2026.
Section 1886(m)(5)(D)(iv) of the Act, as added by section
1206(c) of the Pathway for Sustainable Growth Rate (SGR) Reform Act of
2013 (Pub. L. 113-67), which provides for the establishment of a
functional status quality measure in the LTCH QRP for change in
mobility among inpatients requiring ventilator support.
Section 1899B of the Act, as added by section 2(a) of the
Improving Medicare Post-Acute Care Transformation Act of 2014 (IMPACT
Act) (Pub. L. 113-185), which provides for the establishment of
standardized data reporting for certain post-acute care providers,
including LTCHs.
2. Summary of the Major Provisions
Below we provide a summary of the major provisions in this proposed
rule. In general, these major provisions are being proposed as part of
the annual update to the payment policies and payment rates, consistent
with the applicable statutory provisions. A general summary of the
proposed changes in this proposed rule is presented in section I.D. of
the preamble of this proposed rule.
a. Proposed MS-DRG Documentation and Coding Adjustment
Section 631 of the American Taxpayer Relief Act of 2012 (ATRA, Pub.
L. 112-240) amended section 7(b)(1)(B) of Public Law 110-90 to require
the Secretary to make a recoupment adjustment to the standardized
amount of Medicare payments to acute care hospitals to account for
changes in MS-DRG documentation and coding that do not reflect real
changes in case-mix, totaling $11 billion over a 4-year period of FYs
2014, 2015, 2016, and 2017. The FY 2014 through FY 2017 adjustments
represented the amount of the increase in aggregate payments as a
result of not completing the prospective adjustment authorized under
section 7(b)(1)(A) of Public Law 110-90 until FY 2013. Prior to the
ATRA, this amount could not have been recovered under Public Law 110
90. Section 414 of the Medicare Access and CHIP Reauthorization Act of
2015 (MACRA) (Pub. L. 114-10) replaced the single positive adjustment
we intended to make in FY 2018 with a 0.5 percent positive adjustment
to the standardized amount of Medicare payments to acute care hospitals
for FYs 2018 through 2023. (The FY 2018 adjustment was subsequently
adjusted to 0.4588 percent by section 15005 of the 21st Century Cures
Act.) Therefore, for FY 2020, we are proposing to make an adjustment of
+ 0.5 percent to the standardized amount.
b. Request for Information on the New Technology Add-On Payment and
Transitional Device Pass-Through Payment Substantial Clinical
Improvement Criterion and Discussion of Potential Revisions to the New
Technology Add-On Payment and Transitional Device Pass-Through Payment
Substantial Clinical Improvement Criterion
The substantial clinical improvement criterion that is used to
evaluate a technology that is the subject of an application for the new
technology add-on payment under the IPPS or an application for the
transitional pass-through payment for additional costs of innovative
devices under the OPPS is the subject of the request for information
and the discussion of potential revisions included in this proposed
rule.
[[Page 19162]]
We understand that greater clarity regarding what would
substantiate the requirements of this criterion would help the public,
including innovators, better understand how CMS evaluates new
technology applications for add-on payments and provide greater
predictability about which applications will meet the criterion for
substantial clinical improvement. We are considering potential
revisions to the substantial clinical improvement criterion under the
IPPS new technology add-on payment policy and the OPPS transitional
pass-through payment policy for devices policy, and are seeking public
comments on the type of additional detail and guidance that the public
and applicants for new technology add-on payments would find useful.
The comments we receive in response to those general questions will
inform future rulemaking after the FY 2020 IPPS/LTCH PPS final rule.
This request for public comments is intended to be broad in scope and
provide a foundation for potential rulemaking in future years.
In addition to this broad request for public comments for potential
rulemaking in future years, in order to respond to stakeholder feedback
requesting greater understanding of CMS' approach to evaluating
substantial clinical improvement, we are soliciting public comments on
specific changes or clarifications to the IPPS and OPPS substantial
clinical improvement criterion that CMS might consider making in the FY
2020 IPPS/LTCH PPS final rule for applications received beginning in FY
2020 for the IPPS and CY 2020 for the OPPS to provide greater clarity
and predictability.
c. Proposed Alternative Inpatient New Technology Add-On Payment Pathway
for Transformative New Devices
After consideration of the issues discussed in section III.H.8. of
the preamble of this proposed rule relating to the Food and Drug
Administration's (FDA's) expedited programs, and consistent with the
Administration's commitment to addressing barriers to health care
innovation and ensuring that Medicare beneficiaries have access to
critical and life-saving new cures and technologies that improve
beneficiary health outcomes, we concluded that it would be appropriate
to develop an alternative pathway for the inpatient new technology add-
on payment for transformative medical devices. In situations where a
new medical device is part of the FDA's Breakthrough Devices Program
and has received FDA marketing authorization (that is, the device has
received pre-market approval (PMA); 510(k) clearance; or the granting
of a De Novo classification request), we are proposing an alternative
inpatient new technology add-on payment pathway to facilitate access to
this technology for Medicare beneficiaries.
Specifically, we are proposing that, for applications received for
IPPS new technology add-on payments for FY 2021 and subsequent fiscal
years, if a medical device is part of the FDA's Breakthrough Devices
Program and received FDA marketing authorization, such a device would
be considered new and not substantially similar to an existing
technology for purposes of new technology add-on payment under the
IPPS. In light of the criteria applied under the FDA's Breakthrough
Devices Program, and because the technology may not have a sufficient
evidence base to demonstrate substantial clinical improvement at the
time of FDA marketing authorization, we also are proposing that the
medical device would not need to meet the requirement under 42 CFR
412.87(b)(1) that it represent an advance that substantially improves,
relative to technologies previously available, the diagnosis or
treatment of Medicare beneficiaries.
d. Proposed Revision of the Calculation of the Inpatient Hospital New
Technology Add-On Payment
The current calculation of the new technology add-on payment is
based on the cost to hospitals for the new medical service or
technology. Under Sec. 412.88, if the costs of the discharge
(determined by applying cost-to-charge ratios (CCRs) as described in
Sec. 412.84(h)) exceed the full DRG payment (including payments for
IME and DSH, but excluding outlier payments), Medicare will make an
add-on payment equal to the lesser of: (1) 50 percent of the costs of
the new medical service or technology; or (2) 50 percent of the amount
by which the costs of the case exceed the standard DRG payment. Unless
the discharge qualifies for an outlier payment, the additional Medicare
payment is limited to the full MS-DRG payment plus 50 percent of the
estimated costs of the new technology or medical service.
After consideration of the concerns raised by commenters and other
stakeholders, we agree that there may be merit to the recommendations
to increase the maximum add-on amount, and that capping the add-on
payment amount at 50 percent could, in some cases, no longer provide a
sufficient incentive for the use of new technology. To address this
issue, we believe it would be appropriate to modify the current payment
mechanism to increase the amount of the maximum add-on payment amount
to 65 percent. Therefore, we are proposing that, beginning with
discharges occurring on or after October 1, 2019, if the costs of a
discharge involving a new medical service or technology exceed the full
DRG payment (including payments for IME and DSH, but excluding outlier
payments), Medicare would make an add-on payment equal to the lesser
of: (1) 65 percent of the costs of the new medical service or
technology; or (2) 65 percent of the amount by which the costs of the
case exceed the standard DRG payment.
e. Proposals To Address Wage Index Disparities Between High and Low
Wage Index Hospitals
In the FY 2019 IPPS/LTCH PPS proposed rule (83 FR 20372), we
invited the public to submit further comments, suggestions, and
recommendations for regulatory and policy changes to the Medicare wage
index. Many of the responses received from this request for information
(RFI) reflect a common concern that the current wage index system
perpetuates and exacerbates the disparities between high and low wage
index hospitals. Many respondents also expressed concern that the
calculation of the rural floor has allowed a limited number of States
to manipulate the wage index system to achieve higher wages for many
urban hospitals in those States at the expense of hospitals in other
States, which also contributes to wage index disparities.
To help mitigate these wage index disparities, including those
resulting from the inclusion of hospitals with rural reclassifications
under 42 CFR 412.103 in the rural floor, we are proposing to reduce the
disparity between high and low wage index hospitals by increasing the
wage index values for certain hospitals with low wage index values and
decreasing the wage index values for certain hospitals with high wage
index values for budget neutrality purposes, as well as changing the
calculation of the rural floor. We also are proposing a transition for
hospitals experiencing significant decreases in their wage index values
as a result of these proposed changes. We are proposing to make these
changes in a budget neutral manner.
In this proposed rule, we are proposing to increase the wage index
for hospitals with a wage index value below the 25th percentile wage
index value for a fiscal year by half the difference between the
otherwise applicable final wage index value for a year for that
hospital and the 25th percentile wage index value for that year across
all hospitals. Furthermore, we are
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proposing that this policy would be effective for at least 4 years,
beginning in FY 2020, in order to allow employee compensation increases
implemented by these hospitals sufficient time to be reflected in the
wage index calculation. Under our proposal, in order to offset the
estimated increase in IPPS payments to hospitals with wage index values
below the 25th percentile wage index value, we are proposing to
decrease the wage index values for certain hospitals with high wage
index values (that is, hospitals with wage index values above the 75th
percentile wage index value), but preserve the rank order among those
values.
In addition, we are proposing to remove urban to rural
reclassifications from the calculation of the rural floor, such that,
beginning in FY 2020, the rural floor would be calculated without
including the wage data of hospitals that have reclassified as rural
under section 1886(d)(8)(E) of the Act (as implemented in the
regulations at Sec. 412.103). Also, for the purposes of applying the
provisions of section 1886(d)(8)(C)(iii) of the Act, we are proposing
to remove urban to rural reclassifications from the calculation of
``the wage index for rural areas in the State in which the county is
located'' as referred to in the statute.
Lastly, for FY 2020, we are proposing to place a 5-percent cap on
any decrease in a hospital's wage index from the hospital's final wage
index in FY 2019. We are proposing to apply a budget neutrality
adjustment to the standardized amount so that our proposed transition
for hospitals that could be negatively impacted is implemented in a
budget neutral manner.
f. Proposed DSH Payment Adjustment and Additional Payment for
Uncompensated Care
Section 3133 of the Affordable Care Act modified the Medicare
disproportionate share hospital (DSH) payment methodology beginning in
FY 2014. Under section 1886(r) of the Act, which was added by section
3133 of the Affordable Care Act, starting in FY 2014, DSHs receive 25
percent of the amount they previously would have received under the
statutory formula for Medicare DSH payments in section 1886(d)(5)(F) of
the Act. The remaining amount, equal to 75 percent of the amount that
otherwise would have been paid as Medicare DSH payments, is paid as
additional payments after the amount is reduced for changes in the
percentage of individuals that are uninsured. Each Medicare DSH will
receive an additional payment based on its share of the total amount of
uncompensated care for all Medicare DSHs for a given time period.
In this FY 2020 IPPS/LTCH PPS proposed rule, we are proposing to
update our estimates of the three factors used to determine
uncompensated care payments for FY 2020. We are proposing to continue
to use uninsured estimates produced by CMS' Office of the Actuary
(OACT) as part of the development of the National Health Expenditure
Accounts (NHEA) in the calculation of Factor 2. We also are proposing
to use a single year of data on uncompensated care costs from Worksheet
S-10 for FY 2015 to determine Factor 3 for FY 2020. We also are seeking
public comments on whether we should, due to changes in the reporting
instructions that became effective for FY 2017, alternatively use a
single year of Worksheet S-10 data from the FY 2017 cost reports,
instead of the FY 2015 Worksheet S-10 data, to calculate Factor 3 for
FY 2020. In addition, we are proposing to continue to use only data
regarding low-income insured days for FY 2013 to determine the amount
of uncompensated care payments for Puerto Rico hospitals, and Indian
Health Service and Tribal hospitals. We are not proposing specific
Factor 3 polices for all-inclusive rate providers for FY 2020. In this
proposed rule, we also are proposing to continue to use the following
established policies: (1) For providers with multiple cost reports,
beginning in the same fiscal year, to use the longest cost report and
annualize Medicaid data and uncompensated care data if a hospital's
cost report does not equal 12 months of data; (2) in the rare case
where a provider has multiple cost reports beginning in the same fiscal
year, but one report also spans the entirety of the following fiscal
year, such that the hospital has no cost report for that fiscal year,
to use the cost report that spans both fiscal years for the latter
fiscal year; and (3) to apply statistical trim methodologies to
potentially aberrant cost-to-charge ratios (CCRs) and potentially
aberrant uncompensated care costs reported on the Worksheet S-10.
g. Proposed Changes to the LTCH PPS
In this proposed rule, we set forth proposed changes to the LTCH
PPS Federal payment rates, factors, and other payment rate policies
under the LTCH PPS for FY 2020. We also are proposing the payment
adjustment for LTCH discharges when the LTCH does not meet the
applicable discharge payment percentage and a proposed reinstatement
process, as required by section 1886(m)(6)(C) of the Act. An LTCH would
be subject to this payment adjustment if, for cost reporting periods
beginning in FY 2020 and subsequent fiscal years, the LTCH's percentage
of Medicare discharges that meet the criteria for exclusion from the
site neutral payment rate (that is, discharges paid the LTCH PPS
standard Federal payment rate) of its total number of Medicare FFS
discharges paid under the LTCH PPS during the cost reporting period is
not at least 50 percent.
h. Reduction of Hospital Payments for Excess Readmissions
We are proposing to make changes to policies for the Hospital
Readmissions Reduction Program, which was established under section
1886(q) of the Act, as amended by section 15002 of the 21st Century
Cures Act. The Hospital Readmissions Reduction Program requires a
reduction to a hospital's base operating DRG payment to account for
excess readmissions of selected applicable conditions. For FY 2017 and
subsequent years, the reduction is based on a hospital's risk-adjusted
readmission rate during a 3-year period for acute myocardial infarction
(AMI), heart failure (HF), pneumonia, chronic obstructive pulmonary
disease (COPD), elective primary total hip arthroplasty/total knee
arthroplasty (THA/TKA), and coronary artery bypass graft (CABG)
surgery. In this proposed rule, we are proposing the following
policies: (1) A measure removal policy that aligns with the removal
factor policies previously adopted in other quality reporting and
quality payment programs; (2) an update to the Program's definition of
``dual-eligible'' beginning with the FY 2021 program year to allow for
a 1-month lookback period in data sourced from the State Medicare
Modernization Act (MMA) files to determine dual-eligible status for
beneficiaries who die in the month of discharge; (3) a subregulatory
process to address any potential future nonsubstantive changes to the
payment adjustment factor components; and (4) an update to the
Program's regulations at 42 CFR 412.152 and 412.154 to reflect proposed
policies and to codify additional previously finalized policies.
i. Hospital Value-Based Purchasing (VBP) Program
Section 1886(o) of the Act requires the Secretary to establish a
Hospital VBP Program under which value-based incentive payments are
made in a fiscal year to hospitals based on their performance on
measures established for a performance period for such fiscal year. In
this proposed rule, we are proposing that the Hospital VBP
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Program will use the same data used by the HAC Reduction Program for
purposes of calculating the Centers for Disease Control and Prevention
(CDC) National Health Safety Network (NHSN) Healthcare-Associated
Infection (HAI) measures beginning with CY 2020 data collection, when
the Hospital IQR Program will no longer collect data on those measures,
and will rely on HAC Reduction Program validation to ensure the
accuracy of CDC NHSN HAI measure data used in the Hospital VBP Program.
We also are newly establishing certain performance standards.
j. Hospital-Acquired Condition (HAC) Reduction Program
Section 1886(p) of the Act establishes an incentive to hospitals to
reduce the incidence of hospital-acquired conditions by requiring the
Secretary to make an adjustment to payments to applicable hospitals
effective for discharges beginning on October 1, 2014. This 1-percent
payment reduction applies to hospitals that rank in the worst-
performing quartile (25 percent) of all applicable hospitals, relative
to the national average, of conditions acquired during the applicable
period and on all of the hospital's discharges for the specified fiscal
year. As part of our agency-wide Patients over Paperwork and Meaningful
Measures Initiatives, discussed in section I.A.2. of the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41147 and 41148), we are proposing to: (1)
Adopt a measure removal policy that aligns with the removal factor
policies previously adopted in other quality reporting and quality
payment programs; (2) clarify administrative policies for validation of
the CDC NHSN HAI measures; (3) adopt the data collection periods for
the FY 2022 program year; and (4) update 42 CFR 412.172(f) to reflect
policies finalized in the FY 2019 IPPS/LTCH PPS final rule.
k. Hospital Inpatient Quality Reporting (IQR) Program
Under section 1886(b)(3)(B)(viii) of the Act, subsection (d)
hospitals are required to report data on measures selected by the
Secretary for a fiscal year in order to receive the full annual
percentage increase that would otherwise apply to the standardized
amount applicable to discharges occurring in that fiscal year.
In this proposed rule, we are proposing to make several changes. We
are proposing to: (1) Adopt two opioid-related eCQMs (Safe Use of
Opioids--Concurrent Prescribing eCQM (NQF #3316e) and Hospital Harm--
Opioid-Related Adverse Events eCQM) beginning with the CY 2021
reporting period/FY 2023 payment determination; (2) adopt the Hybrid
Hospital-Wide All-Cause Readmission (Hybrid HWR) measure (NQF #2879) in
a stepwise fashion, beginning with two voluntary reporting periods
which would run from July 1, 2021 through June 30, 2022, and from July
1, 2022 through June 30, 2023, before requiring reporting of the
measure for the reporting period that would run from July 1, 2023
through June 30, 2024, impacting the FY 2026 payment determination and
for subsequent years; and (3) remove the Claims-Based Hospital-Wide
All-Cause Unplanned Readmission Measure (NQF #1789) (HWR claims-only
measure) beginning with the FY 2026 payment determination. We also are
proposing reporting and submission requirements for eCQMs, including
proposals to: (1) Extend current eCQM reporting and submission
requirements for both the CY 2020 reporting period/FY 2022 payment
determination and CY 2021 reporting period/FY 2023 payment
determination; (2) change eCQM reporting and submission requirements
for the CY 2022 reporting period/FY 2024 payment determination, such
that hospitals would be required to report one, self-selected calendar
quarter of data for three self-selected eCQMs and the proposed Safe Use
of Opioids--Concurrent Prescribing eCQM (NQF #3316e), for a total of
four eCQMs; and (3) continue requiring that EHRs be certified to all
available eCQMs used in the Hospital IQR Program for the CY 2020
reporting period/FY 2022 payment determination and subsequent years.
These proposals are in alignment with proposals under the Promoting
Interoperability Program. We also are proposing reporting and
submission requirements for the Hybrid HWR measure. In addition, we are
seeking public comments on three measures for potential future
inclusion in the Hospital IQR Program.
l. Long-Term Care Hospital Quality Reporting Program (LTCH QRP)
The LTCH QRP is authorized by section 1886(m)(5) of the Act and
applies to all hospitals certified by Medicare as long-term care
hospitals (LTCHs). Under the LTCH QRP, the Secretary must reduce by 2
percentage points the annual update to the LTCH PPS standard Federal
rate for discharges for an LTCH during a fiscal year if the LTCH fails
to submit data in accordance with the LTCH QRP requirements specified
for that fiscal year. As discussed in section VIII.C. of the preamble
of this proposed rule, we are proposing to adopt two measures that meet
the requirements of section 1899B(c)(1)(E) of the Act, modify an
existing measure, and adopt new standardized patient assessment data
elements that satisfy section 1899B(b) of the Act. We also are
proposing to move the implementation date of the LTCH Continuity
Assessment Record and Evaluation Data Set (LTCH CARE Data Set or LCDS)
from April to October to align with other post-acute care programs
beginning October 1, 2020. Lastly, we are proposing updates related to
the system used for the submission of data and related regulations.
m. Medicare and Medicaid Promoting Interoperability Programs
For purposes of an increased level of stability, reducing the
burden on eligible hospitals and CAHs, and clarifying certain existing
policies, we are proposing several changes to the Medicare Promoting
Interoperability Program. Specifically, we are proposing to: (1)
Eliminate requirement that, for the FY 2020 payment adjustment year,
for an eligible hospital that has not successfully demonstrated it is a
meaningful EHR user in a prior year, the EHR reporting period in CY
2019 must end before and the eligible hospital must successfully
register for and attest to meaningful use no later than the October 1,
2019 deadline; (2) establish an EHR reporting period of a minimum of
any continuous 90-day period in CY 2021 for new and returning
participants (eligible hospitals and CAHs) in the Medicare Promoting
Interoperability Program attesting to CMS; (3) require that the
Medicare Promoting Interoperability Program measure actions must occur
within the EHR reporting period beginning with the EHR reporting period
in CY 2020; (4) revise the Query of PDMP measure to make it an optional
measure worth 5 bonus points in CY 2020, remove the exclusions
associated with this measure in CY 2020, require a yes/no response
instead of a numerator and denominator for CY 2019 and CY 2020, and
clearly state our intended policy that the measure is worth a full 5
bonus points in CY 2019 and CY 2020; (5) change the maximum points
available for the e-Prescribing measure to 10 points beginning in CY
2020, in the event we finalize the proposed changes to the Query of
PDMP measure; (6) remove the Verify Opioid Treatment Agreement measure
beginning in CY 2020 and clearly state our intended policy that this
measure is worth a full 5 bonus points in CY 2019; and (7) revise the
Support Electronic Referral Loops by Receiving and Incorporating Health
Information measure to more clearly
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capture the previously established policy regarding CEHRT use. We are
also proposing to amend our regulations to incorporate several of these
proposals.
For CQM reporting under the Medicare and Medicaid Promoting
Interoperability Programs, we are generally proposing to align our
requirements with requirements under the Hospital IQR Program.
Specifically, we are proposing to: (1) Adopt two opioid-related eCQMs
(Safe Use of Opioids--Concurrent Prescribing eCQM (NQF #3316e) and
Hospital Harm--Opioid-Related Adverse Events eCQM) beginning with the
reporting period in CY 2021; (2) extend current CQM reporting and
submission requirements for the reporting periods in CY 2020 and CY
2021; and (3) establish CQM reporting and submission requirements for
the reporting period in CY 2022, which would require all eligible
hospitals and CAHs to report on the proposed Safe Use of Opioids--
Concurrent Prescribing eCQM (NQF #3316e) beginning with the reporting
period in CY 2022.
We are seeking public comments on whether we should consider
proposing to adopt in future rulemaking the Hybrid Hospital-Wide All-
Cause Readmission (Hybrid HWR) measure beginning with the reporting
period in CY 2023, a measure which we are proposing to adopt under the
Hospital IQR Program, and we are seeking information on a variety of
issues regarding the future direction of the Medicare and Medicaid
Promoting Interoperability Programs.
3. Summary of Costs and Benefits
Proposed Adjustment for MS-DRG Documentation and Coding
Changes. Section 414 of the MACRA replaced the single positive
adjustment we intended to make in FY 2018 once the recoupment required
by section 631 of the ATRA was complete with a 0.5 percentage point
positive adjustment to the standardized amount of Medicare payments to
acute care hospitals for FYs 2018 through 2023. (The FY 2018 adjustment
was subsequently adjusted to 0.4588 percentage point by section 15005
of the 21st Century Cures Act.) For FY 2020, we are proposing to make
an adjustment of +0.5 percentage point to the standardized amount
consistent with the MACRA.
Proposed Alternative Inpatient New Technology Add-On
Payment Pathway for Transformative New Devices: In this proposed rule,
we are proposing an alternative inpatient new technology add-on payment
pathway for a new medical device that is part of the FDA Breakthrough
Devices Program and has received FDA marketing authorization, that is,
received PMA approval, 510(k) clearance, or the granting of De Novo
classification request.
Given the relatively recent introduction of FDA's Breakthrough
Devices Program, there have not been any medical devices that were part
of the Breakthrough Devices Program and received FDA marketing
authorization and for which the applicant applied for a new technology
add-on payment under the IPPS and was not approved. Therefore, it is
not possible to quantify the impact of this proposal.
Proposed Changes to the Calculation of the
Inpatient Hospital New Technology Add-On Payment: The current
calculation of the new technology add-on payment is based on the cost
to hospitals for the new medical service or technology. Under existing
Sec. 412.88, if the costs of the discharge exceed the full DRG payment
(including payments for IME and DSH, but excluding outlier payments),
Medicare makes an add-on payment equal to the lesser of: (1) 50 percent
of the estimated costs of the new technology or medical service; or (2)
50 percent of the amount by which the costs of the case exceed the
standard DRG payment. In this proposed rule, we are proposing to modify
the current payment mechanism to increase the amount of the maximum
add-on payment amount to 65 percent. Therefore, we are proposing that
if the costs of a discharge involving a new technology exceed the full
DRG payment (including payments for IME and DSH, but excluding outlier
payments), Medicare would make an add-on payment equal to the lesser
of: (1) 65 percent of the costs of the new medical service or
technology; or (2) 65 percent of the amount by which the costs of the
case exceed the standard DRG payment.
We estimate that if we finalize our proposals for the 9
technologies for which we are proposing to continue to make new
technology add-on payments in FY 2020 and if we determine that all 17
of the FY 2020 new technology add-on payment applications meet the
specified criteria for new technology add-on payments for FY 2020, this
proposal, if finalized, would increase IPPS spending by approximately
$110 million in FY 2020.
Proposed Changes to Address Wage Index Disparities Between
High and Low Wage Index Hospitals. As discussed in section III.N. of
the preamble of this proposed rule, to help mitigate wage index
disparities, including those resulting from the inclusion of hospitals
with rural reclassifications under 42 CFR 412.103 in the rural floor,
we are proposing to reduce the disparity between high and low wage
index hospitals by increasing the wage index values for certain
hospitals with low wage index values and decreasing the wage index
values of certain hospitals with high wage index values for budget
neutrality purposes, as well as changing the calculation of the rural
floor. We also are proposing a transition for hospitals experiencing
significant decreases in their wage index values as a result of these
proposed changes. We are proposing to make these changes in a budget
neutral manner.
We are proposing to apply a budget neutrality adjustment to the
standardized amount so that our proposed transition for hospitals that
could be negatively impacted is implemented in a budget neutral manner.
Proposed Medicare DSH Payment Adjustment and Additional
Payment for Uncompensated Care. For FY 2020, we are proposing to update
our estimates of the three factors used to determine uncompensated care
payments. We are proposing to continue to use uninsured estimates
produced by OACT as part of the development of the NHEA in the
calculation of Factor 2. We also are proposing to use a single year of
data on uncompensated care costs from Worksheet S-10 for FY 2015 to
determine Factor 3 for FY 2020. In addition, we are seeking public
comments on whether we should, due to changes in the reporting
instructions that became effective for FY 2017, alternatively use a
single year of Worksheet S-10 data from the FY 2017 cost reports,
instead of the FY 2015 Worksheet S-10 data, to calculate Factor 3 for
FY 2020. To determine the amount of uncompensated care for purposes of
calculating Factor 3 for Puerto Rico hospitals and Indian Health
Service and Tribal hospitals, we are proposing to continue to use only
data regarding low-income insured days for FY 2013.
We project that the amount available to distribute as payments for
uncompensated care for FY 2020 would increase by approximately $216
million, as compared to our estimate of the uncompensated care payments
that will be distributed in FY 2019. The payments have redistributive
effects, based on a hospital's uncompensated care amount relative to
the uncompensated care amount for all hospitals that are projected to
be eligible to receive Medicare DSH payments, and the calculated
payment amount is not directly tied to a hospital's number of
discharges.
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Proposed Update to the LTCH PPS Payment Rates
and Other Payment Policies. Based on the best available data for the
384 LTCHs in our database, we estimate that the proposed changes to the
payment rates and factors that we present in the preamble of and
Addendum to this proposed rule, which reflect the end of the transition
of the statutory application of the site neutral payment rate and the
proposed update to the LTCH PPS standard Federal payment rate for FY
2020, would result in an estimated increase in payments in FY 2020 of
approximately $37 million.
Proposed Changes to the Hospital Readmissions Reduction
Program. For FY 2020 and subsequent years, the reduction is based on a
hospital's risk-adjusted readmission rate during a 3-year period for
acute myocardial infarction (AMI), heart failure (HF), pneumonia,
chronic obstructive pulmonary disease (COPD), elective primary total
hip arthroplasty/total knee arthroplasty (THA/TKA), and coronary artery
bypass graft (CABG) surgery. Overall, in this proposed rule, we
estimate that 2,599 hospitals would have their base operating DRG
payments reduced by their determined proxy FY 2020 hospital-specific
readmission adjustment. As a result, we estimate that the Hospital
Readmissions Reduction Program would save approximately $550 million in
FY 2020.
Value-Based Incentive Payments Under the Hospital VBP
Program. We estimate that there would be no net financial impact to the
Hospital VBP Program for the FY 2020 program year in the aggregate
because, by law, the amount available for value-based incentive
payments under the program in a given year must be equal to the total
amount of base operating MS-DRG payment amount reductions for that
year, as estimated by the Secretary. The estimated amount of base
operating MS-DRG payment amount reductions for the FY 2020 program year
and, therefore, the estimated amount available for value-based
incentive payments for FY 2020 discharges is approximately $1.9
billion.
Proposed Changes to the HAC Reduction Program. A
hospital's Total HAC score and its ranking in comparison to other
hospitals in any given year depend on several different factors. The FY
2020 program year is the first year in which we will implement our
equal measure weights scoring methodology. Any significant impact due
to the HAC Reduction Program proposed changes for FY 2020, including
which hospitals will receive the adjustment, would depend on the actual
experience of hospitals in the Program. We also are proposing to update
the hourly wage rate associated with burden for CDC NHSN HAI validation
under the HAC Reduction Program.
Proposed Changes to the Hospital Inpatient Quality
Reporting (IQR) Program. Across 3,300 IPPS hospitals, we estimate that
our proposed changes for the Hospital IQR Program in this proposed rule
would result in changes to the information collection burden compared
to previously adopted requirements. The only proposal that would affect
the information collection burden for the Hospital IQR Program is the
proposal to adopt the Hybrid Hospital-Wide All-Cause Readmission
(Hybrid HWR) measure (NQF #2879) in a stepwise fashion, beginning with
two voluntary reporting periods which would run from July 1, 2021
through June 30, 2022, and from July 1, 2022 through June 30, 2023,
before requiring reporting of the measure for the reporting period that
would run from July 1, 2023 through June 30, 2024, impacting the FY
2026 payment determination and for subsequent years. We estimate that
the impact of this proposed change is a total collection of information
burden increase of 2,211 hours and a total cost increase of
approximately $83,266 for all participating IPPS hospitals annually.
Proposed Changes to the Medicare and Medicaid Promoting
Interoperability Programs. We believe that, overall, the proposals in
this proposed rule would reduce burden, as described in detail in
section X.B.9. of the preamble and Appendix A, section I.N. of this
proposed rule.
B. Background Summary
1. Acute Care Hospital Inpatient Prospective Payment System (IPPS)
Section 1886(d) of the Social Security Act (the Act) sets forth a
system of payment for the operating costs of acute care hospital
inpatient stays under Medicare Part A (Hospital Insurance) based on
prospectively set rates. Section 1886(g) of the Act requires the
Secretary to use a prospective payment system (PPS) to pay for the
capital-related costs of inpatient hospital services for these
``subsection (d) hospitals.'' Under these PPSs, Medicare payment for
hospital inpatient operating and capital-related costs is made at
predetermined, specific rates for each hospital discharge. Discharges
are classified according to a list of diagnosis-related groups (DRGs).
The base payment rate is comprised of a standardized amount that is
divided into a labor-related share and a nonlabor-related share. The
labor-related share is adjusted by the wage index applicable to the
area where the hospital is located. If the hospital is located in
Alaska or Hawaii, the nonlabor-related share is adjusted by a cost-of-
living adjustment factor. This base payment rate is multiplied by the
DRG relative weight.
If the hospital treats a high percentage of certain low-income
patients, it receives a percentage add-on payment applied to the DRG-
adjusted base payment rate. This add-on payment, known as the
disproportionate share hospital (DSH) adjustment, provides for a
percentage increase in Medicare payments to hospitals that qualify
under either of two statutory formulas designed to identify hospitals
that serve a disproportionate share of low-income patients. For
qualifying hospitals, the amount of this adjustment varies based on the
outcome of the statutory calculations. The Affordable Care Act revised
the Medicare DSH payment methodology and provides for a new additional
Medicare payment beginning on October 1, 2013, that considers the
amount of uncompensated care furnished by the hospital relative to all
other qualifying hospitals.
If the hospital is training residents in an approved residency
program(s), it receives a percentage add-on payment for each case paid
under the IPPS, known as the indirect medical education (IME)
adjustment. This percentage varies, depending on the ratio of residents
to beds.
Additional payments may be made for cases that involve new
technologies or medical services that have been approved for special
add-on payments. To qualify, a new technology or medical service must
demonstrate that it is a substantial clinical improvement over
technologies or services otherwise available, and that, absent an add-
on payment, it would be inadequately paid under the regular DRG
payment.
The costs incurred by the hospital for a case are evaluated to
determine whether the hospital is eligible for an additional payment as
an outlier case. This additional payment is designed to protect the
hospital from large financial losses due to unusually expensive cases.
Any eligible outlier payment is added to the DRG-adjusted base payment
rate, plus any DSH, IME, and new technology or medical service add-on
adjustments.
Although payments to most hospitals under the IPPS are made on the
basis of the standardized amounts, some categories of hospitals are
paid in whole or in part based on their hospital-specific rate, which
is determined from their costs in a base year. For example, sole
community hospitals (SCHs)
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receive the higher of a hospital-specific rate based on their costs in
a base year (the highest of FY 1982, FY 1987, FY 1996, or FY 2006) or
the IPPS Federal rate based on the standardized amount. SCHs are the
sole source of care in their areas. Specifically, section
1886(d)(5)(D)(iii) of the Act defines an SCH as a hospital that is
located more than 35 road miles from another hospital or that, by
reason of factors such as an isolated location, weather conditions,
travel conditions, or absence of other like hospitals (as determined by
the Secretary), is the sole source of hospital inpatient services
reasonably available to Medicare beneficiaries. In addition, certain
rural hospitals previously designated by the Secretary as essential
access community hospitals are considered SCHs.
Under current law, the Medicare-dependent, small rural hospital
(MDH) program is effective through FY 2022. Through and including FY
2006, an MDH received the higher of the Federal rate or the Federal
rate plus 50 percent of the amount by which the Federal rate was
exceeded by the higher of its FY 1982 or FY 1987 hospital-specific
rate. For discharges occurring on or after October 1, 2007, but before
October 1, 2022, an MDH receives the higher of the Federal rate or the
Federal rate plus 75 percent of the amount by which the Federal rate is
exceeded by the highest of its FY 1982, FY 1987, or FY 2002 hospital-
specific rate. MDHs are a major source of care for Medicare
beneficiaries in their areas. Section 1886(d)(5)(G)(iv) of the Act
defines an MDH as a hospital that is located in a rural area (or, as
amended by the Bipartisan Budget Act of 2018, a hospital located in a
State with no rural area that meets certain statutory criteria), has
not more than 100 beds, is not an SCH, and has a high percentage of
Medicare discharges (not less than 60 percent of its inpatient days or
discharges in its cost reporting year beginning in FY 1987 or in two of
its three most recently settled Medicare cost reporting years).
Section 1886(g) of the Act requires the Secretary to pay for the
capital-related costs of inpatient hospital services in accordance with
a prospective payment system established by the Secretary. The basic
methodology for determining capital prospective payments is set forth
in our regulations at 42 CFR 412.308 and 412.312. Under the capital
IPPS, payments are adjusted by the same DRG for the case as they are
under the operating IPPS. Capital IPPS payments are also adjusted for
IME and DSH, similar to the adjustments made under the operating IPPS.
In addition, hospitals may receive outlier payments for those cases
that have unusually high costs.
The existing regulations governing payments to hospitals under the
IPPS are located in 42 CFR part 412, subparts A through M.
2. Hospitals and Hospital Units Excluded From the IPPS
Under section 1886(d)(1)(B) of the Act, as amended, certain
hospitals and hospital units are excluded from the IPPS. These
hospitals and units are: Inpatient rehabilitation facility (IRF)
hospitals and units; long-term care hospitals (LTCHs); psychiatric
hospitals and units; children's hospitals; cancer hospitals; extended
neoplastic disease care hospitals, and hospitals located outside the 50
States, the District of Columbia, and Puerto Rico (that is, hospitals
located in the U.S. Virgin Islands, Guam, the Northern Mariana Islands,
and American Samoa). Religious nonmedical health care institutions
(RNHCIs) are also excluded from the IPPS. Various sections of the
Balanced Budget Act of 1997 (BBA, Pub. L. 105-33), the Medicare,
Medicaid and SCHIP [State Children's Health Insurance Program] Balanced
Budget Refinement Act of 1999 (BBRA, Pub. L. 106-113), and the
Medicare, Medicaid, and SCHIP Benefits Improvement and Protection Act
of 2000 (BIPA, Pub. L. 106-554) provide for the implementation of PPSs
for IRF hospitals and units, LTCHs, and psychiatric hospitals and units
(referred to as inpatient psychiatric facilities (IPFs)). (We note that
the annual updates to the LTCH PPS are included along with the IPPS
annual update in this document. Updates to the IRF PPS and IPF PPS are
issued as separate documents.) Children's hospitals, cancer hospitals,
hospitals located outside the 50 States, the District of Columbia, and
Puerto Rico (that is, hospitals located in the U.S. Virgin Islands,
Guam, the Northern Mariana Islands, and American Samoa), and RNHCIs
continue to be paid solely under a reasonable cost-based system,
subject to a rate-of-increase ceiling on inpatient operating costs.
Similarly, extended neoplastic disease care hospitals are paid on a
reasonable cost basis, subject to a rate-of-increase ceiling on
inpatient operating costs.
The existing regulations governing payments to excluded hospitals
and hospital units are located in 42 CFR parts 412 and 413.
3. Long-Term Care Hospital Prospective Payment System (LTCH PPS)
The Medicare prospective payment system (PPS) for LTCHs applies to
hospitals described in section 1886(d)(1)(B)(iv) of the Act, effective
for cost reporting periods beginning on or after October 1, 2002. The
LTCH PPS was established under the authority of sections 123 of the
BBRA and section 307(b) of the BIPA (as codified under section
1886(m)(1) of the Act). During the 5-year (optional) transition period,
a LTCH's payment under the PPS was based on an increasing proportion of
the LTCH Federal rate with a corresponding decreasing proportion based
on reasonable cost principles. Effective for cost reporting periods
beginning on or after October 1, 2006 through September 30, 2015 all
LTCHs were paid 100 percent of the Federal rate. Section 1206(a) of the
Pathway for SGR Reform Act of 2013 (Pub. L. 113-67) established the
site neutral payment rate under the LTCH PPS, which made the LTCH PPS a
dual rate payment system beginning in FY 2016. Under this statute,
based on a rolling effective date that is linked to the date on which a
given LTCH's Federal FY 2016 cost reporting period begins, LTCHs are
generally paid for discharges at the site neutral payment rate unless
the discharge meets the patient criteria for payment at the LTCH PPS
standard Federal payment rate. The existing regulations governing
payment under the LTCH PPS are located in 42 CFR part 412, subpart O.
Beginning October 1, 2009, we issue the annual updates to the LTCH PPS
in the same documents that update the IPPS (73 FR 26797 through 26798).
4. Critical Access Hospitals (CAHs)
Under sections 1814(l), 1820, and 1834(g) of the Act, payments made
to critical access hospitals (CAHs) (that is, rural hospitals or
facilities that meet certain statutory requirements) for inpatient and
outpatient services are generally based on 101 percent of reasonable
cost. Reasonable cost is determined under the provisions of section
1861(v) of the Act and existing regulations under 42 CFR part 413.
5. Payments for Graduate Medical Education (GME)
Under section 1886(a)(4) of the Act, costs of approved educational
activities are excluded from the operating costs of inpatient hospital
services. Hospitals with approved graduate medical education (GME)
programs are paid for the direct costs of GME in accordance with
section 1886(h) of the Act. The amount of payment for direct GME costs
for a cost reporting period is based on the hospital's number of
residents in that period and the hospital's costs per resident in a
base year. The existing regulations governing payments to the
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various types of hospitals are located in 42 CFR part 413.
C. Summary of Provisions of Recent Legislation That Would Be
Implemented in This Proposed Rule
1. Pathway for SGR Reform Act of 2013 (Pub. L. 113-67)
The Pathway for SGR Reform Act of 2013 (Pub. L. 113-67) introduced
new payment rules in the LTCH PPS. Under section 1206 of this law,
discharges in cost reporting periods beginning on or after October 1,
2015, under the LTCH PPS, receive payment under a site neutral rate
unless the discharge meets certain patient-specific criteria. In this
proposed rule, we are proposing to continue to update certain policies
that implemented provisions under section 1206 of the Pathway for SGR
Reform Act.
2. Improving Medicare Post-Acute Care Transformation Act of 2014
(IMPACT Act) (Pub. L. 113-185)
The Improving Medicare Post-Acute Care Transformation Act of 2014
(IMPACT Act) (Pub. L. 113-185), enacted on October 6, 2014, made a
number of changes that affect the Long-Term Care Hospital Quality
Reporting Program (LTCH QRP). In this proposed rule, we are proposing
to continue to implement portions of section 1899B of the Act, as added
by section 2(a) of the IMPACT Act, which, in part, requires LTCHs,
among other post-acute care providers, to report standardized patient
assessment data, data on quality measures, and data on resource use and
other measures.
3. The Medicare Access and CHIP Reauthorization Act of 2015 (Pub. L.
114-10)
Section 414 of the Medicare Access and CHIP Reauthorization Act of
2015 (MACRA, Pub. L. 114-10) specifies a 0.5 percent positive
adjustment to the standardized amount of Medicare payments to acute
care hospitals for FYs 2018 through 2023. These adjustments follow the
recoupment adjustment to the standardized amounts under section 1886(d)
of the Act based upon the Secretary's estimates for discharges
occurring from FYs 2014 through 2017 to fully offset $11 billion, in
accordance with section 631 of the ATRA. The FY 2018 adjustment was
subsequently adjusted to 0.4588 percent by section 15005 of the 21st
Century Cures Act.
4. The 21st Century Cures Act (Pub. L. 114-255)
The 21st Century Cures Act (Pub. L. 114-255), enacted on December
13, 2016, contained the following provision affecting payments under
the Hospital Readmissions Reduction Program, which we are proposing to
continue to implement in this proposed rule:
Section 15002, which amended section 1886(q)(3) of the Act
by adding subparagraphs (D) and (E), which requires the Secretary to
develop a methodology for calculating the excess readmissions
adjustment factor for the Hospital Readmissions Reduction Program based
on cohorts defined by the percentage of dual-eligible patients (that
is, patients who are eligible for both Medicare and full-benefit
Medicaid coverage) cared for by a hospital. In this proposed rule, we
are proposing to continue to implement changes to the payment
adjustment factor to assess penalties based on a hospital's
performance, relative to other hospitals treating a similar proportion
of dual-eligible patients.
D. Summary of the Provisions of This Proposed Rule
In this proposed rule, we set forth proposed payment and policy
changes to the Medicare IPPS for FY 2020 operating costs and capital-
related costs of acute care hospitals and certain hospitals and
hospital units that are excluded from IPPS. In addition, we set forth
proposed changes to the payment rates, factors, and other payment and
policy-related changes to programs associated with payment rate
policies under the LTCH PPS for FY 2020.
Below is a general summary of the changes that we are proposing to
make in this proposed rule.
1. Proposed Changes to MS-DRG Classifications and Recalibrations of
Relative Weights
In section II. of the preamble of this proposed rule, we include--
Proposed changes to MS-DRG classifications based on our
yearly review for FY 2020.
Proposed adjustment to the standardized amounts under
section 1886(d) of the Act for FY 2020 in accordance with the
amendments made to section 7(b)(1)(B) of Public Law 110-90 by section
414 of the MACRA.
Proposed recalibration of the MS-DRG relative weights.
A discussion of the proposed FY 2020 status of new
technologies approved for add-on payments for FY 2019 and a
presentation of our evaluation and analysis of the FY 2020 applicants
for add-on payments for high-cost new medical services and technologies
(including public input, as directed by Pub. L. 108-173, obtained in a
town hall meeting).
A request for public comments on the substantial clinical
improvement criterion used to evaluate applications for both the IPPS
new technology add-on payments and the OPPS transitional pass-through
payment for devices, and a discussion of potential revisions that we
are considering adopting as final policies related to the substantial
clinical improvement criterion for applications received beginning in
FY 2020 for the IPPS (that is, for FY 2021 and later new technology
add-on payments) and beginning in CY 2020 for the OPPS.
A proposed alternative IPPS new technology add-on payment
pathway for certain transformative new devices.
Proposed changes to the calculation of the IPPS new
technology add-on payment.
2. Proposed Changes to the Hospital Wage Index for Acute Care Hospitals
In section III. of the preamble to this proposed rule, we are
proposing to make revisions to the wage index for acute care hospitals
and the annual update of the wage data. Specific issues addressed
include, but are not limited to, the following:
The proposed FY 2020 wage index update using wage data
from cost reporting periods beginning in FY 2016.
Proposals to address wage index disparities between high
and low wage index hospitals.
Calculation, analysis, and implementation of the proposed
occupational mix adjustment to the wage index for acute care hospitals
for FY 2020 based on the 2016 Occupational Mix Survey.
Proposed application of the rural floor and the frontier
State floor.
Proposed revisions to the wage index for acute care
hospitals, based on hospital redesignations and reclassifications under
sections 1886(d)(8)(B), (d)(8)(E), and (d)(10) of the Act.
Proposed change to Lugar county assignments.
Proposed adjustment to the wage index for acute care
hospitals for FY 2020 based on commuting patterns of hospital employees
who reside in a county and work in a different area with a higher wage
index.
Proposed labor-related share for the proposed FY 2020 wage
index.
3. Other Decisions and Proposed Changes to the IPPS for Operating Costs
In section IV. of the preamble of this proposed rule, we discuss
proposed changes or clarifications of a number of the provisions of the
regulations in 42
[[Page 19169]]
CFR parts 412 and 413, including the following:
Proposed changes to MS-DRGs subject to the postacute care
transfer policy and special payment policy.
Proposed changes to the inpatient hospital update for FY
2020.
Proposed conforming changes to the regulations for the
low-volume hospital payment adjustment policy.
Proposed updated national and regional case-mix values and
discharges for purposes of determining RRC status.
The statutorily required IME adjustment factor for FY
2020.
Proposed changes to the methodologies for determining
Medicare DSH payments and the additional payments for uncompensated
care.
A request for public comments on PRRB appeals related to a
hospital's Medicaid fraction in the DSH payment adjustment calculation.
Proposed changes to the policies for payment adjustments
under the Hospital Readmissions Reduction Program based on hospital
readmission measures and the process for hospital review and correction
of those rates for FY 2020.
Proposed changes to the requirements and provision of
value-based incentive payments under the Hospital Value-Based
Purchasing Program.
Proposed requirements for payment adjustments to hospitals
under the HAC Reduction Program for FY 2020.
Proposed changes related to CAHs as nonproviders for
direct GME and IME payment purposes.
Discussion of and proposals relating to the implementation
of the Rural Community Hospital Demonstration Program in FY 2020.
4. Proposed FY 2020 Policy Governing the IPPS for Capital-Related Costs
In section V. of the preamble to this proposed rule, we discuss the
proposed payment policy requirements for capital-related costs and
capital payments to hospitals for FY 2020.
5. Proposed Changes to the Payment Rates for Certain Excluded
Hospitals: Rate-of-Increase Percentages
In section VI. of the preamble of this proposed rule, we discuss--
Proposed changes to payments to certain excluded hospitals
for FY 2020.
Proposed change related to CAH payment for ambulance
services.
Proposed continued implementation of the Frontier
Community Health Integration Project (FCHIP) Demonstration.
6. Proposed Changes to the LTCH PPS
In section VII. of the preamble of this proposed rule, we set
forth--
Proposed changes to the LTCH PPS Federal payment rates,
factors, and other payment rate policies under the LTCH PPS for FY
2020.
Proposed payment adjustment for discharges of LTCHs that
do not meet the applicable discharge payment percentage.
7. Proposed Changes Relating to Quality Data Reporting for Specific
Providers and Suppliers
In section VIII. of the preamble of this proposed rule, we
address--
Proposed requirements for the Hospital Inpatient Quality
Reporting (IQR) Program.
Proposed changes to the requirements for the quality
reporting program for PPS-exempt cancer hospitals (PCHQR Program).
Proposed changes to the requirements under the LTCH
Quality Reporting Program (LTCH QRP).
Proposed changes to requirements pertaining to eligible
hospitals and CAHs participating in the Medicare and Medicaid Promoting
Interoperability Programs.
8. Provider Reimbursement Review Board Appeals
In section XI. of the preamble of this proposed rule, we discuss
the growing number of Provider Reimbursement Review Board appeals made
by providers and the action initiatives that are being implemented with
the goal to: decrease the number of appeals submitted; decrease the
number of appeals in inventory; reduce the time to resolution; and
increase customer satisfaction.
9. Determining Prospective Payment Operating and Capital Rates and
Rate-of-Increase Limits for Acute Care Hospitals
In sections II. and III. of the Addendum to this proposed rule, we
set forth the proposed changes to the amounts and factors for
determining the proposed FY 2020 prospective payment rates for
operating costs and capital-related costs for acute care hospitals. We
are proposing to establish the threshold amounts for outlier cases,
including a proposed change to the methodology for calculating those
threshold amounts for FY 2020 to incorporate a projection of outlier
payment reconciliations. In addition, in section IV. of the Addendum to
this proposed rule, we address the update factors for determining the
rate-of-increase limits for cost reporting periods beginning in FY 2020
for certain hospitals excluded from the IPPS.
10. Determining Prospective Payment Rates for LTCHs
In section V. of the Addendum to this proposed rule, we set forth
proposed changes to the amounts and factors for determining the
proposed FY 2020 LTCH PPS standard Federal payment rate and other
factors used to determine LTCH PPS payments under both the LTCH PPS
standard Federal payment rate and the site neutral payment rate in FY
2020. We are proposing to establish the adjustments for wage levels,
the labor-related share, the cost-of-living adjustment, and high-cost
outliers, including the applicable fixed-loss amounts and the LTCH
cost-to-charge ratios (CCRs) for both payment rates.
11. Impact Analysis
In Appendix A of this proposed rule, we set forth an analysis of
the impact the proposed changes would have on affected acute care
hospitals, CAHs, LTCHs, and PCHs.
12. Recommendation of Update Factors for Operating Cost Rates of
Payment for Hospital Inpatient Services
In Appendix B of this proposed rule, as required by sections
1886(e)(4) and (e)(5) of the Act, we provide our recommendations of the
appropriate percentage changes for FY 2020 for the following:
A single average standardized amount for all areas for
hospital inpatient services paid under the IPPS for operating costs of
acute care hospitals (and hospital-specific rates applicable to SCHs
and MDHs).
Target rate-of-increase limits to the allowable operating
costs of hospital inpatient services furnished by certain hospitals
excluded from the IPPS.
The LTCH PPS standard Federal payment rate and the site
neutral payment rate for hospital inpatient services provided for LTCH
PPS discharges.
13. Discussion of Medicare Payment Advisory Commission Recommendations
Under section 1805(b) of the Act, MedPAC is required to submit a
report to Congress, no later than March 15 of each year, in which
MedPAC reviews and makes recommendations on Medicare payment policies.
MedPAC's March 2019 recommendations concerning hospital inpatient
payment policies addressed the update factor for hospital inpatient
operating costs and capital-related costs for hospitals under the IPPS.
We address these
[[Page 19170]]
recommendations in Appendix B of this proposed rule. For further
information relating specifically to the MedPAC March 2019 report or to
obtain a copy of the report, contact MedPAC at (202) 220-3700 or visit
MedPAC's website at: https://www.medpac.gov.
E. Advancing Health Information Exchange
The Department of Health and Human Services (HHS) has a number of
initiatives designed to encourage and support the adoption of
interoperable health information technology and to promote nationwide
health information exchange to improve health care. The Office of the
National Coordinator for Health Information Technology (ONC) and CMS
work collaboratively to advance interoperability across settings of
care, including post-acute care.
To further interoperability in post-acute care, we developed a Data
Element Library (DEL) to serve as a publicly available centralized,
authoritative resource for standardized data elements and their
associated mappings to health IT standards. The DEL furthers CMS' goal
of data standardization and interoperability, which is also a goal of
the IMPACT Act. These interoperable data elements can reduce provider
burden by allowing the use and exchange of health care data, support
provider exchange of electronic health information for care
coordination, person-centered care, and support real-time, data driven,
clinical decision making. Standards in the Data Element Library
(https://del.cms.gov/) can be referenced on the CMS website and in the
ONC Interoperability Standards Advisory (ISA). The 2019 ISA is
available at: https://www.healthit.gov/isa.
The 21st Century Cures Act (the Cures Act) (Pub. L. 114-255,
enacted December 13, 2016) requires HHS to take new steps to enable the
electronic sharing of health information ensuring interoperability for
providers and settings across the care continuum. In an important
provision, Congress defined ``information blocking'' as practices
likely to interfere with, prevent, or materially discourage access,
exchange, or use of electronic health information, and established new
authority for HHS to discourage these practices. In March 2019, ONC and
CMS published the proposed rules, ``21st Century Cures Act:
Interoperability, Information Blocking, and the ONC Health IT
Certification Program'' (84 FR 7424 through 7610) and
``Interoperability and Patient Access'' (84 FR 7610 through 7680), to
promote secure and more immediate access to health information for
patients and health care providers through the implementation of
information blocking provisions of the Cures Act and the use of
standardized application programming interfaces (APIs) that enable
easier access to electronic health information. These two proposed
rules are open for public comments at: www.regulations.gov.
We invite providers to learn more about these important
developments and how they are likely to affect hospitals paid under the
IPPS and the LTCH PPS.
II. Proposed Changes to Medicare Severity Diagnosis-Related Group (MS-
DRG) Classifications and Relative Weights
A. Background
Section 1886(d) of the Act specifies that the Secretary shall
establish a classification system (referred to as diagnosis-related
groups (DRGs)) for inpatient discharges and adjust payments under the
IPPS based on appropriate weighting factors assigned to each DRG.
Therefore, under the IPPS, Medicare pays for inpatient hospital
services on a rate per discharge basis that varies according to the DRG
to which a beneficiary's stay is assigned. The formula used to
calculate payment for a specific case multiplies an individual
hospital's payment rate per case by the weight of the DRG to which the
case is assigned. Each DRG weight represents the average resources
required to care for cases in that particular DRG, relative to the
average resources used to treat cases in all DRGs.
Section 1886(d)(4)(C) of the Act requires that the Secretary adjust
the DRG classifications and relative weights at least annually to
account for changes in resource consumption. These adjustments are made
to reflect changes in treatment patterns, technology, and any other
factors that may change the relative use of hospital resources.
B. MS-DRG Reclassifications
For general information about the MS-DRG system, including yearly
reviews and changes to the MS-DRGs, we refer readers to the previous
discussions in the FY 2010 IPPS/RY 2010 LTCH PPS final rule (74 FR
43764 through 43766) and the FYs 2011 through 2019 IPPS/LTCH PPS final
rules (75 FR 50053 through 50055; 76 FR 51485 through 51487; 77 FR
53273; 78 FR 50512; 79 FR 49871; 80 FR 49342; 81 FR 56787 through
56872; 82 FR 38010 through 38085, and 83 FR 41158 through 41258,
respectively).
C. Adoption of the MS-DRGs in FY 2008
For information on the adoption of the MS-DRGs in FY 2008, we refer
readers to the FY 2008 IPPS final rule with comment period (72 FR 47140
through 47189).
D. Proposed FY 2020 MS-DRG Documentation and Coding Adjustment
1. Background on the Prospective MS-DRG Documentation and Coding
Adjustments for FY 2008 and FY 2009 Authorized by Public Law 110-90 and
the Recoupment or Repayment Adjustment Authorized by Section 631 of the
American Taxpayer Relief Act of 2012 (ATRA)
In the FY 2008 IPPS final rule with comment period (72 FR 47140
through 47189), we adopted the MS-DRG patient classification system for
the IPPS, effective October 1, 2007, to better recognize severity of
illness in Medicare payment rates for acute care hospitals. The
adoption of the MS-DRG system resulted in the expansion of the number
of DRGs from 538 in FY 2007 to 745 in FY 2008. By increasing the number
of MS-DRGs and more fully taking into account patient severity of
illness in Medicare payment rates for acute care hospitals, MS-DRGs
encourage hospitals to improve their documentation and coding of
patient diagnoses.
In the FY 2008 IPPS final rule with comment period (72 FR 47175
through 47186), we indicated that the adoption of the MS-DRGs had the
potential to lead to increases in aggregate payments without a
corresponding increase in actual patient severity of illness due to the
incentives for additional documentation and coding. In that final rule
with comment period, we exercised our authority under section
1886(d)(3)(A)(vi) of the Act, which authorizes us to maintain budget
neutrality by adjusting the national standardized amount, to eliminate
the estimated effect of changes in coding or classification that do not
reflect real changes in case-mix. Our actuaries estimated that
maintaining budget neutrality required an adjustment of -4.8 percentage
points to the national standardized amount. We provided for phasing in
this -4.8 percentage point adjustment over 3 years. Specifically, we
established prospective documentation and coding adjustments of -1.2
percentage points for FY 2008, -1.8 percentage points for FY 2009, and
-1.8 percentage points for FY 2010.
On September 29, 2007, Congress enacted the TMA [Transitional
Medical Assistance], Abstinence Education, and
[[Page 19171]]
QI [Qualifying Individuals] Programs Extension Act of 2007 (Pub. L.
110-90). Section 7(a) of Public Law 110-90 reduced the documentation
and coding adjustment made as a result of the MS-DRG system that we
adopted in the FY 2008 IPPS final rule with comment period to -0.6
percentage point for FY 2008 and -0.9 percentage point for FY 2009.
As discussed in prior year rulemakings, and most recently in the FY
2017 IPPS/LTCH PPS final rule (81 FR 56780 through 56782), we
implemented a series of adjustments required under sections 7(b)(1)(A)
and 7(b)(1)(B) of Public Law 110-90, based on a retrospective review of
FY 2008 and FY 2009 claims data. We completed these adjustments in FY
2013 but indicated in the FY 2013 IPPS/LTCH PPS final rule (77 FR 53274
through 53275) that delaying full implementation of the adjustment
required under section 7(b)(1)(A) of Public Law 110-90 until FY 2013
resulted in payments in FY 2010 through FY 2012 being overstated, and
that these overpayments could not be recovered under Public Law 110-90.
In addition, as discussed in prior rulemakings and most recently in
the FY 2018 IPPS/LTCH PPS final rule (82 FR 38008 through 38009),
section 631 of the ATRA amended section 7(b)(1)(B) of Public Law 110-90
to require the Secretary to make a recoupment adjustment or adjustments
totaling $11 billion by FY 2017. This adjustment represented the amount
of the increase in aggregate payments as a result of not completing the
prospective adjustment authorized under section 7(b)(1)(A) of Public
Law 110-90 until FY 2013.
2. Adjustments Made for FY 2018 and FY 2019 as Required Under Section
414 of Public Law 114-10 (MACRA) and Section 15005 of Public Law 114-
255
As stated in the FY 2017 IPPS/LTCH PPS final rule (81 FR 56785),
once the recoupment required under section 631 of the ATRA was
complete, we had anticipated making a single positive adjustment in FY
2018 to offset the reductions required to recoup the $11 billion under
section 631 of the ATRA. However, section 414 of the MACRA (which was
enacted on April 16, 2015) replaced the single positive adjustment we
intended to make in FY 2018 with a 0.5 percentage point positive
adjustment for each of FYs 2018 through 2023. In the FY 2017
rulemaking, we indicated that we would address the adjustments for FY
2018 and later fiscal years in future rulemaking. Section 15005 of the
21st Century Cures Act (Pub. L. 114-255), which was enacted on December
13, 2016, amended section 7(b)(1)(B) of the TMA, as amended by section
631 of the ATRA and section 414 of the MACRA, to reduce the adjustment
for FY 2018 from a 0.5 percentage point positive adjustment to a 0.4588
percentage point positive adjustment. As we discussed in the FY 2018
rulemaking, we believe the directive under section 15005 of Public Law
114-255 is clear. Therefore, in the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38009) for FY 2018, we implemented the required +0.4588
percentage point adjustment to the standardized amount. In the FY 2019
IPPS/LTCH PPS final rule (83 FR 41157), consistent with the
requirements of section 414 of the MACRA, we implemented a 0.5
percentage point positive adjustment to the standardized amount for FY
2019. We indicated that both the FY 2018 and FY 2019 adjustments were
permanent adjustments to payment rates. We also stated that we plan to
propose future adjustments required under section 414 of the MACRA for
FYs 2020 through 2023 in future rulemaking.
3. Proposed Adjustment for FY 2020
Consistent with the requirements of section 414 of the MACRA, we
are proposing to implement a 0.5 percentage point positive adjustment
to the standardized amount for FY 2020. This would constitute a
permanent adjustment to payment rates. We plan to propose future
adjustments required under section 414 of the MACRA for FYs 2021
through 2023 in future rulemaking.
E. Refinement of the MS-DRG Relative Weight Calculation
1. Background
Beginning in FY 2007, we implemented relative weights for DRGs
based on cost report data instead of charge information. We refer
readers to the FY 2007 IPPS final rule (71 FR 47882) for a detailed
discussion of our final policy for calculating the cost-based DRG
relative weights and to the FY 2008 IPPS final rule with comment period
(72 FR 47199) for information on how we blended relative weights based
on the CMS DRGs and MS-DRGs. We also refer readers to the FY 2017 IPPS/
LTCH PPS final rule (81 FR 56785 through 56787) for a detailed
discussion of the history of changes to the number of cost centers used
in calculating the DRG relative weights. Since FY 2014, we have
calculated the IPPS MS-DRG relative weights using 19 CCRs, which now
include distinct CCRs for implantable devices, MRIs, CT scans, and
cardiac catheterization.
2. Discussion of Policy for FY 2020
Consistent with our established policy, we are calculating the
proposed MS-DRG relative weights for FY 2020 using two data sources:
The MedPAR file as the claims data source and the HCRIS as the cost
report data source. We adjust the charges from the claims to costs by
applying the 19 national average CCRs developed from the cost reports.
The description of the calculation of the proposed 19 CCRs and the
proposed MS-DRG relative weights for FY 2020 is included in section
II.G. of the preamble to this FY 2020 IPPS/LTCH PPS proposed rule. As
we did with the FY 2019 IPPS/LTCH PPS final rule, for this FY 2020
proposed rule, we are providing the version of the HCRIS from which we
calculated these proposed 19 CCRs on the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/. Click on the link on the left side of the
screen titled ``FY 2020 IPPS Proposed Rule Home Page'' or ``Acute
Inpatient Files for Download.''
F. Proposed Changes to Specific MS-DRG Classifications
1. Discussion of Changes to Coding System and Basis for Proposed FY
2020 MS-DRG Updates
a. Conversion of MS-DRGs to the International Classification of
Diseases, 10th Revision (ICD-10)
As of October 1, 2015, providers use the International
Classification of Diseases, 10th Revision (ICD-10) coding system to
report diagnoses and procedures for Medicare hospital inpatient
services under the MS-DRG system instead of the ICD-9-CM coding system,
which was used through September 30, 2015. The ICD-10 coding system
includes the International Classification of Diseases, 10th Revision,
Clinical Modification (ICD-10-CM) for diagnosis coding and the
International Classification of Diseases, 10th Revision, Procedure
Coding System (ICD-10-PCS) for inpatient hospital procedure coding, as
well as the ICD-10-CM and ICD-10-PCS Official Guidelines for Coding and
Reporting. For a detailed discussion of the conversion of the MS-DRGs
to ICD-10, we refer readers to the FY 2017 IPPS/LTCH PPS final rule (81
FR 56787 through 56789).
b. Basis for Proposed FY 2020 MS-DRG Updates
CMS has previously encouraged input from our stakeholders
concerning the annual IPPS updates when that input was made available
to us by December
[[Page 19172]]
7 of the year prior to the next annual proposed rule update. As
discussed in the FY 2018 IPPS/LTCH PPS final rule (82 FR 38010), as we
work with the public to examine the ICD-10 claims data used for updates
to the ICD-10 MS DRGs, we would like to examine areas where the MS-DRGs
can be improved, which will require additional time for us to review
requests from the public to make specific updates, analyze claims data,
and consider any proposed updates. Given the need for more time to
carefully evaluate requests and propose updates, we changed the
deadline to request updates to the MS-DRGs to November 1 of each year.
This will provide an additional 5 weeks for the data analysis and
review process. Interested parties had to submit any comments and
suggestions for FY 2020 by November 1, 2018, and should submit any
comments and suggestions for FY 2021 by November 1, 2019 via the CMS
MS-DRG Classification Change Request Mailbox located at:
[email protected]. The comments that were submitted
in a timely manner for FY 2020 are discussed in this section of the
preamble of this proposed rule. As we discuss in the sections that
follow, we may not be able to fully consider all of the requests that
we receive for the upcoming fiscal year. We have found that, with the
implementation of ICD-10, some types of requested changes to the MS-DRG
classifications require more extensive research to identify and analyze
all of the data that are relevant to evaluating the potential change.
We note in the discussion that follows those topics for which further
research and analysis are required, and which we will continue to
consider in connection with future rulemaking.
Following are the changes that we are proposing to the MS-DRGs for
FY 2020. We are inviting public comments on each of the MS-DRG
classification proposed changes, as well as our proposals to maintain
certain existing MS-DRG classifications discussed in this proposed
rule. In some cases, we are proposing changes to the MS-DRG
classifications based on our analysis of claims data and consultation
with our clinical advisors. In other cases, we are proposing to
maintain the existing MS-DRG classifications based on our analysis of
claims data and consultation with our clinical advisors. For this FY
2020 IPPS/LTCH PPS proposed rule, our MS-DRG analysis was based on ICD-
10 claims data from the September 2018 update of the FY 2018 MedPAR
file, which contains hospital bills received through September 30,
2018, for discharges occurring through September 30, 2018. In our
discussion of the proposed MS-DRG reclassification changes, we refer to
these claims data as the ``September 2018 update of the FY 2018 MedPAR
file.''
As explained in previous rulemaking (76 FR 51487), in deciding
whether to propose to make further modifications to the MS-DRGs for
particular circumstances brought to our attention, we consider whether
the resource consumption and clinical characteristics of the patients
with a given set of conditions are significantly different than the
remaining patients represented in the MS-DRG. We evaluate patient care
costs using average costs and lengths of stay and rely on the judgment
of our clinical advisors to determine whether patients are clinically
distinct or similar to other patients represented in the MS-DRG. In
evaluating resource costs, we consider both the absolute and percentage
differences in average costs between the cases we select for review and
the remainder of cases in the MS-DRG. We also consider variation in
costs within these groups; that is, whether observed average
differences are consistent across patients or attributable to cases
that are extreme in terms of costs or length of stay, or both. Further,
we consider the number of patients who will have a given set of
characteristics and generally prefer not to create a new MS-DRG unless
it would include a substantial number of cases.
In our examination of the claims data, we apply the following
criteria established in FY 2008 (72 FR 47169) to determine if the
creation of a new complication or comorbidity (CC) or major
complication or comorbidity (MCC) subgroup within a base MS-DRG is
warranted:
A reduction in variance of costs of at least 3 percent;
At least 5 percent of the patients in the MS-DRG fall
within the CC or MCC subgroup;
At least 500 cases are in the CC or MCC subgroup;
There is at least a 20-percent difference in average costs
between subgroups; and
There is a $2,000 difference in average costs between
subgroups.
In order to warrant creation of a CC or MCC subgroup within a base
MS-DRG, the subgroup must meet all five of the criteria.
2. Pre-MDC
a. Peripheral ECMO
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41166 through
41169), we discussed a request we received to review cases reporting
the use of extracorporeal membrane oxygenation (ECMO) in combination
with the insertion of a percutaneous short-term external heart assist
device. We also noted that a separate request to create a new ICD-10-
PCS procedure code specifically for percutaneous ECMO was discussed at
the March 6-7, 2018 ICD-10 Coordination and Maintenance Committee
Meeting for which we finalized the creation of three new procedure
codes to identify and describe different types of ECMO treatments
currently being utilized. These three new procedure codes were included
in the FY 2019 ICD-10-PCS procedure codes files (which are available
via the internet on the CMS website at: https://www.cms.gov/Medicare/Coding/ICD10/2019-ICD-10-PCS.html) and were made publicly available in
May 2018. We received recommendations from commenters on suggested MS-
DRG assignments for the two new procedure codes that uniquely identify
percutaneous (peripheral) ECMO, including assignment to MS-DRG 215
(Other Heart Assist System Implant), or to Pre-MDC MS-DRG 004
(Tracheostomy with Mechanical Ventilation >96 Hours or Principal
Diagnosis Except Face, Mouth and Neck without Major O.R. Procedure)
specifically for the new procedure code describing percutaneous veno-
venous (VV) ECMO or an alternate MS-DRG within MDC 4 (Diseases and
Disorders of the Respiratory System). In our response, we noted that
because these codes were not finalized at the time of the proposed
rule, there were no proposed MDC or MS-DRG assignments or O.R. and non-
O.R. designations for these new procedure codes and they were not
reflected in Table 6B.--New Procedure Codes (which is available via the
internet on the CMS website at: https://www.cms.hhs.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/)
associated with the FY 2019 IPPS/LTCH PPS proposed rule.
We further noted that, consistent with our annual process of
assigning new procedure codes to MDCs and MS-DRGs, and designating a
procedure as an O.R. or non-O.R. procedure, we reviewed the predecessor
procedure code assignment. For the reasons discussed in the FY 2019
IPPS/LTCH PPS final rule, our clinical advisors did not support
assigning the new procedure codes for the percutaneous (peripheral)
ECMO procedures to the same MS-DRG as the predecessor code for open
(central) ECMO in pre-MDC MS-DRG 003.
[[Page 19173]]
Effective with discharges occurring on and after October 1, 2018,
the three ECMO procedure codes and their corresponding MS-DRG
assignments are as shown in the following table.
----------------------------------------------------------------------------------------------------------------
ICD-10-PCS code Code description MS-DRG MS-DRG description
----------------------------------------------------------------------------------------------------------------
5A1522F...................... Extracorporeal Pre-MDC...................... ECMO or Tracheostomy with
Oxygenation, MS-DRG 003................... Mechanical Ventilation
Membrane, Central. >96 Hours or Principal
Diagnosis Except Face,
Mouth and Neck with Major
O.R. Procedure.
5A1522G...................... Extracorporeal MS-DRG 207................... Respiratory System
Oxygenation, Diagnosis with Ventilator
Membrane, Peripheral Support >96 Hours or
Veno-arterial. Peripheral Extracorporeal
Membrane Oxygenation
(ECMO).
MS-DRG 291................... Heart Failure and Shock
with MCC or Peripheral
Extracorporeal Membrane
Oxygenation (ECMO).
MS-DRG 296................... Cardiac Arrest,
Unexplained with MCC or
Peripheral Extracorporeal
Membrane Oxygenation
(ECMO).
MS-DRG 870................... Septicemia Or Severe
Sepsis with Mechanical
Ventilation >96 Hours Or
Peripheral Extracorporeal
Membrane Oxygenation
(ECMO).
5A1522H...................... Extracorporeal MS-DRG 207................... Respiratory System
Oxygenation, Diagnosis with Ventilator
Membrane, Peripheral Support >96 Hours or
Veno-venous. Peripheral Extracorporeal
Membrane Oxygenation
(ECMO).
MS-DRG 291................... Heart Failure and Shock
with MCC or Peripheral
Extracorporeal Membrane
Oxygenation (ECMO).
MS-DRG 296................... Cardiac Arrest,
Unexplained with MCC or
Peripheral Extracorporeal
Membrane Oxygenation
(ECMO).
MS-DRG 870................... Septicemia Or Severe
Sepsis with Mechanical
Ventilation >96 Hours Or
Peripheral Extracorporeal
Membrane Oxygenation
(ECMO).
----------------------------------------------------------------------------------------------------------------
After publication of the FY 2019 IPPS/LTCH PPS final rule, we
received comments and feedback from stakeholders expressing concern
with the MS-DRG assignments for the two new procedure codes describing
peripheral ECMO. Specifically, these stakeholders stated that: (1) The
MS-DRG assignments for ECMO should not be based on how the patient is
cannulated (open versus peripheral) because most of the costs for both
central and peripheral ECMO can be attributed to the severity of
illness of the patient; (2) there was a lack of opportunity for public
comment on the finalized MS-DRG assignments; (3) patient access to ECMO
treatment and programs is now at risk because of inadequate payment;
and (4) CMS did not appear to have access to enough patient data to
evaluate for appropriate MS-DRG assignment consideration. They also
stated that the new procedure codes do not account for an open cut-down
approach that may be performed on a peripheral vessel during a
peripheral ECMO procedure. These stakeholders recommended that,
consistent with the usual process of assigning new procedure codes to
the same MS-DRG as the predecessor code, the MS-DRG assignment for
peripheral ECMO procedures should be revised to allow assignment of
peripheral ECMO procedures to Pre-MDC MS-DRG 003 (ECMO or Tracheostomy
with Mechanical Ventilation >96 Hours or Principal Diagnosis Except
Face, Mouth and Neck with Major O.R. Procedure). They stated that this
revision would also allow for the collection of further claims data for
patients treated with ECMO and assist in determining the
appropriateness of any future modifications in MS-DRG assignment.
We also received feedback from a few stakeholders that, for some
cases involving peripheral ECMO, the current designation provides
compensation that these stakeholders believe is ``reasonable'' (for
example, for peripheral ECMO in certain patients admitted with acute
respiratory failure and sepsis). Some of these stakeholders agreed with
CMS that once claims data become available, the volume, length of stay
and cost data of claims with these new codes can be examined to
determine if modifications to MS-DRG assignment or O.R. and non-O.R.
designation are warranted. However, some of these stakeholders also
expressed concerns that the current assignments and designation do not
appropriately compensate for the resources used when peripheral ECMO is
used to treat certain patients (for example, patients who are admitted
with cardiac arrest and cardiogenic shock of known cause or patients
admitted with a different principal diagnosis or patients who develop a
diagnosis after admission that requires ECMO). These stakeholders
stated that the current MS-DRG assignments for such cases involving
peripheral ECMO do not provide sufficient payment and do not fully
consider the severity of illness of the patient and the level of
resources involved in treating such patients, such as surgical team,
general anesthesia, and other ECMO support such as specialized
monitoring.
With regard to stakeholders' concerns that we did not allow the
opportunity for public comment on the MS-DRG assignment for the three
new procedure codes that describe central and peripheral ECMO, as noted
above and as explained in the FY 2019 IPPS/LTCH PPS final rule (83 FR
41168), these new procedure codes were not finalized at the time of the
proposed rule. We note that although there were no proposed MDC or MS-
DRG assignment or O.R. and non-O.R. designations for these three new
procedure codes, we did, in fact, review and respond to comments on the
recommended MDC and MS-DRG assignments and O.R./non-O.R. designations
in the final rule (83 FR 41168 through 41169). For FY 2019, consistent
with our annual process of assigning new procedure codes to MDCs and
MS-DRGs and designating a procedure as an O.R. or non-O.R. procedure,
we reviewed the predecessor procedure code assignments. Upon completing
the review, our clinical advisors did not support assigning the two new
ICD-10-PCS procedure codes for peripheral ECMO procedures to the same
MS-DRG as the predecessor code for open (central) ECMO procedures.
Further, our clinical advisors also did not agree with designating
peripheral
[[Page 19174]]
ECMO procedures as O.R. procedures because they stated that these
procedures are less resource intensive compared to open ECMO
procedures.
As noted, our annual process for assigning new procedure codes
involves review of the predecessor procedure code's MS-DRG assignment.
However, this process does not automatically result in the new
procedure code being assigned (or proposed for assignment) to the same
MS-DRG as the predecessor code. There are several factors to consider
during this process that our clinical advisors take into account. For
example, in the absence of volume, length of stay, and cost data, they
may consider the specific service, procedure, or treatment being
described by the new procedure code, the indications, treatment
difficulty, and the resources utilized. We have continued to consider
how these and other factors may apply in the context of classifying
procedures under the ICD-10 MS-DRGs, including with regard to the
specific concerns raised by stakeholders.
In the absence of claims data for the new ICD-10-PCS procedure
codes describing peripheral ECMO, we analyzed claims data from the
September 2018 update of the FY 2018 MedPAR file for cases reporting
the predecessor ICD-10-PCS procedure code 5A15223 (Extracorporeal
membrane oxygenation, continuous) in Pre-MDC MS-DRG 003, including
those cases reporting secondary diagnosis MCC and CC conditions, that
were grouped under the ICD-10 MS-DRG Version 35 GROUPER. Our findings
are shown in the table below.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 003--All cases........................................... 14,456 29.6 $122,168
MS-DRG 003--Cases reporting procedure code 5A15223 2,086 20.2 128,168
(Extracorporeal membrane oxygenation, continuous)..............
MS-DRG 003--Cases reporting procedure code 5A15223 2,000 20.7 131,305
(Extracorporeal membrane oxygenation, continuous) with MCC.....
MS-DRG 003--Cases reporting procedure code 5A15223 79 7.6 58,231
(Extracorporeal membrane oxygenation, continuous) with CC......
----------------------------------------------------------------------------------------------------------------
The total number of cases reported in MS-DRG 003 was 14,456, with
an average length of stay of 29.6 days and average costs of $122,168.
For the cases reporting procedure code 5A15223 (Extracorporeal membrane
oxygenation, continuous), there was a total of 2,086 cases, with an
average length of stay of 20.2 days and average costs of $128,168. For
the cases reporting procedure code 5A15223 with an MCC, there was a
total of 2,000 cases, with an average length of stay of 20.7 days and
average costs of $131,305. For the cases reporting procedure code
5A15223 with a CC, there was a total of 79 cases, with an average
length of stay of 7.6 days and average costs of $58,231.
Our clinical advisors reviewed these data and noted that the
average length of stay for the cases reporting ECMO with procedure code
5A15223 of 20.2 days may not necessarily be a reliable indicator of
resources that can be attributed to ECMO treatment. Our clinical
advisors believed that a more appropriate measure of resource
consumption for ECMO would be the number of hours or days that a
patient was specifically receiving ECMO treatment, rather than the
length of hospital stay. However, they noted that this information is
not currently available in the claims data. Our clinical advisors also
stated that the average costs of $128,168 for the cases reporting ECMO
with procedure code 5A15223 are not necessarily reflective of the
resources utilized for ECMO treatment alone, as the average costs
represent a combination of factors, including the principal diagnosis,
any secondary diagnosis CC and/or MCC conditions necessitating
initiation of ECMO, and potentially any other procedures that may be
performed during the hospital stay. Our clinical advisors recognized
that patients who require ECMO treatment are severely ill and
recommended we review the claims data to identify the number
(frequency) and types of principal and secondary diagnosis CC and/or
MCC conditions that were reported among the 2,086 cases reporting
procedure code 5A15223. Our findings are shown in the following tables
for the top 10 principal diagnosis codes, followed by the top 10
secondary diagnosis MCC and secondary diagnosis CC conditions that were
reported within the claims data with procedure code 5A15223.
Top 10 Principal Diagnosis Codes Reported With Procedure Code 5A1223
[Extracorporeal membrane oxygenation, continuous]
------------------------------------------------------------------------
Number of
ICD-10-CM code Description times reported
------------------------------------------------------------------------
A41.9....................... Sepsis, unspecified 145
organism.
I21.4....................... Non-ST elevation (NSTEMI) 137
myocardial infarction.
I35.0....................... Nonrheumatic aortic 81
(valve) stenosis.
J84.112..................... Idiopathic pulmonary 68
fibrosis.
I25.110..................... Atherosclerotic heart 55
disease of native
coronary artery with
unstable angina pectoris.
J96.01...................... Acute respiratory failure 52
with hypoxia.
I21.09...................... STEMI involving other 49
coronary artery of
anterior wall.
I25.10...................... Atherosclerotic heart 48
disease of native
coronary artery w/o
angina pectoris.
I13.0....................... Hypertensive heart & 46
chronic kidney disease w
heart failure and stage 1
through stage 4 chronic
kidney disease, or
unspecified chronic
kidney disease.
I21.19...................... ST elevation (STEMI) 43
myocardial infarction
involving other coronary
artery of inferior wall.
------------------------------------------------------------------------
[[Page 19175]]
Top 10 Secondary Diagnosis MCC Conditions Reported With Procedure Code 5A1223
[Extracorporeal membrane oxygenation, continuous]
----------------------------------------------------------------------------------------------------------------
Number of Average length
ICD-10-CM code Description times reported of stay Average costs
----------------------------------------------------------------------------------------------------------------
A41.9........................... Sepsis, unspecified organism.. 322 29.7 $186,055
E43............................. Unspecified severe protein- 220 41.5 213,742
calorie malnutrition.
G93.40.......................... Encephalopathy, unspecified... 217 27.2 165,193
J18.9........................... Pneumonia, unspecified 220 23.5 150,242
organism.
J96.01.......................... Acute respiratory failure with 944 17.9 122,614
hypoxia.
J96.02.......................... Acute respiratory failure with 220 20.9 139,511
hypercapnia.
K72.00.......................... Acute and subacute hepatic 524 19 140,878
failure without coma.
N17.0........................... Acute kidney failure with 741 26.2 162,583
tubular necrosis.
R57.0........................... Cardiogenic shock............. 448 27.7 153,878
R65.21.......................... Severe sepsis with septic 504 29.7 177,992
shock.
----------------------------------------------------------------------------------------------------------------
Top 10 Secondary Diagnosis CC Conditions Reported With Procedure Code 5A1223
[Extracorporeal membrane oxygenation, continuous]
----------------------------------------------------------------------------------------------------------------
Number of Average length
ICD-10-CM code Description times reported of stay Average costs
----------------------------------------------------------------------------------------------------------------
D62............................. Acute posthemorrhagic anemia.. 1,139 21.8 $144,033
D68.9........................... Coagulation defect, 402 20.5 138,417
unspecified.
E87.0........................... Hyperosmolality and 585 26.6 162,028
hypernatremia.
E87.1........................... Hypo-osmolality and 316 26.1 151,824
hyponatremia.
E87.2........................... Acidosis...................... 937 17.3 120,881
E87.4........................... Mixed disorder of acid-base 268 26 150,257
balance.
I13.0........................... Hypertensive heart and chronic 314 18.4 121,962
kidney disease with heart
failure and stage 1 through
stage 4 chronic kidney
disease, or unspecified
chronic kidney disease.
I47.2........................... Ventricular tachycardia....... 384 17.5 123,383
J98.11.......................... Atelectasis................... 273 26.9 158,812
N17.9........................... Acute kidney failure, 757 18.5 122,180
unspecified.
----------------------------------------------------------------------------------------------------------------
These data show that the conditions reported for these patients
requiring treatment with ECMO and reported with predecessor ICD-10-PCS
procedure code 5A1223 represent a greater severity of illness, present
greater treatment difficulty, have poorer prognoses, and have a greater
need for intervention. While the data analysis was based on the
conditions reported with the predecessor ICD-10-PCS procedure code
5A1223 (Extracorporeal membrane oxygenation, continuous), our clinical
advisors believe the data may provide an indication of how cases
reporting the new procedure codes describing peripheral (percutaneous)
ECMO may be represented in future claims data with regard to
indications for treatment, a patient's severity of illness, resource
utilization, and treatment difficulty.
Based on the results of our data analysis and further review of the
cases reporting ECMO, including consideration of the stakeholders'
concerns that the MS-DRG assignments for ECMO procedures should not be
based on the method of cannulation, our clinical advisors agree that
resource consumption for both central and peripheral ECMO cases can be
primarily attributed to the severity of illness of the patient, and
that the method of cannulation is less relevant when considering the
overall resources required to treat patients on ECMO. Specifically, our
clinical advisors noted that consideration of resource consumption for
cases reporting the use of ECMO may extend well beyond the duration of
time that a patient was actively receiving ECMO treatment, which may
range anywhere from less than 24 hours to 10 days or more. As noted
above, in the absence of unique procedure codes that specify the
duration of time that a patient was receiving ECMO treatment, we cannot
ascertain from the claims data the resource use specifically
attributable to treatment with ECMO during a hospital stay. However,
when reviewing consumption of hospital resources for the cases in which
ECMO was reported during a hospital stay, the claims data clearly show
that the patients placed on ECMO typically have multiple MCC and CC
conditions. These data provide additional information on the expanding
indications for ECMO treatment as well as an indication of the
complexities and the treatment difficulty associated with these
patients. While our clinical advisors continue to believe that central
(open) ECMO may be more resource intensive and carries significant
risks for complications, including bleeding, infection, and vessel
injury because it requires an incision along the sternum (sternotomy)
and is performed for open heart surgery, they believe that the subset
of patients who require treatment with ECMO, regardless of the
cannulation method, would be similar in terms of overall hospital
resource consumption. We also note that while we do not yet have
Medicare claims data to evaluate the new peripheral ECMO procedure
codes, review of limited registry data provided by stakeholders for
patients treated with a reported peripheral ECMO procedure did not
contradict that costs for peripheral ECMO appear to be similar to the
costs of overall resources required to treat patients on ECMO
(regardless of method of cannulation) and appear to be attributable to
the severity of illness of the patient.
With regard to stakeholders who stated that the two new procedure
codes do not account for an open cut-down approach that may be
performed on a peripheral vessel during a peripheral ECMO procedure, we
note that a request and proposal to create ICD-10-PCS codes to
differentiate between peripheral vessel percutaneous and peripheral
vessel open cutdown
[[Page 19176]]
according to the indication (VA or VV) for ECMO was discussed at the
March 5-6, 2019 ICD-10 Coordination and Maintenance Committee meeting.
We refer readers to the website at: https://www.cms.gov/Medicare/Coding/ICD9ProviderDiagnosticCodes/ICD-9-CM-C-and-M-Meeting-Materials.html for the committee meeting materials and discussion
regarding this proposal. We also note that, in this same proposal,
another coding option to add duration values to allow the reporting of
the number of hours or the number of days a patient received ECMO
during the stay was also made available for public comment.
Upon further review and consideration of peripheral ECMO
procedures, including the indications, treatment difficulty, and the
resources utilized, for the reasons discussed above, our clinical
advisors support the assignment of the new ICD-10-PCS procedure codes
for peripheral ECMO procedures to the same MS-DRG as the predecessor
code for open (central) ECMO procedures for FY 2020. Therefore, based
on our review, including consideration of the comments and input from
our clinical advisors, we are proposing to reassign the following
procedure codes describing peripheral ECMO procedures from their
current MS-DRG assignments to Pre-MDC MS-DRG 003 (ECMO or Tracheostomy
with Mechanical Ventilation >96 Hours or Principal Diagnosis Except
Face, Mouth and Neck with Major O.R. Procedure) as shown in the table
below. If this proposal is finalized, we also would make conforming
changes to the titles for MS-DRGs 207, 291, 296, and 870 to no longer
reflect the ``or Peripheral Extracorporeal Membrane Oxygenation
(ECMO)'' terminology in the title. We note that this proposal includes
maintaining the designation of these peripheral ECMO procedures as non-
O.R. Therefore, if finalized, the procedures would be defined as non-
O.R. affecting the MS-DRG assignment for Pre-MDC MS-DRG 003.
----------------------------------------------------------------------------------------------------------------
ICD-10-PCS code Code description Current MS-DRG Proposed MS-DRG
----------------------------------------------------------------------------------------------------------------
5A1522G..................... Extracorporeal MS-DRG 207 (Respiratory Pre-MDC MS-DRG 003 (ECMO or
Oxygenation, Membrane, System Diagnosis with Tracheostomy with
Peripheral Veno- Ventilator Support >96 Mechanical Ventilation >96
arterial. Hours or Peripheral Hours or Principal
Extracorporeal Membrane Diagnosis Except Face,
Oxygenation (ECMO)). Mouth and Neck with Major
O.R. Procedure).
MS-DRG 291 (Heart Failure Pre-MDC MS-DRG 003 (ECMO or
and Shock with MCC or Tracheostomy with
Peripheral Extracorporeal Mechanical Ventilation >96
Membrane Oxygenation Hours or Principal
(ECMO)). Diagnosis Except Face,
Mouth and Neck with Major
O.R. Procedure).
MS-DRG 296 (Cardiac Arrest, Pre-MDC MS-DRG 003 (ECMO or
Unexplained with MCC or Tracheostomy with
Peripheral Extracorporeal Mechanical Ventilation >96
Membrane Oxygenation Hours or Principal
(ECMO)). Diagnosis Except Face,
Mouth and Neck with Major
O.R. Procedure).
MS-DRG 870 (Septicemia or Pre-MDC MS-DRG 003 (ECMO or
Severe Sepsis with Tracheostomy with
Mechanical Ventilation >96 Mechanical Ventilation >96
Hours or Peripheral Hours or Principal
Extracorporeal Membrane Diagnosis Except Face,
Oxygenation (ECMO)). Mouth and Neck with Major
O.R. Procedure).
5A1522H..................... Extracorporeal MS-DRG 207 (Respiratory Pre-MDC MS-DRG 003 (ECMO or
Oxygenation, Membrane, System Diagnosis with Tracheostomy with
Peripheral Veno-venous. Ventilator Support >96 Mechanical Ventilation >96
Hours or Peripheral Hours or Principal
Extracorporeal Membrane Diagnosis Except Face,
Oxygenation (ECMO)). Mouth and Neck with Major
O.R. Procedure).
MS-DRG 291 (Heart Failure Pre-MDC MS-DRG 003 (ECMO or
and Shock with MCC or Tracheostomy with
Peripheral Extracorporeal Mechanical Ventilation >96
Membrane Oxygenation Hours or Principal
(ECMO)). Diagnosis Except Face,
Mouth and Neck with Major
O.R. Procedure).
MS-DRG 296 (Cardiac Arrest, Pre-MDC MS-DRG 003 (ECMO or
Unexplained with MCC or Tracheostomy with
Peripheral Extracorporeal Mechanical Ventilation >96
Membrane Oxygenation Hours or Principal
(ECMO)). Diagnosis Except Face,
Mouth and Neck with Major
O.R. Procedure).
MS-DRG 870 (Septicemia or Pre-MDC MS-DRG 003 (ECMO or
Severe Sepsis with Tracheostomy with
Mechanical Ventilation >96 Mechanical Ventilation >96
Hours or Peripheral Hours or Principal
Extracorporeal Membrane Diagnosis Except Face,
Oxygenation (ECMO)). Mouth and Neck with Major
O.R. Procedure).
----------------------------------------------------------------------------------------------------------------
b. Allogeneic Bone Marrow Transplant
We received a request to create new MS-DRGs for cases that would
identify patients who undergo an allogeneic hematopoietic cell
transplant (HCT) procedure. The requestor asked us to split MS-DRG 014
(Allogeneic Bone Marrow Transplant) into two new MS-DRGs and assign
cases to the recommended new MS-DRGs according to the donor source,
with cases for allogeneic related matched donor source assigned to one
MS-DRG and cases for allogeneic unrelated matched donor source assigned
to the other MS-DRG. The requestor stated that by creating two new MS-
DRGs for allogeneic related and allogeneic unrelated donor source,
respectively, the MS-DRGs would more appropriately recognize the
clinical characteristics and cost differences in allogeneic HCT cases.
The requestor stated that allogeneic related and allogeneic
unrelated HCT cases are clinically different and have significantly
different donor search and cell acquisition charges. According to the
requestor, 70 percent of patients do not have a matched sibling donor
(that is, an allogeneic related matched donor) in their family. The
requestor also stated that this rate is higher for Medicare
beneficiaries. According to the requestor, the current payment for
allogeneic HCT cases is inadequate and affects patient's access to
care.
The requestor performed its own analysis and stated that it found
the average costs for HCT cases reporting revenue code 0815 (Stem cell
acquisition) alone or revenue code 0819 (Other organ acquisition) in
combination with revenue code 0815 with one of the ICD-10-PCS procedure
[[Page 19177]]
codes for allogeneic unrelated donor source were significantly higher
than the average costs for HCT cases reporting revenue code 0815 alone
or both revenue codes 0815 and 0819 in combination with one of the ICD-
10-PCS procedure codes for allogeneic related donor source. Further,
the requestor reported that, according to its analysis, the average
costs for HCT cases reporting revenue code 0815 alone or both revenue
codes 0815 and 0819 in combination with one of the ICD-10-PCS procedure
codes for unspecified allogeneic donor source were also significantly
higher than the average costs for HCT cases reporting the ICD-10-PCS
procedure codes for allogeneic related donor source. The requestor
suggested that cases reporting the unspecified donor source procedure
code are highly likely to represent unrelated donors, and recommended
that, if the two new MS-DRGs are created as suggested, the cases
reporting the procedure codes for unspecified donor source be included
in the suggested new ``unrelated donor'' MS-DRG. The requestor also
suggested that CMS apply a code edit through the inpatient Medicare
Code Editor (MCE), similar to the edit in the Integrated Outpatient
Code Editor (I/OCE) which requires reporting of revenue code 0815 on
the claim with the appropriate procedure code or the claim may be
subject to being returned to the provider.
The ICD-10-PCS procedure codes assigned to MS-DRG 014 that identify
related, unrelated and unspecified donor source for an allogeneic HCT
are shown in the following table.
------------------------------------------------------------------------
ICD-10-PCS code Code description
------------------------------------------------------------------------
30230G2............................. Transfusion of allogeneic related
bone marrow into peripheral vein,
open approach.
30230G3............................. Transfusion of allogeneic
unrelated bone marrow into
peripheral vein, open approach.
30230G4............................. Transfusion of allogeneic
unspecified bone marrow into
peripheral vein, open approach.
30230X2............................. Transfusion of allogeneic related
cord blood stem cells into
peripheral vein, open approach.
30230X3............................. Transfusion of allogeneic
unrelated cord blood stem cells
into peripheral vein, open
approach.
30230X4............................. Transfusion of allogeneic
unspecified cord blood stem cells
into peripheral vein, open
approach.
30230Y2............................. Transfusion of allogeneic related
hematopoietic stem cells into
peripheral vein, open approach.
30230Y3............................. Transfusion of allogeneic
unrelated hematopoietic stem
cells into peripheral vein, open
approach.
30230Y4............................. Transfusion of allogeneic
unspecified hematopoietic stem
cells into peripheral vein, open
approach.
30233G2............................. Transfusion of allogeneic related
bone marrow into peripheral vein,
percutaneous approach.
30233G3............................. Transfusion of allogeneic
unrelated bone marrow into
peripheral vein, percutaneous
approach.
30233G4............................. Transfusion of allogeneic
unspecified bone marrow into
peripheral vein, percutaneous
approach.
30233X2............................. Transfusion of allogeneic related
cord blood stem cells into
peripheral vein, percutaneous
approach.
30233X3............................. Transfusion of allogeneic
unrelated cord blood stem cells
into peripheral vein,
percutaneous approach.
30233X4............................. Transfusion of allogeneic
unspecified cord blood stem cells
into peripheral vein,
percutaneous approach.
30233Y2............................. Transfusion of allogeneic related
hematopoietic stem cells into
peripheral vein, percutaneous
approach.
30233Y3............................. Transfusion of allogeneic
unrelated hematopoietic stem
cells into peripheral vein,
percutaneous approach.
30233Y4............................. Transfusion of allogeneic
unspecified hematopoietic stem
cells into peripheral vein,
percutaneous approach.
30240G2............................. Transfusion of allogeneic related
bone marrow into central vein,
open approach.
30240G3............................. Transfusion of allogeneic
unrelated bone marrow into
central vein, open approach.
30240G4............................. Transfusion of allogeneic
unspecified bone marrow into
central vein, open approach.
30240X2............................. Transfusion of allogeneic related
cord blood stem cells into
central vein, open approach.
30240X3............................. Transfusion of allogeneic
unrelated cord blood stem cells
into central vein, open approach.
30240X4............................. Transfusion of allogeneic
unspecified cord blood stem cells
into central vein, open approach.
30240Y2............................. Transfusion of allogeneic related
hematopoietic stem cells into
central vein, open approach.
30240Y3............................. Transfusion of allogeneic
unrelated hematopoietic stem
cells into central vein, open
approach.
30240Y4............................. Transfusion of allogeneic
unspecified hematopoietic stem
cells into central vein, open
approach.
30243G2............................. Transfusion of allogeneic related
bone marrow into central vein,
percutaneous approach.
30243G3............................. Transfusion of allogeneic
unrelated bone marrow into
central vein, percutaneous
approach.
30243G4............................. Transfusion of allogeneic
unspecified bone marrow into
central vein, percutaneous
approach.
30243X2............................. Transfusion of allogeneic related
cord blood stem cells into
central vein, percutaneous
approach.
30243X3............................. Transfusion of allogeneic
unrelated cord blood stem cells
into central vein, percutaneous
approach.
30243X4............................. Transfusion of allogeneic
unspecified cord blood stem cells
into central vein, percutaneous
approach.
30243Y2............................. Transfusion of allogeneic related
hematopoietic stem cells into
central vein, percutaneous
approach.
30243Y3............................. Transfusion of allogeneic
unrelated hematopoietic stem
cells into central vein,
percutaneous approach.
30243Y4............................. Transfusion of allogeneic
unspecified hematopoietic stem
cells into central vein,
percutaneous approach.
30250G1............................. Transfusion of nonautologous bone
marrow into peripheral artery,
open approach.
30250X1............................. Transfusion of nonautologous cord
blood stem cells into peripheral
artery, open approach.
30250Y1............................. Transfusion of nonautologous
hematopoietic stem cells into
peripheral artery, open approach.
30253G1............................. Transfusion of nonautologous bone
marrow into peripheral artery,
percutaneous approach.
30253X1............................. Transfusion of nonautologous cord
blood stem cells into peripheral
artery, percutaneous approach.
30253Y1............................. Transfusion of nonautologous
hematopoietic stem cells into
peripheral artery, percutaneous
approach.
30260G1............................. Transfusion of nonautologous bone
marrow into central artery, open
approach.
30260X1............................. Transfusion of nonautologous cord
blood stem cells into central
artery, open approach.
30260Y1............................. Transfusion of nonautologous
hematopoietic stem cells into
central artery, open approach.
30263G1............................. Transfusion of nonautologous bone
marrow into central artery,
percutaneous approach.
30263X1............................. Transfusion of nonautologous cord
blood stem cells into central
artery, percutaneous approach.
30263Y1............................. Transfusion of nonautologous
hematopoietic stem cells into
central artery, percutaneous
approach.
------------------------------------------------------------------------
We examined claims data from the September 2018 update of the FY
2018 MedPAR file for MS-DRG 014 and identified the subset of cases
within MS-DRG 014 reporting procedure codes for allogeneic HCT related
donor source, allogeneic HCT unrelated donor source, and allogeneic HCT
unspecified donor source, respectively. Our findings are shown in the
following table.
[[Page 19178]]
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 014--All cases........................................... 854 28.2 $91,446
MS-DRG 014--Cases reporting allogeneic HCT related donor source. 292 29.5 87,444
MS-DRG 014--Cases reporting allogeneic HCT unrelated donor 466 27.9 95,146
source.........................................................
MS-DRG 014--Cases reporting allogeneic HCT unspecified donor 90 26.2 90,945
source.........................................................
----------------------------------------------------------------------------------------------------------------
The total number of cases reported in MS-DRG 014 was 854, with an
average length of stay of 28.2 days and average costs of $91,446. For
the subset of cases reporting procedure codes for allogeneic HCT
related donor source, there were a total of 292 cases with an average
length of stay of 29.5 days and average costs of $87,444. For the
subset of cases reporting procedure codes for allogeneic HCT unrelated
donor source, there was a total of 466 cases with an average length of
stay of 27.9 days and average costs of $95,146. For the subset of cases
reporting procedure codes for allogeneic HCT unspecified donor source,
there was a total of 90 cases with an average length of stay of 26.2
days and average costs of $90,945.
Based on the analysis described above, the current MS-DRG
assignment for the cases in MS-DRG 014 that identify patients who
undergo an allogeneic HCT procedure, regardless of donor source,
appears appropriate. The data analysis reflects that each subset of
cases reporting a procedure code for an allogeneic HCT procedure (that
is, related, unrelated, or unspecified donor source) has an average
length of stay and average costs that are comparable to the average
length of stay and average costs of all cases in MS-DRG 014. We also
take this opportunity to note that, in deciding whether to propose to
make further modifications to the MS-DRGs for particular circumstances
brought to our attention, we do not consider the reported revenue
codes. Rather, as stated previously, we consider whether the resource
consumption and clinical characteristics of the patients with a given
set of conditions are significantly different than the remaining
patients represented in the MS-DRG. We do this by evaluating the ICD-
10-CM diagnosis and/or ICD-10-PCS procedure codes that identify the
patient conditions, procedures, and the relevant MS-DRG(s) that are the
subject of a request. Specifically, for this request, as noted above,
we analyzed the cases reporting the ICD-10-PCS procedure codes that
identify an allogeneic HCT procedure according to the donor source. We
then evaluated patient care costs using average costs and average
lengths of stay (based on the MedPAR data) and rely on the judgment of
our clinical advisors to determine whether the patients are clinically
distinct or similar to other patients represented in the MS-DRG.
Because MS-DRG 014 is defined by patients who undergo an allogeneic HCT
transplant procedure, our clinical advisors state they are all
clinically similar in that regard. We also note that the ICD-10-PCS
procedure codes that describe an allogeneic HCT procedure were revised
effective October 1, 2016 to uniquely identify the donor source in
response to a request and proposal that was discussed at the March 9-
10, 2016 ICD-10 Coordination and Maintenance Committee meeting. We
refer readers to the website at: https://www.cms.gov/Medicare/Coding/ICD9Provider DiagnosticCodes/ICD-9-CM-C-and-M-Meeting-Materials.html
for the committee meeting materials and discussion regarding this
proposal.
In response to the requestor's statement that allogeneic related
and allogeneic unrelated HCT cases are clinically different and have
significantly different donor search and cell acquisition charges, our
clinical advisors support maintaining the current structure for MS-DRG
014 because they believe that MS-DRG 014 appropriately classifies all
patients who undergo an allogeneic HCT procedures and, therefore, it is
clinically coherent. While the requestor stated that there are clinical
differences in the related and unrelated HCT cases, they did not
provide any specific examples of these clinical differences. With
regard to the donor search and cell acquisition charges, the requestor
noted that the unrelated donor cases are more expensive than the
related donor cases because of the donor search process, which includes
a registry search to identify the best donor source, extensive donor
screenings, evaluation, and cell acquisition and transportation
services for the patient. The requestor appeared to base that belief
according to the donor source and average charges reported with revenue
code 0815. As noted above, we use MedPAR data and do not consider the
reported revenue codes in deciding whether to propose to make further
modifications to the MS-DRGs. Based on our analysis of claims data for
MS-DRG 014, our clinical advisors stated that the resources are similar
for patients who undergo an allogeneic HCT procedure regardless of the
donor source.
In reviewing this request, we also reviewed the instructions on
billing for stem cell transplantation in Chapter 3 of the Medicare
Claims Processing Manual and found that there appears to be inadvertent
duplication under Section 90.3.1 and Section 90.3.3 of Chapter 3, as
both sections provide instructions on Billing for Stem Cell
Transplantation. Therefore, we are further reviewing the Medicare
Claims Processing Manual to identify potential revisions to address
this duplication. However, we also note that section 90.3.1 and section
90.3.3 provide different instruction regarding which revenue code
should be reported. Section 90.3.1 instructs providers to report
revenue code 0815 and Section 90.3.3 instructs providers to report
revenue code 0819. We note that we issued instructions as a One-Time
Notification, Pub. No. 100-04, Transmittal 3571, Change Request 9674,
effective January 1, 2017, which instructs that the appropriate revenue
code to report on claims for allogeneic stem cell acquisition/donor
services is revenue code 0815. Accordingly, we also are considering
additional revisions as needed to conform the instructions for
reporting these codes in the Medicare Claims Processing Manual.
With regard to the requestor's recommendation that we create a new
code edit through the inpatient MCE similar to the edit in the I/OCE
which requires reporting of revenue code 0815 on the claim, we note
that the MCE is not designed to include revenue codes for claims
editing purposes. Rather, as stated in section II.F.16. of the preamble
of this proposed rule, it is a software program that detects and
reports errors in the coding of Medicare claims data. The coding of
Medicare claims data refers to diagnosis and procedure coding, as well
as demographic information.
For the reasons described above, we are not proposing to change the
current structure of MS-DRG 014. We are not proposing to split MS-DRG
014 into two new MS-DRGs that assign cases according to whether the
allogeneic donor source is related or unrelated, as the requestor
suggested.
In addition, while conducting our analysis of cases reporting ICD-
10-PCS
[[Page 19179]]
procedure codes for allogeneic HCT procedures that are assigned to MS-
DRG 014, we noted that 8 procedure codes for autologous HCT procedures
are currently included in MS-DRG 014, as shown in the following table.
These codes are not properly assigned because MS-DRG 014 is defined by
cases reporting allogenic HCT procedures.
------------------------------------------------------------------------
ICD-10-PCS code Code description
------------------------------------------------------------------------
30230X0............................. Transfusion of autologous cord
blood stem cells into peripheral
vein, open approach.
30233X0............................. Transfusion of autologous cord
blood stem cells into peripheral
vein, percutaneous approach.
30240X0............................. Transfusion of autologous cord
blood stem cells into central
vein, open approach.
30243X0............................. Transfusion of autologous cord
blood stem cells into central
vein, percutaneous approach.
30250X0............................. Transfusion of autologous cord
blood stem cells into peripheral
artery, open approach.
30253X0............................. Transfusion of autologous cord
blood stem cells into peripheral
artery, percutaneous approach.
30260X0............................. Transfusion of autologous cord
blood stem cells into central
artery, open approach.
30263X0............................. Transfusion of autologous cord
blood stem cells into central
artery, percutaneous approach.
------------------------------------------------------------------------
The 8 ICD-10-PCS procedure codes for autologous HCT procedures were
inadvertently included in MS-DRG 014 as a result of efforts to
replicate the ICD-9-CM MS-DRGs. Under the ICD-9-CM MS-DRGs, procedure
code 41.06 (Cord blood stem cell transplant) was used to identify these
procedures and was also assigned to MS-DRG 014. As shown in the ICD-9-
CM code description, the reference to ``autologous'' is not included.
However, because the ICD-10-PCS autologous HCT procedure codes were
considered as plausible translations of the ICD-9-CM procedure code
(41.06), they were inadvertently included in MS-DRG 014. We also note
that, of these 8 procedure codes, there are 4 procedure codes that
describe a transfusion via arterial access. As described in more detail
below, because a transfusion procedure always uses venous access rather
than arterial access, these codes are considered clinically invalid and
were the subject of a proposal discussed at the March 5-6, 2019 ICD-10
Coordination and Maintenance Committee meeting to delete these codes
effective October 1, 2019 (FY 2020).
The majority of ICD-10-PCS procedure codes specifying autologous
HCT procedures are currently assigned to MS-DRGs 016 and 017
(Autologous Bone Marrow Transplant with CC/MCC or T-cell Immunotherapy
and Autologous Bone Marrow Transplant without CC/MCC, respectively).
These codes are listed in the following table.
------------------------------------------------------------------------
ICD-10-PCS code Code description
------------------------------------------------------------------------
30230AZ............................. Transfusion of embryonic stem
cells into peripheral vein, open
approach.
30230G0............................. Transfusion of autologous bone
marrow into peripheral vein, open
approach.
30230Y0............................. Transfusion of autologous
hematopoietic stem cells into
peripheral vein, open approach.
30233AZ............................. Transfusion of embryonic stem
cells into peripheral vein,
percutaneous approach.
30233G0............................. Transfusion of autologous bone
marrow into peripheral vein,
percutaneous approach.
30233Y0............................. Transfusion of autologous
hematopoietic stem cells into
peripheral vein, percutaneous
approach.
30240AZ............................. Transfusion of embryonic stem
cells into central vein, open
approach.
30240G0............................. Transfusion of autologous bone
marrow into central vein, open
approach.
30240Y0............................. Transfusion of autologous
hematopoietic stem cells into
central vein, open approach.
30243AZ............................. Transfusion of embryonic stem
cells into central vein,
percutaneous approach.
30243G0............................. Transfusion of autologous bone
marrow into central vein,
percutaneous approach.
30243Y0............................. Transfusion of autologous
hematopoietic stem cells into
central vein, percutaneous
approach.
30250G0............................. Transfusion of autologous bone
marrow into peripheral artery,
open approach.
30250Y0............................. Transfusion of autologous
hematopoietic stem cells into
peripheral artery, open approach.
30253G0............................. Transfusion of autologous bone
marrow into peripheral artery,
percutaneous approach.
30253Y0............................. Transfusion of autologous
hematopoietic stem cells into
peripheral artery, percutaneous
approach.
30260G0............................. Transfusion of autologous bone
marrow into central artery, open
approach.
30260Y0............................. Transfusion of autologous
hematopoietic stem cells into
central artery, open approach.
30263G0............................. Transfusion of autologous bone
marrow into central artery,
percutaneous approach.
30263Y0............................. Transfusion of autologous
hematopoietic stem cells into
central artery, percutaneous
approach.
------------------------------------------------------------------------
While we believe, as indicated, that the cases reporting ICD-10-PCS
procedure codes for autologous HCT procedures may be improperly
assigned to MS-DRG 014, we also examined claims data for this subset of
cases to determine the frequency with which they were reported and the
relative resource use as compared with all cases assigned to MS-DRGs
016 and 017. Our findings are shown in the following table.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 014--Cases reporting autologous cord blood stem cell 6 23.5 $38,319
donor source...................................................
MS-DRG 016--All cases........................................... 2,150 18 47,546
MS-DRG 017--All cases........................................... 104 11 33,540
----------------------------------------------------------------------------------------------------------------
For the subset of cases in MS-DRG 014 reporting ICD-10-PCS codes
for autologous HCT procedures, there was a total of 6 cases with an
average length of stay of 23.5 days and average costs of $38,319. The
total number of cases reported in MS-DRG 016 was 2,150, with an average
length of stay of 18 days and average costs of $47,546. The total
number of cases reported in MS-DRG 017 was 104, with an average length
of
[[Page 19180]]
stay of 11 days and average costs of $33,540.
The results of our analysis indicate that the frequency with which
these autologous HCT procedure codes was reported in MS-DRG 014 is low
and that average costs of cases reporting autologous HCT procedures
assigned to MS-DRG 014 are more aligned with the average costs of cases
assigned to MS-DRGs 016 and 017, with the average costs being lower
than the average costs for all cases assigned to MS-DRG 016 and higher
than the average costs for all cases assigned to MS-DRG 017. Our
clinical advisors also indicated that the procedure codes for
autologous HCT procedures are more clinically aligned with cases that
are assigned to MS-DRGs 016 and 017 that are comprised of autologous
HCT procedures. Therefore, we are proposing to reassign the following 4
procedure codes for HCT procedures specifying autologous cord blood
stem cell as the donor source via venous access to MS-DRGs 016 and 017
for FY 2020.
------------------------------------------------------------------------
ICD-10-PCS code Code description
------------------------------------------------------------------------
30230X0............................. Transfusion of autologous cord
blood stem cells into peripheral
vein, open approach.
30233X0............................. Transfusion of autologous cord
blood stem cells into peripheral
vein, percutaneous approach.
30240X0............................. Transfusion of autologous cord
blood stem cells into central
vein, open approach.
30243X0............................. Transfusion of autologous cord
blood stem cells into central
vein, percutaneous approach.
------------------------------------------------------------------------
As discussed earlier in this section, the 4 procedure codes for HCT
procedures that describe an autologous cord blood stem cell transfusion
via arterial access currently assigned to MS-DRG 014, as listed
previously, are considered clinically invalid. These procedure codes
were discussed at the March 5-6, 2019 ICD-10 Coordination and
Maintenance Committee meeting, along with additional procedure codes
that are also considered clinically invalid, as described in the
section below.
During our analysis of procedure codes that describe a HCT
procedure, we identified 128 clinically invalid codes from the
transfusion table (table 302) in the ICD-10-PCS classification
identifying a transfusion using arterial access, as listed in Table
6P.1a. associated with this proposed rule (which is available via the
internet on the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/). As shown in
Table 6P.1a., these 128 procedure codes describe transfusion procedures
with body system/region values ``5'' Peripheral Artery and ``6''
Central Artery. Because a transfusion procedure always uses venous
access rather than arterial access, these codes are considered
clinically invalid and were proposed for deletion at the March 5-6,
2019 ICD-10 Coordination and Maintenance Committee meeting. We refer
the reader to the website at: https://www.cms.gov/Medicare/Coding/ICD10/C-and-M-Meeting-Materials.html for the Committee meeting
materials regarding this proposal.
We examined claims data from the September 2018 update of the FY
2018 MedPAR file for MS-DRGs 014, 016, and 017 to determine if there
were any cases that reported one of the 128 clinically invalid codes
from the transfusion table in the ICD-10-PCS classification identifying
a transfusion using arterial access, and as listed in Table 6P.1a.
associated with this proposed rule. Our clinical advisors agree that
because a transfusion procedure always uses venous access rather than
arterial access, these codes are considered invalid. Because these
procedure codes describe clinically invalid procedures, we would not
expect these codes to be reported in any claims data. Our findings are
shown in the following table.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRGs 014, 016, and 017--All cases............................ 3,108 20.4 $59,140
MS-DRGs 014, 016, and 017--Cases with invalid transfusion codes. 31 19.6 52,912
----------------------------------------------------------------------------------------------------------------
As shown in this table, we found a total of 3,108 cases across MS-
DRGs 014, 016, and 017 with an average length of stay of 20.4 days and
average costs of $59,140. We found a total of 31 cases (0.9 percent)
reporting a procedure code for an invalid transfusion procedure,
identifying the body system/region value ``5'' Peripheral Artery or
``6'' Central Artery, with an average length of stay of 19.6 days and
average costs of $52,912. The results of the data analysis demonstrate
that these invalid transfusion procedures represent approximately 1
percent of all discharges across MS-DRGs 014, 016, and 017. To
summarize, we are proposing to: (1) Reassign the four ICD-10-PCS codes
for HCT procedures specifying autologous cord blood stem cell as the
donor source from MS-DRG 014 to MS-DRGs 016 and 017 (procedure codes
30230X0, 30233X0, 30240X0, 30243X0); and (2) delete the 128 clinically
invalid codes from the transfusion table in the ICD-10-PCS
Classification describing a transfusion using arterial access that were
discussed at the March 5-6, 2019 ICD-10 Coordination and Maintenance
Committee meeting and are listed in Table 6P.1a associated with this
proposed rule. As discussed previously, we are not proposing to split
MS-DRG 014 into the two requested new MS DRGs that would assign cases
according to whether the allogeneic donor source is related or
unrelated.
c. Chimeric Antigen Receptor (CAR) T-Cell Therapies
We received a request to create a new MS-DRG for procedures
involving CAR T-cell therapies. The requestor stated that creation of a
new MS-DRG would improve payment for CAR T-cell therapies in the
inpatient setting. According to the requestor, while cases involving
CAR T-cell therapy may now be eligible for new technology add-on
payments and outlier payments, there continue to be significant
financial losses by providers. The requestor also suggested that CMS
modify its existing payment mechanisms to use a CCR of 1.0 for charges
associated with CAR T-cell therapy.
In addition, the requestor included technical and operational
suggestions related to CAR T-cell therapy, such as
[[Page 19181]]
the development of unique CAR T-cell therapy revenue and cost centers
for billing and cost reporting purposes. We will consider these
technical and operational suggestions in the development of future
billing and cost reporting guidelines and instructions.
Currently, procedures involving CAR T-cell therapies are identified
with ICD-10-PCS procedure codes XW033C3 (Introduction of engineered
autologous chimeric antigen receptor t-cell immunotherapy into
peripheral vein, percutaneous approach, new technology group 3) and
XW043C3 (Introduction of engineered autologous chimeric antigen
receptor t-cell immunotherapy into central vein, percutaneous approach,
new technology group 3), which became effective October 1, 2017. In the
FY 2019 IPPS/LTCH PPS final rule, we finalized our proposal to assign
cases reporting these ICD-10-PCS procedure codes to Pre-MDC MS-DRG 016
for FY 2019 and to revise the title of this MS-DRG to ``Autologous Bone
Marrow Transplant with CC/MCC or T-cell Immunotherapy''. We refer
readers to section II.F.2.d. of the preamble of the FY 2019 IPPS/LTCH
PPS final rule for a complete discussion of these final policies (83 FR
41172 through 41174).
As stated earlier, the current procedure codes for CAR T-cell
therapies both became effective October 1, 2017. In the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41172 through 41174), we indicated we should
collect more comprehensive clinical and cost data before considering
assignment of a new MS-DRG to these therapies. While the September 2018
update of the FY 2018 MedPAR data file does contain some claims that
include those procedure codes that identify CAR T-cell therapies, the
number of cases is limited, and the submitted costs vary widely due to
differences in provider billing and charging practices for this
therapy. Therefore, while these claims could potentially be used to
create relative weights for a new MS-DRG, we do not have the
comprehensive clinical and cost data that we generally believe are
needed to do so. Furthermore, given the relative newness of CAR T-cell
therapy and our proposal to continue new technology add-on payments for
FY 2020 for the two CAR T-cell therapies that currently have FDA
approval (KYMRIAHTM and YESCARTATM), as discussed
in section II.G.4.d. of the preamble of this proposed rule, at this
time we believe it may be premature to consider creation of a new MS-
DRG specifically for cases involving CAR T-cell therapy for FY 2020.
Therefore, we are proposing not to modify the current MS-DRG
assignment for cases reporting CAR T-cell therapies for FY 2020. As
noted earlier, cases reporting ICD-10-PCS codes XW033C3 and XW043C3
would continue to be eligible to receive new technology add-on payments
for discharges occurring in FY 2020 if our proposal to continue such
payments is finalized. Currently, we expect that, in future years, we
would have additional data that exhibit more stability and greater
consistency in charging and billing practices that could be used to
evaluate the potential creation of a new MS-DRG specifically for cases
involving CAR T-cell therapies.
Alternatively, notwithstanding our concerns regarding the claims
data, and the concerns discussed in the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41172 to 41174), we are seeking public comments on payment
alternatives for CAR T-cell therapies, including payment under any
potential new MS-DRG. We also are inviting public comments on how these
payment alternatives would affect access to care, as well as how they
affect incentives to encourage lower drug prices, which is a high
priority for this Administration. As discussed in the FY 2019 IPPS/LTCH
PPS final rule (83 FR 41172 through 41174), we are considering
approaches and authorities to encourage value-based care and lower drug
prices. We are soliciting public comments on how the effective dates of
any potential payment methodology alternatives, if any were to be
adopted, may intersect and affect future participation in any such
alternative approaches.
As part of our solicitation of public comment on the potential
creation of a new MS-DRG for CAR T-cell therapy procedures, we are also
seeking comment on the most appropriate way to develop the relative
weight if we were to finalize the creation of a new MS-DRG. While the
data are limited, it may be operationally possible to create a relative
weight by dividing the average costs of cases that include the CAR T-
cell procedures by the average costs of all cases, consistent with our
current methodology for setting the relative weights for FY 2020 and
using the same applicable data sources used for other MS-DRGs (for FY
2020, the FY 2018 MedPAR data and FY 2016 HCRIS data). We are seeking
public comments on whether this is the most accurate method for
determining the relative weight, given the current variation in the
claims data for these procedures, and also on how to address the
significant number of cases involving clinical trials. While we do not
typically exclude cases in clinical trials when developing the relative
weights, in this case, the absence of the drug costs on claims for
cases involving clinical trial claims could have a significant impact
on the relative weight. It is unclear whether a relative weight
calculated using cases for which hospitals do and do not incur drug
costs would accurately reflect the resource costs of caring for
patients who are not involved in clinical trials. A different approach
might be to develop a relative weight using an appropriate portion of
the average sales price (ASP) for these drugs as an alternative way to
reflect the costs involved in treating patients receiving CAR T-cell
therapies. We are requesting public comments on these approaches or
other approaches for setting the relative weight if we were to finalize
a new MS-DRG. We note that any such new MS-DRG would be established in
a budget neutral manner, consistent with section 1886(d)(4)(C)(iii) of
the Act, which specifies that the annual DRG reclassification and
recalibration of the relative weights must be made in a manner that
ensures that aggregate payments to hospitals are not affected.
Another potential consideration if we were to create a new MS-DRG
is the extent to which it would be appropriate to geographically adjust
the payment under any such new MS-DRG. Under the methodology for
determining the Federal payment rate for operating costs under the
IPPS, the labor-related proportion of the national standardized amounts
is adjusted by the wage index to reflect the relative differences in
labor costs among geographic areas. The IPPS Federal payment rate for
operating costs is calculated as the MS-DRG relative weight x [(labor-
related applicable standardized amount x applicable wage index) +
(nonlabor-related applicable standardized amount x cost-of-living
adjustment)]. Given our understanding that the costs for CAR T-cell
therapy drugs do not vary among geographic areas, and given that costs
for CAR T-cell therapy would likely be an extremely high portion of the
costs for the MS-DRG, we are seeking public comments on whether we
should not geographically adjust the payment for cases assigned to any
potential new MS-DRG for CAR T-cell therapy procedures. We also are
seeking public comments on whether to instead apply the geographic
adjustment to a lower proportion of payments under any potential new
MS-DRG and, if so, how that lower proportion should be determined. We
note that while the prices of other drugs may also not vary
significantly among geographic areas, generally speaking, those other
drugs would not have estimated costs as high
[[Page 19182]]
as those of CAR T-cell therapies, nor would they represent as
significant a percentage of the average costs for the case. We are
seeking public comments on the use of our exceptions and adjustments
authority under section 1886(d)(5)(I) of the Act (or other relevant
authorities) to implement any such potential changes.
Section 1886(d)(5)(B) of the Act provides that prospective payment
hospitals that have residents in an approved graduate medical education
(GME) program receive an additional payment for a Medicare discharge to
reflect the higher patient care costs of teaching hospitals relative to
nonteaching hospitals. The regulations regarding the calculation of
this additional payment, known as the indirect medical education (IME)
adjustment, are located at 42 CFR 412.105. The formula is traditionally
described in terms of a certain percentage increase in payment for
every 10-percent increase in the resident-to-bed ratio. For some
hospitals, this percentage increase can exceed an additional 25 percent
or more of the otherwise applicable payment. Some hospitals, sometimes
the same hospitals, can also receive a large percentage increase in
payments due to the Medicare disproportionate hospital (DSH) adjustment
provision under section 1886(d)(5)(F) of the Act. The regulations
regarding the calculation of the additional DSH payment are located at
42 CFR 412.106.
Given that the payment for cases assigned to a new MS-DRG for CAR
T-cell therapy could significantly exceed the historical payment for
any existing MS-DRG, these percentage add-on payments could arguably
result in unreasonably high additional payments for CAR T-cell therapy
cases unrelated in any significant empirical way to the costs of the
hospital in providing care. For example, consider a teaching hospital
that has an IME adjustment factor of 0.25, and a DSH adjustment factor
of 0.10. If we were to create a new MS-DRG for CAR T-cell therapy
procedures that resulted in an average IPPS Federal payment rate for
operating costs of $400,000, under the current payment mechanism, the
hospital would receive an IME payment of $100,000 ($400,000 x 0.25) and
a DSH payment of $40,000 ($400,000 x 0.10), such that the total IPPS
Federal payment rate for operating costs including IME and DSH payments
would be $540,000 ($400,000 + $100,000 + $40,000). We are seeking
public comments on whether the IME and DSH payments should not be made
for cases assigned to any new MS-DRG for CAR T-cell therapy. We also
are seeking public comments on whether we should instead reduce the
applicable percentages used to determine these add-ons and, if so, how
those lower percentages should be determined. We are seeking public
comments on the use of our exceptions and adjustments authority under
section 1886(d)(5)(I) of the Act (or other relevant authorities) to
implement any potential changes.
As further discussed section II.G.7. of the preamble to this
proposed rule, we are also requesting public comment on other payment
alternatives for these cases, including eliminating the use of the CCR
in calculating the new technology add-on payment for KYMRIAH[supreg]
and YESCARTA[supreg] by making a uniform add-on payment that equals the
proposed maximum add-on payment, that is, 65 percent of the cost of the
technology (in accordance with the proposed increase in the calculation
of the maximum new technology add-on payment amount), which in this
instance would be $242,450; and/or using a higher percentage than the
proposed 65 percent to calculate the maximum new technology add-on
payment amount.
We are also requesting public comments on whether, in light of the
additional experience with billing and payment for cases involving CAR
T-cell therapies to Medicare patients, we should consider utilizing a
specific CCR for ICD-10-PCS procedure codes used to report the
performance of procedures involving the use of CAR T-cell therapies;
for example, a CCR of 1.0, when determining outlier payments, when
determining the new technology add-on payments, and when determining
payments to IPPS-excluded cancer hospitals for CAR T-cell therapies.
We note that we also considered this payment alternative for FY
2019, as discussed in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41172
through 41174). We indicated in that rulemaking that such a payment
alternative might use a CCR of 1.0 for charges associated with ICD-10-
PCS procedure codes XW033C3 and XW043C3, given that many public
inquirers believed that hospitals would be unlikely to set charges
different from the costs for KYMRIAH[supreg] and YESCARTA[supreg] CAR
T-cell therapies. We also indicated such a change would result in a
higher outlier payment, higher new technology add-on payment, or the
determination of higher costs for IPPS-excluded cancer hospital cases.
For example, and as described in the FY 2019 IPPS LTCH PPS final rule
(83 FR 41773), if a hospital charged $400,000 for the procedure
described by ICD-10-PCS procedure code XW033C3, the application of a
hypothetical CCR of 0.25 results in a cost of $100,000 (= $400,000 *
0.25) while the application of a hypothetical CCR of 1.00 results in a
cost of $400,000 (= $400,000 * 1.0).
3. MDC 1 (Diseases and Disorders of the Nervous System): Carotid Artery
Stent Procedures
The logic for case assignment to MS-DRGs 034, 035, and 036 (Carotid
Artery Stent Procedures with MCC, with CC, and without CC/MCC,
respectively) as displayed in the ICD-10 MS-DRG Version 36 Definitions
Manual (which is available via the internet on the CMS website at:
https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/MS-DRG-Classifications-and-Software.html) is
comprised of two lists of logic that include procedure codes for
operating room (O.R.) procedures involving dilation of a carotid artery
(common, internal or external) with intraluminal device(s). The first
list of logic is entitled ``Operating Room Procedures'' and the second
list of logic is entitled ``Operating Room Procedures with Operating
Room Procedures''. We identified 46 ICD-10-PCS procedure codes in the
second logic list that do not describe dilation of a carotid artery
with an intraluminal device. Of these 46 procedure codes, we identified
24 codes describing dilation of a carotid artery without an
intraluminal device; 8 codes describing dilation of the vertebral
artery; and 14 codes describing dilation of a vein (jugular, vertebral
and face), as shown in the following table.
ICD-10 PCS Codes That Involve Dilation of a Neck Artery or Vein With and
Without an Intraluminal Device
------------------------------------------------------------------------
ICD-10-PCS code Code description
------------------------------------------------------------------------
037H3Z6............................. Dilation of right common carotid
artery, bifurcation, percutaneous
approach.
037H3ZZ............................. Dilation of right common carotid
artery, percutaneous approach.
[[Page 19183]]
037H4Z6............................. Dilation of right common carotid
artery, bifurcation, percutaneous
endoscopic approach.
037H4ZZ............................. Dilation of right common carotid
artery, percutaneous endoscopic
approach.
037J3Z6............................. Dilation of left common carotid
artery, bifurcation, percutaneous
approach.
037J3ZZ............................. Dilation of left common carotid
artery, percutaneous approach.
037J4Z6............................. Dilation of left common carotid
artery, bifurcation, percutaneous
endoscopic approach.
037J4ZZ............................. Dilation of left common carotid
artery, percutaneous endoscopic
approach.
037K3Z6............................. Dilation of right internal carotid
artery, bifurcation, percutaneous
approach.
037K3ZZ............................. Dilation of right internal carotid
artery, percutaneous approach.
037K4Z6............................. Dilation of right internal carotid
artery, bifurcation, percutaneous
endoscopic approach.
037K4ZZ............................. Dilation of right internal carotid
artery, percutaneous endoscopic
approach.
037L3Z6............................. Dilation of left internal carotid
artery, bifurcation, percutaneous
approach.
037L3ZZ............................. Dilation of left internal carotid
artery, percutaneous approach.
037L4Z6............................. Dilation of left internal carotid
artery, bifurcation, percutaneous
endoscopic approach.
037L4ZZ............................. Dilation of left internal carotid
artery, percutaneous endoscopic
approach.
037M3Z6............................. Dilation of right external carotid
artery, bifurcation, percutaneous
approach.
037M3ZZ............................. Dilation of right external carotid
artery, percutaneous approach.
037M4Z6............................. Dilation of right external carotid
artery, bifurcation, percutaneous
endoscopic approach.
037M4ZZ............................. Dilation of right external carotid
artery, percutaneous endoscopic
approach.
037N3Z6............................. Dilation of left external carotid
artery, bifurcation, percutaneous
approach.
037N3ZZ............................. Dilation of left external carotid
artery, percutaneous approach.
037N4Z6............................. Dilation of left external carotid
artery, bifurcation, percutaneous
endoscopic approach.
037N4ZZ............................. Dilation of left external carotid
artery, percutaneous endoscopic
approach.
037P3Z6............................. Dilation of right vertebral
artery, bifurcation, percutaneous
approach.
037P3ZZ............................. Dilation of right vertebral
artery, percutaneous approach.
037P4Z6............................. Dilation of right vertebral
artery, bifurcation, percutaneous
endoscopic approach.
037P4ZZ............................. Dilation of right vertebral
artery, percutaneous endoscopic
approach.
037Q3Z6............................. Dilation of left vertebral artery,
bifurcation, percutaneous
approach.
037Q3ZZ............................. Dilation of left vertebral artery,
percutaneous approach.
037Q4Z6............................. Dilation of left vertebral artery,
bifurcation, percutaneous
endoscopic approach.
037Q4ZZ............................. Dilation of left vertebral artery,
percutaneous endoscopic approach.
057M3DZ............................. Dilation of right internal jugular
vein with intraluminal device,
percutaneous approach.
057M4DZ............................. Dilation of right internal jugular
vein with intraluminal device,
percutaneous endoscopic approach.
057N3DZ............................. Dilation of left internal jugular
vein with intraluminal device,
percutaneous approach.
057N4DZ............................. Dilation of left internal jugular
vein with intraluminal device,
percutaneous endoscopic approach.
057P3DZ............................. Dilation of right external jugular
vein with intraluminal device,
percutaneous approach.
057P4DZ............................. Dilation of right external jugular
vein with intraluminal device,
percutaneous endoscopic approach.
057Q3DZ............................. Dilation of left external jugular
vein with intraluminal device,
percutaneous approach.
057Q4DZ............................. Dilation of left external jugular
vein with intraluminal device,
percutaneous endoscopic approach.
057R3DZ............................. Dilation of left vertebral vein
with intraluminal device,
percutaneous approach.
057R4DZ............................. Dilation of right vertebral vein
with intraluminal device,
percutaneous endoscopic approach.
057S3DZ............................. Dilation of left vertebral vein
with intraluminal device,
percutaneous approach.
057S4DZ............................. Dilation of left vertebral vein
with intraluminal device,
percutaneous endoscopic approach.
057T3DZ............................. Dilation of right face vein with
intraluminal device, percutaneous
approach.
057T4DZ............................. Dilation of right face vein with
intraluminal device, percutaneous
endoscopic approach.
------------------------------------------------------------------------
We examined claims data from the September 2018 update of the FY
2018 MedPAR file for MS-DRGs 034, 035, and 036 and identified cases
reporting any one of the 46 ICD-10-PCS procedure codes listed in the
tables above. Our findings are shown in the following table.
MS-DRGs for Carotid Artery Stent Procedures
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 034--All cases........................................... 863 6.8 $27,600
MS-DRG 034--Cases with procedure code other than dilation of a 15 8.8 36,596
carotid artery with an intraluminal device.....................
MS-DRG 035--All cases........................................... 2,369 3 16,731
MS-DRG 035--Cases with procedure code other than dilation of a 52 3.5 17,815
carotid artery with an intraluminal device.....................
MS-DRG 036--All cases........................................... 3,481 1.4 12,637
MS-DRG 036--Cases with procedure code other than dilation of a 67 1.4 12,621
carotid artery with an intraluminal device.....................
----------------------------------------------------------------------------------------------------------------
As shown in the table above, we found a total of 863 cases with an
average length of stay of 6.8 days and average costs of $27,600 in MS-
DRG 034. There were 15 cases reporting at least one of the 46 procedure
codes that
[[Page 19184]]
do not describe dilation of the carotid artery with an intraluminal
device in MS-DRG 034 with an average length of stay of 8.8 days and
average costs of $36,596. For MS-DRG 035, we found a total of 2,369
cases with an average length of stay of 3 days and average costs of
$16,731. There were 52 cases reporting at least one of the 46 procedure
codes that do not describe dilation of the carotid artery with an
intraluminal device in MS-DRG 035 with an average length of stay of 3.5
days and average costs of $17,815. For MS-DRG 036, we found a total of
3,481 cases with an average length of stay of 1.4 days and average
costs of $12,637. There were 67 cases reporting at least one of the 46
procedure codes that do not describe dilation of the carotid artery
with an intraluminal device in MS-DRG 036 with an average length of
stay of 1.4 days and average costs of $12,621.
Our clinical advisors stated that MS-DRGs 034, 035, and 036 are
defined to include only those procedure codes that describe procedures
that involve dilation of a carotid artery with an intraluminal device.
Therefore, we are proposing to remove the procedure codes listed in the
table above from MS-DRGs 034, 035, and 036 that describe procedures
which (1) do not include an intraluminal device; (2) describe
procedures performed on arteries other than a carotid; and (3) describe
procedures performed on a vein.
The 46 ICD-10-PCS procedure codes listed in the table above are
also assigned to MS-DRGs 037, 038, and 039 (Extracranial Procedures
with MCC, with CC, and without CC/MCC, respectively). Therefore, we
also examined claims data from the September 2018 update of the FY 2018
MedPAR file for MS-DRGs 037, 038, and 039. Our findings are shown in
the following table.
MS-DRGs for Extracranial Procedures
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 037--All cases........................................... 3,612 7.1 $23,703
MS-DRG 038--All cases........................................... 11,406 3.1 12,480
MS-DRG 039--All cases........................................... 22,938 1.5 8,400
----------------------------------------------------------------------------------------------------------------
We found a total of 3,612 cases in MS-DRG 037 with an average
length of stay of 7.1 days and average costs of $23,703. We found a
total of 11,406 cases in MS-DRG 038 with an average length of stay of
3.1 days and average costs of $12,480. We found a total of 22,938 cases
in MS-DRG 039 with an average length of stay of 1.5 days and average
costs of $8,400.
During our review of claims data for MS-DRGs 037, 038, and 039, we
also discovered 96 ICD-10-PCS procedure codes describing dilation of a
carotid artery with an intraluminal device that were inadvertently
included as a result of efforts to replicate the ICD-9 based MS-DRGs.
These procedure codes are also included in the logic for MS-DRGs 034,
035, and 036. Under ICD-9-CM, procedure codes 00.61 (Percutaneous
angioplasty of extracranial vessel(s)) and 00.63 (Percutaneous
insertion of carotid artery stent(s)) are both required to be reported
on a claim to identify that a carotid artery stent procedure was
performed and for assignment of the case to MS-DRGs 034, 035, and 036.
Procedure code 00.61 is designated as an O.R. procedure, while
procedure code 00.63 is designated as a non-O.R. procedure. Under ICD-
10-PCS, a carotid artery stent procedure is described by one unique
code that includes both clinical concepts of the angioplasty (dilation)
and the insertion of the stent (intraluminal device). This
``combination code'' under ICD-10-PCS is designated as an O.R.
procedure. Under ICD-9-CM, procedure code 00.61 reported in the absence
of procedure code 00.63 results in assignment to MS-DRGs 037, 038, and
039 according to the MS-DRG logic because procedure code 00.61 has an
inclusion term for vertebral vessels, as well as for the carotid
vessels. Therefore, when all of the comparable translations of
procedure code 00.61 as an O.R. procedure were replicated from the ICD-
9 based MS-DRGs to the ICD-10 based MS-DRGs, this replication
inadvertently results in the assignment of ICD-10-PCS procedure codes
that identify and describe a carotid artery stent procedure to MS-DRGs
037, 038, and 039. Therefore, we are proposing to remove the 96 ICD-10-
PCS procedure codes describing dilation of a carotid artery with an
intraluminal device from MS-DRGs 037, 038, and 039.
We also found 6 procedure codes describing dilation of a carotid
artery with an intraluminal device in MS-DRGs 037, 038, and 039 that
are not currently assigned to MS-DRGs 034, 035, and 036. Our clinical
advisors recommended that these 6 procedure codes be reassigned from
MS-DRGs 037, 038, and 039 to MS-DRGs 034, 035, and 036 because the 6
procedure codes are consistent with the other procedures describing
dilation of a carotid artery with an intraluminal device that are
currently assigned to MS-DRGs 034, 035, and 036. We refer readers to
Table 6P.1b. associated with this proposed rule (which is available via
the internet on the CMS website at: https://www.cms.hhs.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/) for the
complete list of procedure codes that we are proposing to remove from
MS-DRGs 037, 038, and 039.
We also note that, as discussed in section II.F.14.f. of the
preamble of this proposed rule, we are deleting a number of codes that
include the ICD-10-PCS qualifier term ``bifurcation'' as the result of
the finalized proposal discussed at the September 11-12, 2018 ICD-10
Coordination and Maintenance Committee meeting. We refer readers to the
website at: https://www.cms.gov/Medicare/Coding/ICD9ProviderDiagnosticCodes/ICD-9-CM-C-and-M-Meeting-Materials.html for
the committee meeting materials and discussion regarding this proposal.
We note that, of the 96 procedure codes that we are proposing to remove
from the logic for MS-DRGs 037, 038, and 039, there are 48 procedure
codes that include the qualifier term ``bifurcation''. Therefore, these
48 procedure codes will be deleted effective October 1, 2019. The 48
remaining valid procedure codes that do not include the term
``bifurcation'' that we are proposing to remove from MS-DRGs 037, 038,
and 039 will continue to be assigned to MS-DRGs 034, 035, and 036.
Lastly, if the applicable proposed MS-DRG changes are finalized, we
would make a conforming change to the ICD-10 MS-DRG Version 37
Definitions Manual for FY 2020 by combining all the procedure codes
identifying a carotid artery stent procedure within MS-DRGs 034, 035,
and 036 into one list entitled ``Operating Room Procedures'' to better
reflect the
[[Page 19185]]
definition of these MS-DRGs based on the discussion and proposals
described above.
4. MDC 4 (Diseases and Disorders of the Respiratory System): Pulmonary
Embolism
We received a request to reassign three ICD-10-CM diagnosis codes
for pulmonary embolism with acute cor pulmonale from MS-DRG 176
(Pulmonary Embolism without MCC) to the higher severity level MS-DRG
175 (Pulmonary Embolism with MCC). The three diagnosis codes are
identified in the following table.
------------------------------------------------------------------------
ICD-10-CM code Code description
------------------------------------------------------------------------
I26.01.............................. Septic pulmonary embolism with
acute cor pulmonale.
I26.02.............................. Saddle embolus of pulmonary artery
with acute cor pulmonale.
I26.09.............................. Other pulmonary embolism with
acute cor pulmonale.
------------------------------------------------------------------------
The requestor noted that, in the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41231 through 41234), we finalized the proposal to remove the
special logic in the GROUPER for processing claims containing a code on
the Principal Diagnosis Is Its Own CC or MCC Lists and deleted the
relevant tables from the ICD-10 MS-DRG Definitions Manual Version 36,
effective October 1, 2018. As a result of this change, cases reporting
any one of the three ICD-10-CM diagnosis codes describing a pulmonary
embolism with acute cor pulmonale were reassigned from MS-DRG 175 to
MS-DRG 176, absent a secondary diagnosis code to trigger assignment to
MS-DRG 175. The requestor stated that this change in the MS-DRG
assignment for these cases resulted in a reduction in payment for cases
involving pulmonary embolism with acute cor pulmonale and that the FY
2019 payment rate for MS-DRG 176 does not appropriately account for the
costs and resource utilization associated with these cases because the
subset of patients with pulmonary embolism with acute cor pulmonale
often represents a more severe set of patients with pulmonary embolism.
The logic for case assignment to MS-DRGs 175 and 176 is displayed
in the ICD-10 MS-DRG Version 36 Definitions Manual, which is available
via the internet on the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/MS-DRG-Classifications-and-Software.html.
We analyzed claims data from the September 2018 update of the FY
2018 MedPAR file for MS-DRGs 175 and 176 to identify cases reporting
diagnosis codes describing pulmonary embolism with acute cor pulmonale
as listed above (ICD-10-CM diagnosis codes I26.01, I26.02 or I26.09) as
the principal diagnosis or as a secondary diagnosis. Our findings are
shown in the following table.
MS-DRGs for Pulmonary Embolism
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 175--All cases........................................... 24,389 5.2 $10,294
MS-DRG 175--Cases with pulmonary embolism with acute cor 2,326 5.7 13,034
pulmonale......................................................
MS-DRG 176--All cases........................................... 30,215 3.3 6,356
MS-DRG 176--Cases with pulmonary embolism with acute cor 1,821 3.9 9,630
pulmonale......................................................
----------------------------------------------------------------------------------------------------------------
As shown in the table, for MS-DRG 175, there was a total of 24,389
cases with an average length of stay of 5.2 days and average costs of
$10,294. Of these 24,389 cases, there were 2,326 cases reporting
pulmonary embolism with acute cor pulmonale, with an average length of
stay 5.7 days and average costs of $13,034. For MS-DRG 176, there was a
total of 30,215 cases with an average length of stay of 3.3 days and
average costs of $6,356. Of these 30,215 cases, there were 1,821 cases
reporting pulmonary embolism with acute cor pulmonale with an average
length of stay of 3.9 days and average costs of $9,630.
As stated in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41231
through 41234), available ICD-10 data can now be used to evaluate other
indicators of resource utilization and, as shown by our claims
analysis, the data indicate that the average costs of cases reporting
pulmonary embolism or saddle embolus with acute cor pulmonale ($9,630)
in MS-DRG 176 are closer to the average costs for all pulmonary
embolism cases in MS-DRG 175 ($10,294) as compared to the average costs
for all cases in MS-DRG 176 ($6,356). Our clinical advisors also agree
that this subset of patients with acute cor pulmonale often represents
a more severe set of patients and that these cases are more
appropriately assigned to the higher severity level ``with MCC'' MS-
DRG. Therefore, we are proposing to reassign cases reporting diagnosis
code I26.01, I26.02, or I26.09 to the higher severity level MS-DRG 175
and to revise the title for MS-DRG 175 to ``Pulmonary Embolism with MCC
or Acute Cor Pulmonale'' to more accurately reflect the diagnoses
assigned there.
5. MDC 5 (Diseases and Disorders of the Circulatory System)
a. Transcatheter Mitral Valve Repair With Implant
As we did for the FY 2015 IPPS/LTCH PPS proposed rule (79 FR 28008
through 28010) and for the FY 2017 IPPS/LTCH PPS proposed rule (81 FR
24985 through 24989), for FY 2020, we received a request to modify the
MS-DRG assignment for transcatheter mitral valve repair (TMVR) with
implant procedures. ICD-10-PCS procedure code 02UG3JZ (Supplement
mitral valve with synthetic substitute, percutaneous approach)
identifies and describes this procedure. This request also included the
suggestion that CMS give consideration to reclassifying other
endovascular cardiac valve repair procedures. Specifically, the
requestor recommended that cases reporting procedure codes describing
an endovascular cardiac valve repair with implant be reassigned to MS-
DRGs 266 and 267 (Endovascular Cardiac Valve Replacement with and
without MCC, respectively) and that the MS-DRG titles be revised to
Endovascular Cardiac Valve Interventions with Implant with and without
MCC, respectively. We refer readers to detailed discussions of
[[Page 19186]]
the MitraClip[supreg] System (hereafter referred to as
MitraClip[supreg]) for transcatheter mitral valve repair in previous
rulemakings, including the FY 2012 IPPS/LTCH PPS proposed rule (76 FR
25822) and final rule (76 FR 51528 through 51529), the FY 2013 IPPS/
LTCH PPS proposed rule (77 FR 27902 through 27903) and final rule (77
FR 53308 through 53310), the FY 2015 IPPS/LTCH PPS proposed rule (79 FR
28008 through 28010) and final rule (79 FR 49889 through 49892), the FY
2016 IPPS/LTCH PPS proposed rule (80 FR 24356 through 24359) and final
rule (80 FR 49363 through 49367), and the FY 2017 IPPS/LTCH PPS
proposed rule (81 FR 24985 through 24989) and final rule (81 FR 56809
through 56813), in response to requests for MS-DRG reclassification, as
well as the FY 2014 IPPS/LTCH PPS proposed rule (78 FR 27547 through
27552), under the new technology add-on payment policy. In the FY 2014
IPPS/LTCH PPS final rule (78 FR 50575), we were unable to consider
further the application for a new technology add-on payment for
MitraClip[supreg] because the technology had not received FDA approval
by the July 1, 2013 deadline.
In the FY 2015 IPPS/LTCH PPS final rule, we finalized our proposal
to not create a new MS-DRG or to reassign cases reporting ICD-9-CM
procedure code 35.97 that described procedures involving the
MitraClip[supreg] to another MS-DRG (79 FR 49889 through 49892). Under
a new application, the request for new technology add-on payments for
the MitraClip[supreg] System was approved for FY 2015 (79 FR 49941
through 49946). The new technology add-on payment for MitraClip[supreg]
was subsequently discontinued effective FY 2017.
In the FY 2016 IPPS/LTCH PPS final rule (80 FR 49371), we finalized
a modification to the MS-DRGs to which procedures involving the
MitraClip[supreg] were assigned. For the ICD-10 based MS-DRGs to fully
replicate the ICD-9-CM based MS-DRGs, ICD-10-PCS code 02UG3JZ
(Supplement mitral valve with synthetic substitute, percutaneous
approach), which identifies the MitraClip[supreg] technology and is the
ICD-10-PCS code translation for ICD-9-CM procedure code 35.97
(Percutaneous mitral valve repair with implant), was assigned to new
MS-DRGs 273 and 274 (Percutaneous Intracardiac Procedures with MCC and
without MCC, respectively) and continued to be assigned to MS-DRGs 231
and 232 (Coronary Bypass with PTCA with MCC and without MCC,
respectively).
In the FY 2017 IPPS/LTCH PPS proposed and final rules, we also
discussed our analysis of MS-DRGs 228, 229, and 230 (Other
Cardiothoracic Procedures with MCC, with CC, and without CC/MCC,
respectively) with regard to the possible reassignment of cases
reporting ICD-10-PCS procedure code 02UG3JZ (Supplement mitral valve
with synthetic substitute, percutaneous approach). We finalized our
proposal to collapse these MS-DRGs (228, 229, and 230) from three
severity levels to two severity levels by deleting MS-DRG 230 and
revising the structure of MS-DRG 229. We also finalized our proposal to
reassign ICD-10-PCS procedure code 02UG3JZ (Supplement mitral valve
with synthetic substitute, percutaneous approach) from MS-DRGs 273 and
274 to MS-DRG 228 and revised MS-DRG 229 (81 FR 56813).
According to the requestor, there are substantial clinical and
resource differences between the transcatheter mitral valve repair
(TMVR) procedure and other procedures currently grouping to MS-DRGs 228
and 229. The requestor noted that, currently, ICD-10-PCS procedure code
02UG3JZ is the only endovascular valve intervention with implant
procedure that maps to MS-DRGs 228 and 229. The requestor also noted
that other ICD-10-PCS procedure codes describing procedures for
endovascular (transcatheter) cardiac valve repair with implant map to
MS-DRGs 273 and 274 or to MS-DRGs 216, 217, 218, 219, 220, and 221
(Cardiac Valve and Other Major Cardiothoracic Procedures with and
without Cardiac Catheterization with MCC, with CC and without CC/MCC,
respectively). The requestor further noted that all ICD-10-PCS
procedure codes for endovascular cardiac valve replacement procedures
map to MS-DRGs 266 (Endovascular Cardiac Valve Replacement with MCC)
and 267 (Endovascular Cardiac Valve Replacement without MCC).
The ICD-10-PCS procedure codes describing a transcatheter cardiac
valve repair procedure with an implant are listed in the following
table.
------------------------------------------------------------------------
ICD-10-PCS code Description
------------------------------------------------------------------------
02UF37J............................. Supplement aortic valve created
from truncal valve with
autologous tissue substitute,
percutaneous approach.
02UF37Z............................. Supplement aortic valve with
autologous tissue substitute,
percutaneous approach.
02UF38J............................. Supplement aortic valve created
from truncal valve with
zooplastic tissue, percutaneous
approach.
02UF38Z............................. Supplement aortic valve with
zooplastic tissue, percutaneous
approach.
02UF3JJ............................. Supplement aortic valve created
from truncal valve with synthetic
substitute, percutaneous
approach.
02UF3JZ............................. Supplement aortic valve with
synthetic substitute,
percutaneous approach.
02UF3KJ............................. Supplement aortic valve created
from truncal valve with
nonautologous tissue substitute,
percutaneous approach.
02UF3KZ............................. Supplement aortic valve with
nonautologous tissue substitute,
percutaneous approach.
02UG37E............................. Supplement mitral valve created
from left atrioventricular valve
with autologous tissue
substitute, percutaneous
approach.
02UG37Z............................. Supplement mitral valve with
autologous tissue substitute,
percutaneous approach.
02UG38E............................. Supplement mitral valve created
from left atrioventricular valve
with zooplastic tissue,
percutaneous approach.
02UG38Z............................. Supplement mitral valve with
zooplastic tissue, percutaneous
approach.
02UG3KE............................. Supplement mitral valve created
from left atrioventricular valve
with nonautologous tissue
substitute, percutaneous
approach.
02UG3KZ............................. Supplement mitral valve with
nonautologous tissue substitute,
percutaneous approach.
02UG3JE............................. Supplement mitral valve created
from left atrioventricular valve
with synthetic substitute,
percutaneous approach.
02UG3JZ............................. Supplement mitral valve with
synthetic substitute,
percutaneous approach.
02UH37Z............................. Supplement pulmonary valve with
autologous tissue substitute,
percutaneous approach.
02UH38Z............................. Supplement pulmonary valve with
zooplastic tissue, percutaneous
approach.
02UH3JZ............................. Supplement pulmonary valve with
synthetic substitute,
percutaneous approach.
02UH3KZ............................. Supplement pulmonary valve with
nonautologous tissue substitute,
percutaneous approach.
02UJ37G............................. Supplement tricuspid valve created
from right atrioventricular valve
with autologous tissue
substitute, percutaneous
approach.
02UJ37Z............................. Supplement tricuspid valve with
autologous tissue substitute,
percutaneous approach.
02UJ38G............................. Supplement tricuspid valve created
from right atrioventricular valve
with zooplastic tissue,
percutaneous approach.
02UJ38Z............................. Supplement tricuspid valve with
zooplastic tissue, percutaneous
approach.
02UJ3JG............................. Supplement tricuspid valve created
from right atrioventricular valve
with synthetic substitute,
percutaneous approach.
02UJ3JZ............................. Supplement tricuspid valve with
synthetic substitute,
percutaneous approach.
[[Page 19187]]
02UJ3KG............................. Supplement tricuspid valve created
from right atrioventricular valve
with nonautologous tissue
substitute, percutaneous
approach.
02UJ3KZ............................. Supplement tricuspid valve with
nonautologous tissue substitute,
percutaneous approach.
------------------------------------------------------------------------
The ICD-10-PCS procedure codes describing a transcatheter cardiac
valve replacement procedure are listed in the following table.
------------------------------------------------------------------------
ICD-10-PCS code Description
------------------------------------------------------------------------
02RF37H............................. Replacement of aortic valve with
autologous tissue substitute,
transapical, percutaneous
approach.
02RF37Z............................. Replacement of aortic valve with
autologous tissue substitute,
percutaneous approach.
02RF38H............................. Replacement of aortic valve with
zooplastic tissue, transapical,
percutaneous approach.
02RF38Z............................. Replacement of aortic valve with
zooplastic tissue, percutaneous
approach.
02RF3JH............................. Replacement of aortic valve with
synthetic substitute,
transapical, percutaneous
approach.
02RF3JZ............................. Replacement of aortic valve with
synthetic substitute,
percutaneous approach.
02RF3KH............................. Replacement of aortic valve with
nonautologous tissue substitute,
transapical, percutaneous
approach.
02RF3KZ............................. Replacement of aortic valve with
nonautologous tissue substitute,
percutaneous approach.
02RG37H............................. Replacement of mitral valve with
autologous tissue substitute,
transapical, percutaneous
approach.
02RG37Z............................. Replacement of mitral valve with
autologous tissue substitute,
percutaneous approach.
02RG38H............................. Replacement of mitral valve with
zooplastic tissue, transapical,
percutaneous approach.
02RG38Z............................. Replacement of mitral valve with
zooplastic tissue, percutaneous
approach.
02RG3JH............................. Replacement of mitral valve with
synthetic substitute,
transapical, percutaneous
approach.
02RG3JZ............................. Replacement of mitral valve with
synthetic substitute,
percutaneous approach.
02RG3KH............................. Replacement of mitral valve with
nonautologous tissue substitute,
transapical, percutaneous
approach.
02RG3KZ............................. Replacement of mitral valve with
nonautologous tissue substitute,
percutaneous approach.
02RH37H............................. Replacement of pulmonary valve
with autologous tissue
substitute, transapical,
percutaneous approach.
02RH37Z............................. Replacement of pulmonary valve
with autologous tissue
substitute, percutaneous
approach.
02RH38H............................. Replacement of pulmonary valve
with zooplastic tissue,
transapical, percutaneous
approach.
02RH38Z............................. Replacement of pulmonary valve
with zooplastic tissue,
percutaneous approach.
02RH3JH............................. Replacement of pulmonary valve
with synthetic substitute,
transapical, percutaneous
approach.
02RH3JZ............................. Replacement of pulmonary valve
with synthetic substitute,
percutaneous approach.
02RH3KH............................. Replacement of pulmonary valve
with nonautologous tissue
substitute, transapical,
percutaneous approach.
02RH3KZ............................. Replacement of pulmonary valve
with nonautologous tissue
substitute, percutaneous
approach.
02RJ37H............................. Replacement of tricuspid valve
with autologous tissue
substitute, transapical,
percutaneous approach.
02RJ37Z............................. Replacement of tricuspid valve
with autologous tissue
substitute, percutaneous
approach.
02RJ38H............................. Replacement of tricuspid valve
with zooplastic tissue,
transapical, percutaneous
approach.
02RJ38Z............................. Replacement of tricuspid valve
with zooplastic tissue,
percutaneous approach.
02RJ3JH............................. Replacement of tricuspid valve
with synthetic substitute,
transapical, percutaneous
approach.
02RJ3JZ............................. Replacement of tricuspid valve
with synthetic substitute,
percutaneous approach.
02RJ3KH............................. Replacement of tricuspid valve
with nonautologous tissue
substitute, transapical,
percutaneous approach.
02RJ3KZ............................. Replacement of tricuspid valve
with nonautologous tissue
substitute, percutaneous
approach.
X2RF332............................. Replacement of aortic valve using
zooplastic tissue, rapid
deployment technique,
percutaneous approach, new
technology group 2.
------------------------------------------------------------------------
The requestor performed its own analyses, first comparing TMVR
procedures (ICD-10-PCS procedure code 02UG3JZ) to other procedures
currently assigned to MS-DRGs 228 and 229, as well as to the
transcatheter cardiac valve replacement procedures in MS-DRGs 266 and
267. We refer the reader to the ICD-10 MS-DRG Version 36 Definitions
Manual for complete documentation of the logic for case assignment to
MS-DRGs 228 and 229 (which is available via the internet on the CMS
website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/MS-DRG-Classifications-and-Software.html).
According to the requestor, its findings indicate that TMVR is more
closely aligned with MS-DRGs 266 and 267 than MS-DRGs 228 and 229 with
regard to average length of stay and average [standardized] costs. The
requestor also examined the impact of removing cases reporting a TMVR
procedure (ICD-10-PCS procedure code 02UG3JZ) from MS-DRGs 228 and 229
and adding those cases to MS-DRGs 266 and 267. The requestor noted this
movement would have minimal impact to MS-DRGs 266 and 267 based on its
analysis. In addition, the requestor stated that its request is in
alignment with CMS' policy goal of creating and maintaining clinically
coherent MS-DRGs.
The requestor acknowledged that CMS has indicated in prior
rulemaking that TMVR procedures are not clinically similar to
endovascular cardiac valve replacement procedures, and the requestor
agreed that they are distinct procedures. However, the requestor also
believed that TMVR is more similar to the replacement procedures in MS-
DRGs 266 and 267 compared to the other procedures currently assigned to
MS-DRGs 228 and 229. The requestor provided the following table of
procedures in volume order (highest to lowest) to illustrate the
clinical differences between TMVR procedures and other procedures
currently assigned to MS-DRGs 228 and 229.
----------------------------------------------------------------------------------------------------------------
ICD-10-PCS root
Procedure Approach Anatomy treated operation Implanted device
----------------------------------------------------------------------------------------------------------------
TMVR............................ Percutaneous...... Valves............ Supplement........ Substitute.
Destruction..................... Open.............. Atria............. Destruction....... None.
[[Page 19188]]
Coronary Atherectomy............ Open.............. Coronary Artery... Extirpation....... None.
Insertion....................... Percutaneous...... Atria or Insertion......... Pacemaker or
Ventricles. Intraluminal
Device.
Destruction..................... Percutaneous...... Atria............. Destructions...... None.
Structural Heart Repair......... Open.............. Septum, Heart, Repair............ None.
Chordae Tendinae,
or Papillary
Muscle.
Structural Heart Excision....... Open.............. Septum, Atria, Excision.......... None.
Ventricles,
Chordae Tendinae,
or Papillary
Muscle.
----------------------------------------------------------------------------------------------------------------
The requestor noted that, among the procedures listed in the table,
TMVR is the only procedure that involves treatment of a cardiac valve
and is the only procedure that involves implanting a synthetic
substitute.
To illustrate the similarities between TMVR procedures and
endovascular cardiac valve replacements in MS-DRGs 266 and 267, the
requestor provided the following table.
----------------------------------------------------------------------------------------------------------------
ICD-10-PCS root
Procedure Approach Anatomy treated operation Implanted device
----------------------------------------------------------------------------------------------------------------
TMVR............................ Percutaneous...... Valves............ Supplement........ Substitute.
Endovascular Cardiac Valve Percutaneous...... Valves............ Replacement....... Substitute.
Replacement.
----------------------------------------------------------------------------------------------------------------
The requestor noted that both TMVR procedures and endovascular
cardiac valve replacements use a percutaneous approach, treat cardiac
valves, and use an implanted device for purposes of improving the
function of the specified valve. The requestor believed that the
analyses support the request to group TMVR procedures with endovascular
cardiac valve replacements from a resource perspective and an
improvement to clinical coherence could be achieved because TMVR
procedures are more similar to the endovascular cardiac valve
replacements compared to the other procedures in MS-DRGs 228 and 229,
where TMVR is currently assigned.
As noted earlier in this section, the request also included the
suggestion that CMS give consideration to reclassifying other
endovascular cardiac valve repair with implant procedures to MS-DRGs
266 and 267; specifically, endovascular cardiac valve repair with
implant procedures involving the aortic, pulmonary, tricuspid and other
non-TMVR mitral valve procedures that currently group to MS-DRGs 273
and 274 or MS-DRGs 216, 217, 218, 219, 220 and 221. The requestor
acknowledged that endovascular cardiac valve repair with implant
procedures involving these other cardiac valves have lower volumes in
comparison to the TMVR procedure (ICD-10-PCS procedure code 02UG3JZ),
which makes analysis of these procedures a little more difficult.
However, the requestor suggested that movement of these procedures to
MS-DRGs 266 and 267 would enable the ability to maintain clinical
coherence for all endovascular cardiac valve interventions. The
requestor also stated that there is an anticipated increase in the
volume of not only the TMVR procedure described by ICD-10-PCS procedure
code 02UG3JZ (which has grown annually since the MitraClip[supreg] was
approved for new technology add-on payment in FY 2015), but also for
the other endovascular cardiac valve repair with implant procedures,
such as those involving the tricuspid valve, which are currently under
study in the United States and Europe. Based on this anticipated
increase in volume for endovascular cardiac valve repair with implant
procedures, the requestor believed that it would be advantageous to
take this opportunity to restructure the MS-DRGs by moving all the
endovascular cardiac valve repair with implant procedures to MS-DRGs
266 and 267 with revised titles as noted previously, to improve
clinical consistency beginning in FY 2020. The requestor further noted
that while the requestor believes its request reflects the best
approach for appropriate MS-DRG assignment for TMVR and other
endovascular cardiac valve repair with implant procedures, the
requestor understands that CMS may consider other alternatives.
We analyzed claims data from the September 2018 update of the FY
2018 MedPAR file for cases reporting ICD-10-PCS procedure code 02UG3JZ
in MS-DRGs 228 and 229 as well as cases reporting one of the procedure
codes listed above describing a transcatheter cardiac valve repair with
implant procedure in MS-DRGs 216, 217, 218, 219, 220, 221, 273, and
274. Our findings are shown in the tables below.
MS-DRGs for Transcatheter Cardiac Valve Repair With Implant Procedures
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 216--All cases........................................... 5,909 16 $70,435
MS-DRG 216--Cases with procedure codes for transcatheter cardiac 48 12.6 72,556
valve repair...................................................
MS-DRG 217--All cases........................................... 2,166 9.4 47,299
MS-DRG 217--Cases with procedure codes for transcatheter cardiac 25 3.4 40,707
valve repair...................................................
MS-DRG 218--All cases........................................... 268 6.8 39,501
MS-DRG 218--Cases with procedure codes for transcatheter cardiac 4 1.3 45,903
valve repair...................................................
MS-DRG 219--All cases........................................... 15,105 10.9 55,423
MS-DRG 219--Cases with procedure codes for transcatheter cardiac 55 7.1 65,880
valve repair...................................................
[[Page 19189]]
MS-DRG 220--All cases........................................... 15,889 6.6 38,313
MS-DRG 220--Cases with procedure codes for transcatheter cardiac 40 3 38,906
valve repair...................................................
MS-DRG 221--All cases........................................... 2,652 4.7 33,577
MS-DRG 221--Cases with procedure codes for transcatheter cardiac 13 2.2 29,646
valve repair...................................................
MS-DRG 228--All cases........................................... 5,583 9.2 46,613
MS-DRG 228--Cases with procedure code 02UG3JZ (Supplement mitral 1,688 5.6 49,569
valve with synthetic substitute, percutaneous approach)........
MS-DRG 229--All cases........................................... 6,593 4.3 32,322
MS-DRG 229--Cases with procedure code 02UG3JZ (Supplement mitral 2,018 1.7 38,321
valve with synthetic substitute, percutaneous approach)........
MS-DRG 273--All cases........................................... 7,785 6.9 27,200
MS-DRG 273--Cases with procedure codes for transcatheter cardiac 6 7.5 52,370
valve repair...................................................
MS-DRG 274--All cases........................................... 20,434 2.3 22,771
MS-DRG 274--Cases with procedure codes for transcatheter cardiac 7 1.4 28,152
valve repair...................................................
----------------------------------------------------------------------------------------------------------------
As shown in the table, we found a total of 5,909 cases for MS-DRG
216 with an average length of stay of 16 days and average costs of
$70,435. Of those 5,909 cases, there were 48 cases reporting a
procedure code for a transcatheter cardiac valve repair with an average
length of stay of 12.6 days and average costs of $72,556. We found a
total of 2,166 cases for MS-DRG 217 with an average length of stay of
9.4 days and average costs of $47,299. Of those 2,166 cases, there was
a total of 25 cases reporting a procedure for a transcatheter cardiac
valve repair with an average length of stay of 3.4 days and average
costs of $40,707. We found a total of 268 cases for MS-DRG 218 with an
average length of stay of 6.8 days and average costs of $39,501. Of
those 268 cases, there were 4 cases reporting a procedure code for a
transcatheter cardiac valve repair with an average length of stay of
1.3 days and average costs of $45,903. We found a total of 15,105 cases
for MS-DRG 219 with an average length of stay of 10.9 days and average
costs of $55,423. Of those 15,105 cases, there were 55 cases reporting
a procedure code for a transcatheter cardiac valve repair with an
average length of stay of 7.1 days and average costs of $65,880. We
found a total of 15,889 cases for MS-DRG 220 with an average length of
stay of 6.6 days and average costs of $38,313. Of those 15,889 cases,
there were 40 cases reporting a procedure code for a transcatheter
cardiac valve repair with an average length of stay of 3 days and
average costs of $38,906. We found a total of 2,652 cases for MS-DRG
221 with an average length of stay of 4.7 days and average costs of
$33,577. Of those 2,652 cases, there were 13 cases reporting a
procedure code for a transcatheter cardiac valve repair with an average
length of stay of 2.2 days and average costs of $29,646.
For MS-DRG 228, we found a total of 5,583 cases with an average
length of stay of 9.2 days and average costs of $46,613. Of those 5,583
cases, there were 1,688 cases reporting ICD-10-PCS procedure code
02UG3JZ (Supplement mitral valve with synthetic substitute,
percutaneous approach) with an average length of stay of 5.6 days and
average costs of $49,569. As noted previously, ICD-10-PCS procedure
code 02UG3JZ is the only endovascular cardiac valve repair with implant
procedure assigned to MS-DRGs 228 and 229. We found a total of 6,593
cases for MS-DRG 229 with an average length of stay of 4.3 days and
average costs of $32,322. Of those 6,593 cases, there were 2,018 cases
reporting ICD-10-PCS procedure code 02UG3JZ with an average length of
stay of 1.7 days and average costs of $38,321.
For MS-DRG 273, we found a total of 7,785 cases with an average
length of stay of 6.9 days and average costs of $27,200. Of those 7,785
cases, there were 6 cases reporting a procedure code for a
transcatheter cardiac valve repair with an average length of stay of
7.5 days and average costs of $52,370. We found a total of 20,434 cases
in MS-DRG 274 with an average length of stay of 2.3 days and average
costs of $22,771. Of those 20,434 cases, there were 7 cases reporting a
procedure code for a transcatheter cardiac valve repair with an average
length of stay of 1.4 days and average costs of $28,152.
We also analyzed cases reporting any one of the procedure codes
listed above describing a transcatheter cardiac valve replacement
procedure in MS-DRGs 266 and 267. Our findings are shown in the table
below.
MS-DRGs for Transcatheter Cardiac Valve Replacement Procedures
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 266--All cases........................................... 15,079 5.6 $51,402
MS-DRG 267--All cases........................................... 20,845 2.4 41,891
----------------------------------------------------------------------------------------------------------------
As shown in the table, there was a total of 15,079 cases with an
average length of stay of 5.6 days and average costs of $51,402 in MS-
DRG 266. For MS-DRG 267, there was a total of 20,845 cases with an
average length of stay of 2.4 days and average costs of $41,891.
As stated previously, the requestor noted that ICD-10-PCS procedure
code 02UG3JZ describing a transcatheter mitral valve repair with
implant procedure is the only endovascular cardiac valve intervention
with implant procedure assigned to MS-DRGs 228 and 229. The data
analysis shows that for the cases reporting procedure code 02UG3JZ in
MS-DRGs 228 and 229, the average length of stay and average costs are
aligned with the average length of stay and average costs of cases in
MS-DRGs 266 and 267, respectively.
The data also show that, for MS-DRGs 216, 217, 218, 219, 220, and
221 and for
[[Page 19190]]
MS-DRG 274, the average length of stay for cases reporting a
transcatheter cardiac valve with implant procedure is shorter than the
average length of stay for all the cases in their assigned MS-DRG. For
MS-DRG 273, the average length of stay for cases reporting a
transcatheter cardiac valve with implant procedure is slightly longer
(7.5 days versus 6.9 days). In addition, the average costs for the
cases reporting a transcatheter cardiac valve with implant procedure
are higher when compared to all the cases in their assigned MS-DRG with
the exception of MS-DRG 217 ($40,707 versus $47,299) and MS-DRG 221
($29,646 versus $33,577).
Our clinical advisors continue to believe that transcatheter
cardiac valve repair procedures are not the same as a transcatheter
(endovascular) cardiac valve replacement. However, they agree with the
requestor and, based on our data analysis, that these procedures are
more clinically coherent in that they also describe endovascular
cardiac valve interventions with implants and are similar in terms of
average length of stay and average costs to cases in MS-DRGs 266 and
267 when compared to other procedures in their current MS-DRG
assignment. For these reasons, our clinical advisors agree that we
should propose to reassign the endovascular cardiac valve repair
procedures (supplement procedures) listed previously to the
endovascular cardiac valve replacement MS-DRGs.
We analyzed the impact of grouping the endovascular cardiac valve
repair with implant (supplement) procedures with the endovascular
cardiac valve replacement procedures. The following table reflects our
findings for the proposed revised endovascular cardiac valve
(supplement) procedures with the endovascular cardiac valve replacement
MS-DRGs with a 2-way severity level split.
Proposed Revised MS-DRGs for Endovascular Cardiac Valve Replacement and Supplement Procedures
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 266 (Endovascular Cardiac Valve Replacement and 16,922 5.7 $51,564
Supplement Procedures with MCC)................................
MS-DRG 267 (Endovascular Cardiac Valve Replacement and 22,958 2.4 41,563.
Supplement Procedures without MCC).............................
----------------------------------------------------------------------------------------------------------------
As shown in the table, there was a total of 16,922 cases for the
endovascular cardiac valve replacement and supplement procedures with
MCC group, with an average length of stay of 5.7 days and average costs
of $51,564. There was a total of 22,958 cases for the endovascular
cardiac valve replacement and supplement procedures without MCC group,
with an average length of stay of 2.4 days and average costs of
$41,563. We applied the criteria to create subgroups for the two-way
severity level split for the proposed revised MS-DRGs and found that
all five criteria were met. For the proposed revised MS-DRGs, there is
at least (1) 500 or more cases in the MCC group or in the without MCC
subgroup; (2) 5 percent or more of the cases in the MCC group or in the
without MCC subgroup; (3) a 20 percent difference in average costs
between the MCC group and the without MCC group; (4) a $2,000
difference in average costs between the MCC group and the without MCC
group; and (5) a 3-percent reduction in cost variance, indicating that
the proposed severity level splits increase the explanatory power of
the base MS-DRG in capturing differences in expected cost between the
proposed MS-DRG severity level splits by at least 3 percent and thus
improve the overall accuracy of the IPPS payment system.
During our review of the transcatheter cardiac valve repair
(supplement) procedures in MS-DRGs 216, 217, 218, 219, 220, and 221,
MS-DRGs 228 and 229, and MS-DRGs 273 and 274, our clinical advisors
recommended that we also analyze the claims data to identify other
(non-supplement) transcatheter (endovascular) procedures that involve
the cardiac valves and are assigned to those same MS-DRGs to determine
if additional modifications may be warranted, consistent with our
ongoing efforts to refine the ICD-10 MS-DRGs.
We analyzed the following ICD-10-PCS procedure codes that are
currently assigned to MS-DRGs 216, 217, 218, 219, 220, and 221.
------------------------------------------------------------------------
ICD-10-PCS code Description
------------------------------------------------------------------------
02QF3ZJ............................. Repair aortic valve created from
truncal valve, percutaneous
approach.
02QF3ZZ............................. Repair aortic valve, percutaneous
approach.
02QG3ZE............................. Repair mitral valve created from
left atrioventricular valve,
percutaneous approach.
02QG3ZZ............................. Repair mitral valve, percutaneous
approach.
02QH3ZZ............................. Repair pulmonary valve,
percutaneous approach.
02QJ3ZG............................. Repair tricuspid valve created
from right atrioventricular
valve, percutaneous approach.
02QJ3ZZ............................. Repair tricuspid valve,
percutaneous approach.
02TH3ZZ............................. Resection of pulmonary valve,
percutaneous approach.
02VG3ZZ............................. Restriction of mitral valve,
percutaneous approach.
02WF38Z............................. Revision of zooplastic tissue in
aortic valve, percutaneous
approach.
02WF3JZ............................. Revision of synthetic substitute
in aortic valve, percutaneous
approach.
02WF3KZ............................. Revision of nonautologous tissue
substitute in aortic valve,
percutaneous approach.
02WG37Z............................. Revision of autologous tissue
substitute in mitral valve,
percutaneous approach.
02WG38Z............................. Revision of zooplastic tissue in
mitral valve, percutaneous
approach.
02WG3JZ............................. Revision of synthetic substitute
in mitral valve, percutaneous
approach.
02WG3KZ............................. Revision of nonautologous tissue
substitute in mitral valve,
percutaneous approach.
02WH37Z............................. Revision of autologous tissue
substitute in pulmonary valve,
percutaneous approach.
02WH38Z............................. Revision of zooplastic tissue in
pulmonary valve, percutaneous
approach.
02WH3JZ............................. Revision of synthetic substitute
in pulmonary valve, percutaneous
approach.
02WH3KZ............................. Revision of nonautologous tissue
substitute in pulmonary valve,
percutaneous approach.
02WJ37Z............................. Revision of autologous tissue
substitute in tricuspid valve,
percutaneous approach.
[[Page 19191]]
02WJ38Z............................. Revision of zooplastic tissue in
tricuspid valve, percutaneous
approach.
02WJ3JZ............................. Revision of synthetic substitute
in tricuspid valve, percutaneous
approach.
02WJ3KZ............................. Revision of nonautologous tissue
substitute in tricuspid valve,
percutaneous approach.
------------------------------------------------------------------------
We also analyzed ICD-10-PCS procedure code 02TH3ZZ (Resection of
pulmonary valve, percutaneous approach) that is currently assigned to
MS-DRGs 228 and 229. Lastly, we analyzed the following ICD-10-PCS
procedure codes that are currently assigned to MS-DRGs 273 and 274.
------------------------------------------------------------------------
ICD-10-PCS code Description
------------------------------------------------------------------------
025F3ZZ............................. Destruction of aortic valve,
percutaneous approach.
025G3ZZ............................. Destruction of mitral valve,
percutaneous approach.
025H3ZZ............................. Destruction of pulmonary valve,
percutaneous approach.
025J3ZZ............................. Destruction of tricuspid valve,
percutaneous approach.
027F34Z............................. Dilation of aortic valve with drug-
eluting intraluminal device,
percutaneous approach.
027F3DZ............................. Dilation of aortic valve with
intraluminal device, percutaneous
approach.
027F3ZZ............................. Dilation of aortic valve,
percutaneous approach.
027G34Z............................. Dilation of mitral valve with drug-
eluting intraluminal device,
percutaneous approach.
027G3DZ............................. Dilation of mitral valve with
intraluminal device, percutaneous
approach.
027G3ZZ............................. Dilation of mitral valve,
percutaneous approach.
027H34Z............................. Dilation of pulmonary valve with
drug-eluting intraluminal device,
percutaneous approach.
027H3DZ............................. Dilation of pulmonary valve with
intraluminal device, percutaneous
approach.
027H3ZZ............................. Dilation of pulmonary valve,
percutaneous approach.
027J34Z............................. Dilation of tricuspid valve with
drug-eluting intraluminal device,
percutaneous approach.
027J3DZ............................. Dilation of tricuspid valve with
intraluminal device, percutaneous
approach.
027J3ZZ............................. Dilation of tricuspid valve,
percutaneous approach.
02BF3ZZ............................. Excision of aortic valve,
percutaneous approach.
02BG3ZZ............................. Excision of mitral valve,
percutaneous approach.
02BH3ZZ............................. Excision of pulmonary valve,
percutaneous approach.
02BJ3ZZ............................. Excision of tricuspid valve,
percutaneous approach.
------------------------------------------------------------------------
We analyzed claims data from the September 2018 update of the FY
2018 MedPAR file for cases reporting any of the above listed procedure
codes in MS-DRGs 216, 217, 218, 219, 220, and 221, MS-DRGs 228 and 229,
and MS-DRGs 273 and 274. Our findings are shown in the following
tables. We note that there were no cases found in MS-DRGs 228 and 229
reporting ICD-10-PCS procedure code 02TH3ZZ (Resection of pulmonary
valve, percutaneous approach).
Other Cardiac Valve Procedures in MS-DRGs 216 Through 221
----------------------------------------------------------------------------------------------------------------
Number of Average length
ICD-10-PCS code Description times reported of stay Average costs
----------------------------------------------------------------------------------------------------------------
02QF3ZZ........................ Repair aortic valve, 58 9.7 $33,588
percutaneous approach.
02QG3ZE........................ Repair mitral valve created 4 1.3 38,680
from left atrioventricular
valve, percutaneous approach.
02QG3ZZ........................ Repair mitral valve, 40 3.4 30,160
percutaneous approach.
02QH3ZZ........................ Repair pulmonary valve, 1 1 33,014
percutaneous approach.
02QJ3ZG........................ Repair tricuspid valve created 1 9 51,294
from right atrioventricular
valve, percutaneous approach.
02QJ3ZZ........................ Repair tricuspid valve, 15 5 25,208
percutaneous approach.
02VG3ZZ........................ Restriction of mitral valve, 11 8.1 53,798
percutaneous approach.
02WF38Z........................ Revision of zooplastic tissue 26 8.9 61,124
in aortic valve, percutaneous
approach.
02WF3JZ........................ Revision of synthetic 37 7.1 26,605
substitute in aortic valve,
percutaneous approach.
02WF3KZ........................ Revision of nonautologous 2 1 69,030
tissue substitute in aortic
valve, percutaneous approach.
02WG38Z........................ Revision of zooplastic tissue 2 7.5 16,982
in mitral valve, percutaneous
approach.
02WG3JZ........................ Revision of synthetic 31 7.3 28,682
substitute in mitral valve,
percutaneous approach.
02WH3JZ........................ Revision of synthetic 1 6 30,340
substitute in pulmonary valve,
percutaneous approach.
02WJ3JZ........................ Revision of synthetic 1 3 14,145
substitute in tricuspid valve,
percutaneous approach.
-----------------------------------------------
Total...................... ............................... 230 7.1 34,968
----------------------------------------------------------------------------------------------------------------
Other Cardiac Valve Procedures in MS-DRGs 273 and 274
----------------------------------------------------------------------------------------------------------------
Number of Average length
ICD-10-PCS code Description times reported of stay Average costs
----------------------------------------------------------------------------------------------------------------
025F3ZZ........................ Destruction of aortic valve, 6 4.7 $11,130
percutaneous approach.
[[Page 19192]]
025J3ZZ........................ Destruction of tricuspid valve, 21 3.9 18,320
percutaneous approach.
027F34Z........................ Dilation of aortic valve with 1 16 53,786
drug-eluting intraluminal
device, percutaneous approach.
027F3DZ........................ Dilation of aortic valve with 5 8.4 20,951
intraluminal device,
percutaneous approach.
027F3ZZ........................ Dilation of aortic valve, 1,720 8.6 25,265
percutaneous approach.
027G3ZZ........................ Dilation of mitral valve, 86 6.4 19,791
percutaneous approach.
027H3ZZ........................ Dilation of pulmonary valve, 5 3.8 10,506
percutaneous approach.
02BJ3ZZ........................ Excision of tricuspid valve, 1 4 30,843
percutaneous approach.
-----------------------------------------------
Total...................... ............................... 1,845 8.4 24,851
----------------------------------------------------------------------------------------------------------------
We found that the overall frequency with which cases reporting at
least one of the above ICD-10-PCS procedure codes were reflected in the
claims data was 2,075 times with an average length of stay of 8.5 days
and average costs of $27,838. ICD-10-PCS procedure code 027F3ZZ
(Dilation of aortic valve, percutaneous approach) had the highest
frequency of 1,720 times with an average length of stay of 8.6 days and
average costs of $25,265. We also found that cases reporting ICD-10-PCS
procedure code 02WF3KZ (Revision of nonautologous tissue substitute in
aortic valve, percutaneous approach) had the highest average costs of
$69,030 with an average length of stay of 1 day. While not displayed
above, we also note that, of the 7,785 cases found in MS-DRG 273, from
the remaining procedure codes describing procedures other than those
performed on a cardiac valve, there were 4,920 cases reporting ICD-10-
PCS procedure code 02583ZZ (Destruction of conduction mechanism,
percutaneous approach) with an average length of stay of 6.6 days and
average costs of $26,800, representing approximately 63 percent of all
the cases in that MS-DRG. In addition, of the 20,434 cases in MS-DRG
274, from the remaining procedure codes describing procedures other
than those performed on a cardiac valve, there were 9,268 cases
reporting ICD-10-PCS procedure code 02583ZZ (Destruction of conduction
mechanism, percutaneous approach) with an average length of stay of 3.2
days and average costs of $21,689, and 8,775 cases reporting ICD-10-PCS
procedure code 02L73DK (Occlusion of left atrial appendage with
intraluminal device, percutaneous approach) with an average length of
stay of 1.2 days and average costs of $25,476, representing
approximately 88 percent of all the cases in that MS-DRG.
After analyzing the claims data to identify the overall frequency
with which the other (non-supplement) ICD-10-PCS procedure codes
describing a transcatheter (endovascular) cardiac valve procedure were
reported and assigned to MS-DRGs 216, 217, 218, 219, 220, and 221, MS-
DRGs 228 and 229, and MS-DRGs 273 and 274, our clinical advisors
suggested that these other cardiac valve procedures should be grouped
together because the procedure codes are describing procedures
performed on a cardiac valve with a percutaneous (transcatheter/
endovascular) approach, they can be performed in a cardiac
catheterization laboratory, they require that the interventional
cardiologist have special additional training and skills, and often
require additional ancillary procedures and equipment, such as trans-
esophageal echocardiography, be available at the time of the procedure.
Our clinical advisors noted that these procedures are generally
considered more complicated and resource-intensive, and form a
clinically coherent group. They also noted that the majority of
procedures currently being reported in MS-DRGs 273 and 274 are
procedures other than those involving a cardiac valve and, therefore,
believed that reassignment of the other (non-supplement) ICD-10-PCS
procedure codes describing a transcatheter (endovascular) cardiac valve
procedure would have minimal impact to those MS-DRGs.
We then analyzed the impact of grouping the other transcatheter
cardiac valve procedures. The following table reflects our findings for
the suggested other endovascular cardiac valve procedures MS-DRGs with
a 2-way severity level split.
Suggested MS-DRGs for Other Endovascular Cardiac Valve Procedures
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG XXX (Other Endovascular Cardiac Valve Procedures with 1,527 9.7 $27,801
MCC)...........................................................
MS-DRG XXX (Other Endovascular Cardiac Valve Procedures without 560 3.9 17,027
MCC)...........................................................
----------------------------------------------------------------------------------------------------------------
As shown in the table, there were 1,527 cases for the other
endovascular cardiac valve procedures with MCC group, with an average
length of stay of 9.7 days and average costs of $27,801. There was a
total of 560 cases for the other endovascular cardiac valve procedures
without MCC group, with an average length of stay of 3.9 days and
average costs of $17,027. We applied the criteria to create subgroups
for the two-way severity level split for the suggested MS-DRGs and
found that all five criteria were met. For the suggested MS-DRGs, there
is at least (1) 500 or more cases in the MCC group or in the without
MCC subgroup; (2) 5 percent or more of the cases in the MCC group or in
the without MCC subgroup; (3) a 20 percent difference in average costs
between the MCC group and the without MCC group; (4) at least a $2,000
difference in average costs between the MCC group and the without MCC
group; and (5) a 3-percent reduction in cost variance, indicating that
the proposed severity level splits increase the explanatory power of
the base MS-DRG in capturing differences in expected cost between the
proposed MS-DRG severity level splits by at least 3 percent and thus
improve the overall accuracy of the IPPS payment system.
[[Page 19193]]
For FY 2020, we are proposing to modify the structure of MS-DRGs
266 and 267 by reassigning the procedure codes describing a
transcatheter cardiac valve repair (supplement) procedure from the list
above and to revise the title of these MS-DRGs. We are proposing to
revise the title of MS-DRGs 266 from ``Endovascular Cardiac Valve
Replacement with MCC'' to ``Endovascular Cardiac Valve Replacement and
Supplement Procedures with MCC'' and the title of MS-DRG 267 from
``Endovascular Cardiac Valve Replacement without MCC'' to
``Endovascular Cardiac Valve Replacement and Supplement Procedures
without MCC'', to reflect the proposed restructuring. We also are
proposing to create two new MS-DRGs with a two-way severity level split
for the remaining (non-supplement) transcatheter cardiac valve
procedures listed above. These proposed new MS-DRGs are proposed new
MS-DRG 319 (Other Endovascular Cardiac Valve Procedures with MCC) and
proposed new MS-DRG 320 (Other Endovascular Cardiac Valve Procedures
without MCC), which would also conform with the severity level split of
MS-DRGs 266 and 267. We are proposing to reassign the procedure codes
from their current MS-DRGs to the proposed new MS-DRGs.
b. Revision of Pacemaker Lead
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41189 through
41190), we finalized our proposal to maintain the Version 35 ICD-10 MS-
DRG GROUPER logic for the Version 36 ICD-10 MS-DRG GROUPER logic within
MS-DRGs 260, 261, and 262 (Cardiac Pacemaker Revision Except Device
Replacement with MCC, with CC and without CC/MCC, respectively) so that
cases reporting any of the ICD-10-PCS procedure codes describing
procedures involving pacemakers and related procedures and associated
devices would continue to be assigned to those MS-DRGs under MDC 5
because they are reported when a pacemaker device requires revision and
they have a corresponding circulatory system diagnosis. We also
discussed and finalized the addition of ICD-10-PCS procedure codes
02H63MZ (Insertion of cardiac lead into right atrium, percutaneous
approach) and 02H73MZ (Insertion of cardiac lead into left atrium,
percutaneous approach) to the GROUPER logic as non-O.R. procedures that
impact the MS-DRG assignment when reported as stand-alone codes for the
insertion of a pacemaker lead within MS-DRGs 260, 261, and 262 in
response to a commenter's suggestion.
After publication of the FY 2019 IPPS/LTCH PPS final rule, it was
brought to our attention that ICD-10-PCS procedure code 02H60JZ
(Insertion of pacemaker lead into right atrium, open approach) was
inadvertently omitted from the GROUPER logic for MS-DRGs 260, 261, and
262. This procedure code is designated as a non-O.R. procedure.
However, we note that, within MDC 5, in MS-DRGs 242, 243, and 244, this
procedure code is part of a code pair that requires another procedure
code (cluster). We are proposing to add procedure code 02H60JZ to the
list of non-O.R. procedures that would impact MS-DRGs 260, 261, and 262
when reported as a stand-alone procedure code, consistent with ICD-10-
PCS procedure codes 02H63JZ (Insertion of pacemaker lead into right
atrium, percutaneous approach) and 02H64JZ (Insertion of pacemaker lead
into right atrium, percutaneous endoscopic approach), which also
describe the insertion of a pacemaker lead into the right atrium. If
the proposal is finalized, we would make conforming changes to the ICD-
10 MS-DRG Definitions Manual Version 37.
6. MDC 8 (Diseases and Disorders of the Musculoskeletal System and
Connective Tissue)
a. Knee Procedures With Principal Diagnosis of Infection
We received a request to add ICD-10-CM diagnosis codes M00.9
(Pyogenic arthritis, unspecified) and A54.42 (Gonococcal arthritis) to
the list of principal diagnoses for MS-DRGs 485, 486, and 487 (Knee
Procedure with Principal Diagnosis of Infection with MCC, with CC, and
without CC/MCC, respectively) in MDC 8. The requestor believed that
adding diagnosis code M00.9 is necessary to accurately recognize knee
procedures that are performed with a principal diagnosis of infectious
arthritis, including those procedures performed when the specific
infectious agent is unknown. The requestor stated that, currently, only
diagnosis codes describing infections caused by a specific bacterium
are included in MS-DRGs 485, 486, and 487. The requestor stated that
additional diagnosis codes such as M00.9 are indicated for knee
procedures performed as a result of infection because pyogenic
arthritis can reasonably be diagnosed based on the patient's history
and clinical symptoms, even if a bacterial infection is not confirmed
by culture. For example, the requestor noted that a culture may present
negative for infection if a patient has been treated with antibiotics
prior to knee surgery, but other clinical signs may indicate a
principal diagnosis of joint infection. In the absence of a culture
identifying an infection by a specific bacterium, the requestor stated
that ICD-10-CM diagnosis code M00.09 should also be included as a
principal diagnosis in MS-DRGs 485, 486, and 487.
The requestor also asserted that ICD-10-CM diagnosis code A54.42
should be added to the list of principal diagnoses for MS-DRGs 485,
486, and 487 because gonococcal arthritis is also an infectious type of
arthritis that can be an indication for a knee procedure.
Currently, cases reporting ICD-10-CM diagnosis codes M00.9 or
A54.42 as a principal diagnosis group to MS-DRGs 488 and 489 (Knee
Procedures without Principal Diagnosis of Infection with and without
CC/MCC, respectively) when a knee procedure is also reported on the
claim.
We analyzed claims data from the September 2018 update of the FY
2018 MedPAR file for ICD-10-CM diagnosis codes M00.9 and A54.42, which
are currently assigned to medical MS-DRGs 548, 549, and 550 (Septic
Arthritis with MCC, with CC, and without CC/MCC, respectively) in the
absence of a surgical procedure. Our findings are shown in the
following table.
MS-DRGs for Septic Arthritis With Pyogenic Arthritis or Gonococcal Arthritis
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 548--All cases........................................... 601 8.1 $13,974
MS-DRG 548--Cases with pyogenic arthritis as principal diagnosis 312 7.6 13,177
MS-DRG 549--All cases........................................... 1,169 5.0 8,547
MS-DRG 549--Cases with pyogenic arthritis as principal diagnosis 686 4.7 7,976
MS-DRG 549--Cases with gonococcal arthritis as principal 2 8.0 7,070
diagnosis......................................................
MS-DRG 550--All cases........................................... 402 3.5 6,317
[[Page 19194]]
MS-DRG 550--Cases with pyogenic arthritis as principal diagnosis 260 3.2 6,209
MS-DRG 550--Cases with gonococcal arthritis as principal 3 2.3 3,929
diagnosis......................................................
----------------------------------------------------------------------------------------------------------------
As shown in the table, we found a total of 2,172 cases in MS-DRGs
548, 549, and 550. A total of 601 cases were reported in MS-DRG 548,
with an average length of stay of 8.1 days and average costs of
$13,974. Cases in MS-DRG 548 with a principal diagnosis of pyogenic
arthritis (ICD-10-CM diagnosis code M00.9) accounted for 312 of these
601 cases, and reported an average length of stay of 7.6 days and
average costs of $13,177. None of the cases in MS-DRG 548 had a
principal diagnosis of gonococcal arthritis (ICD-10-CM diagnosis code
A54.42).
The total number of cases reported in MS-DRG 549 was 1,169, with an
average length of stay of 5 days and average costs of $8,547. Within
this MS-DRG, 686 cases had a principal diagnosis described by ICD-10-CM
diagnosis code M00.9, with an average length of stay of 4.7 days and
average costs of $7,976. Two of the cases reported in MS-DRG 549 had a
principal diagnosis described by ICD-10-CM diagnosis code A54.42. These
2 cases had an average length of stay of 8 days and average costs of
$7,070.
The total number of cases reported in MS-DRG 550 was 402, with an
average length of stay of 3.5 days and average costs of $6,317. Within
this MS-DRG, 260 cases had a principal diagnosis described by ICD-10-CM
diagnosis code M00.9 with an average length of stay of 3.2 days and
average costs of $6,209. Three of the cases reported in MS-DRG 550 had
a principal diagnosis described by ICD-10-CM diagnosis code A54.42.
These 3 cases had an average length of stay of 2.3 days and average
costs of $3,929.
In summary, for MS-DRGs 548, 549, and 550, there were 1,258 cases
that reported ICD-10-CM diagnosis code M00.9 as the principal diagnosis
and 5 cases that reported ICD-10-CM diagnosis code A54.42 as the
principal diagnosis. We note that, overall, our data analysis suggests
that the MS-DRG assignment for cases reporting ICD-10-CM diagnosis
codes M00.9 and A54.42 is appropriate based on the average costs and
average length of stay. However, it is unclear how many of these cases
involved infected knee joints because neither ICD-10-CM diagnosis code
M00.9 nor A54.42 is specific to the knee. We then analyzed claims data
for MS-DRGs 485, 486, and 487 (Knee Procedures with Principal Diagnosis
of Infection with MCC, with CC, and without CC/MCC, respectively) and
for MS-DRGs 488 and 489 (Knee Procedures without Principal Diagnosis of
Infection with and without CC/MCC, respectively). For MS-DRGs 488 and
489, we also analyzed claims data for cases reporting a knee procedure
with ICD-10-CM diagnosis code M00.9 or A54.42 as a principal diagnosis,
as these are the MS-DRGs to which such cases would currently group. Our
findings are shown in the following table.
MS-DRGs for Knee Procedures With and Without Infection
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 485--All cases........................................... 1,021 9.7 $23,980
MS-DRG 486--All cases........................................... 2,260 6 16,060
MS-DRG 487--All cases........................................... 614 4.2 12,396
MS-DRG 488--All cases........................................... 2,857 4.8 14,197
MS-DRG 488--Cases with pyogenic arthritis as principal diagnosis 524 7.1 16,894
MS-DRG 489--All cases........................................... 2,416 2.4 9,217
MS-DRG 489--Cases with pyogenic arthritis as principal diagnosis 195 4.1 9,526
MS-DRG 489--Cases with gonococcal arthritis as principal 1 8 10,810
diagnosis......................................................
----------------------------------------------------------------------------------------------------------------
As shown in the table, we found a total of 1,021 cases reported in
MS-DRG 485, with an average length of stay of 9.7 days and average
costs of $23,980. We found a total of 2,260 cases reported in MS-DRG
486, with an average length of stay of 6.0 days and average costs of
$16,060. The total number of cases reported in MS-DRG 487 was 614, with
an average length of stay of 4.2 days and average costs of $12,396. For
MS-DRG 488, we found a total of 2,857 cases with an average length of
stay of 4.8 days and average costs of $14,197. Of these 2,857 cases, we
found 524 cases that reported a principal diagnosis of pyogenic
arthritis (ICD-10-CM diagnosis code M00.9), with an average length of
stay of 7.1 days and average costs of $16,894. There were no cases
found that reported a principal diagnosis of gonococcal arthritis (ICD-
10-CM diagnosis code A54.42). For MS-DRG 489, we found a total of 2,416
cases with an average length of stay of 2.4 days and average costs of
$9,217. Of these 2,416 cases, we found 195 cases that reported a
principal diagnosis of pyogenic arthritis (ICD-10-CM diagnosis code
M00.9), with an average length of stay of 4.1 days and average costs of
$9,526. We found 1 case that reported a principal diagnosis of
gonococcal arthritis (ICD-10-CM diagnosis code A54.42) in MS-DRG 489,
with an average length of stay of 8 days and average costs of $10,810.
Upon review of the data, we noted that the average costs and
average length of stay for cases reporting a principal diagnosis of
pyogenic arthritis (ICD-10-CM diagnosis code M00.9) in MS-DRG 488 are
higher than the average costs and average length of stay for all cases
in MS-DRG 488. We found similar results for MS-DRG 489 for the cases
reporting diagnosis code M00.9 or A54.42 as the principal diagnosis.
As stated earlier, the requestor recommended that ICD-10-CM
diagnosis codes M00.9 and A54.42 be added to the list of principal
diagnoses in MS-DRGs 485, 486, and 487 to recognize knee procedures
that are performed with a principal diagnosis of an infectious type of
arthritis. Because these diagnosis codes are not specific to the knee
in the code description, we
[[Page 19195]]
examined the ICD-10-CM Alphabetic Index to review the entries that
refer and correspond to these diagnosis codes. Specifically, we
searched the Index for codes M00.9 and A54.42 and found the following
entries.
[GRAPHIC] [TIFF OMITTED] TP03MY19.000
Our clinical advisors agreed that the results of our ICD-10-CM
Alphabetic Index review combined with the data analysis results support
the addition of ICD-10-CM diagnosis code M00.9 to the list of principal
diagnoses of infection for MS-DRGs 485, 486, and 487. The entries for
diagnosis code M00.9 include infection of the knee, and as discussed
above, in our data analysis, we found cases reporting ICD-10-CM
diagnosis code M00.9 as a principal diagnosis in MS-DRGs 488 and 489,
indicating that knee procedures are, in fact, being performed for an
infectious arthritis of the knee. In addition, the average costs for
cases reporting a principal diagnosis code of pyogenic arthritis (ICD-
10-CM diagnosis code M00.9) in MS-DRG 488 are similar to the average
costs of cases in MS-DRG 486 ($16,894 and $16,060, respectively).
Because MS-DRG 488 includes cases with a CC or an MCC, we reviewed how
many of the 524 cases reporting a principal diagnosis code of pyogenic
arthritis (ICD-10-CM diagnosis code M00.9) were reported with a CC or
an MCC. We found that there were 361 cases reporting a CC with an
average length of stay of 6 days and average costs of $14,092 and 163
cases reporting an MCC with an average length of stay of 9.5 days and
average costs of $23,100. Therefore, the cases in MS-DRG 488 reporting
a principal diagnosis code of pyogenic arthritis (ICD-10-CM diagnosis
code M00.9) with an MCC have average costs that are consistent with the
average costs of cases in MS-DRG 485 ($23,100 and $23,980,
respectively), and the cases with a CC have average costs that are
consistent with the average costs of cases in MS-DRG 486 ($14,092 and
$16,060, respectively), as noted above.
[[Page 19196]]
We also note that the average length of stay for cases reporting a
principal diagnosis code of pyogenic arthritis (ICD-10-CM diagnosis
code M00.9) with an MCC in MS-DRG 488 is similar to the average length
of stay for cases in MS-DRG 485 (9.5 days and 9.7 days, respectively),
and the cases with a CC have an average length of stay that is
equivalent to the average length of stay for cases in MS-DRG 486 (6
days and 6 days, respectively). We further note that the average length
of stay for cases reporting a principal diagnosis code of pyogenic
arthritis (ICD-10-CM diagnosis code M00.9) in MS-DRG 489 is similar to
the average length of stay for cases in MS DRG 487 (4.1 days and 4.2
days, respectively). Lastly, the average costs for cases reporting a
principal diagnosis code of pyogenic arthritis (ICD-10-CM diagnosis
code M00.9) in MS-DRG 489 are consistent with the average costs for
cases in MS-DRG 487 ($9,526 and $12,396, respectively), with a
difference of $2,870. For these reasons, we are proposing to add ICD-
10-CM diagnosis code M00.9 to the list of principal diagnosis codes for
MS-DRGs 485, 486, and 487.
Our clinical advisors did not support the addition of ICD-10-CM
diagnosis code A54.42 to the list of principal diagnosis codes for MS-
DRGs 485, 486, and 487 because ICD-10-CM diagnosis code A54.42 is not
specifically indexed to include the knee or any infection in the knee.
Therefore, we are not proposing to add ICD-10-CM diagnosis code A54.42
to the list of principal diagnosis codes for these MS-DRGs.
Upon review of the existing list of principal diagnosis codes for
MS-DRGs 485, 486, and 487, our clinical advisors recommended that we
review the following ICD-10-CM diagnosis codes currently included on
the list of principal diagnosis codes because the codes are not
specific to the knee.
------------------------------------------------------------------------
ICD-10-CM code Code description
------------------------------------------------------------------------
M86.9..................... Osteomyelitis, unspecified.
T84.50XA.................. Infection and inflammatory reaction due to
unspecified internal joint prosthesis,
initial encounter.
T84.51XA.................. Infection and inflammatory reaction due to
internal right hip prosthesis, initial
encounter.
T84.52XA.................. Infection and inflammatory reaction due to
internal left hip prosthesis, initial
encounter.
T84.59XA.................. Infection and inflammatory reaction due to
other internal joint prosthesis, initial
encounter.
T84.60XA.................. Infection and inflammatory reaction due to
internal fixation device of unspecified
site, initial encounter.
T84.63XA.................. Infection and inflammatory reaction due to
internal fixation device of spine, initial
encounter.
T84.69XA.................. Infection and inflammatory reaction due to
internal fixation device of other site,
initial encounter.
------------------------------------------------------------------------
These ICD-10-CM diagnosis codes are currently assigned to medical
MS-DRGs 559, 560, and 561 (Aftercare, Musculoskeletal System and
Connective Tissue with MCC, with CC, and without CC/MCC, respectively)
within MDC 8 in the absence of a surgical procedure. Similar to the
process described above, we examined the ICD-10-CM Alphabetic Index to
review the entries that refer and correspond to the diagnosis codes
shown in the table above. We found the following entries.
------------------------------------------------------------------------
-------------------------------------------------------------------------
Index entries referring to M86.9: Osteomyelitis (general) (infective)
(localized) (neonatal) (purulent) (septic) (staphylococcal)
(streptococcal) (suppurative) (with periostitis).
Index entries referring to T84.50XA:Complication(s) (from) (of) > joint
prosthesis, internal > infection or inflammation Infection, infected,
infective (opportunistic) > joint NEC > due to internal joint
prosthesis.
Index entries referring to T84.51XA: Infection, infected, infective
(opportunistic) > hip (joint) NEC > due to internal joint prosthesis >
right.
Index entries referring to T84.52XA: Infection, infected, infective
(opportunistic) > hip (joint) NEC > due to internal joint prosthesis >
left.
Index entries referring to T84.59XA: Complication(s) (from) (of) > joint
prosthesis, internal > infection or inflammation > specified joint NEC
Infection, infected, infective (opportunistic) > shoulder (joint) NEC >
due to internal joint prosthesis.
Index entries referring to T84.60XA: Complication(s) (from) (of) >
fixation device, internal (orthopedic) > infection and inflammation.
Index entries referring to T84.63XA: Complication(s) (from) (of) >
fixation device, internal (orthopedic) > infection and inflammation >
spine.
Index entries referring to T84.69XA: Complication(s) (from) (of) >
fixation device, internal (orthopedic) > infection and inflammation >
specified site NEC.
------------------------------------------------------------------------
The Index entries for the ICD-10-CM diagnosis codes listed above
reflect terms relating to an infection. However, none of the entries is
specific to the knee. In addition, we note that there are other
diagnosis codes in the subcategory T84.5- series (Infection and
inflammatory reaction due to internal joint prosthesis) that are
specific to the knee. For example, ICD-10-CM diagnosis code T84.53X-
(Infection and inflammatory reaction due to internal right knee
prosthesis) or ICD-10-CM diagnosis code T84.54X- (Infection and
inflammatory reaction due to internal left knee prosthesis) with the
appropriate 7th digit character to identify initial encounter,
subsequent encounter or sequela, would be reported to identify a
documented infection of the right or left knee due to an internal
prosthesis. We further note that these ICD-10-CM diagnosis codes
(T84.53X- and T84.54X-) with the 7th character ``A'' for initial
encounter are currently already in the list of principal diagnosis
codes for MS-DRGs 485, 486, and 487.
Our clinical advisors support the removal of the above ICD-10-CM
diagnosis codes from the list of principal diagnosis codes for MS-DRGs
485, 486, and 487 because they are not specifically indexed to include
an infection of the knee and there are other diagnosis codes in the
subcategory T84.5- series that uniquely identify an infection and
inflammatory reaction of the right or left knee due to an internal
prosthesis as noted above.
We also analyzed claims data for MS-DRGs 485, 486 and 487 to
identify cases reporting one of the above listed ICD-10-CM diagnosis
codes not specific to the knee as a principal diagnosis. Our findings
are shown in the following table.
[[Page 19197]]
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 485--Cases reporting principal diagnosis code not 13 11.2 $30,765
specific to the knee...........................................
MS-DRG 486--Cases reporting principal diagnosis code not 43 6.5 15,837
specific to the knee...........................................
MS-DRG 487--Cases reporting principal diagnosis code not 7 2.6 11,362
specific to the knee...........................................
----------------------------------------------------------------------------------------------------------------
For MS-DRG 485, we found 13 cases reporting one of the diagnosis
codes not specific to the knee as a principal diagnosis with an average
length of stay of 11.2 days and average costs of $30,765. For MS-DRG
486, we found 43 cases reporting one of the diagnosis codes not
specific to the knee as a principal diagnosis with an average length of
stay of 6.5 days and average costs of $15,837. For MS-DRG 487, we found
7 cases reporting one of the diagnosis codes not specific to the knee
as a principal diagnosis with an average length of stay of 2.6 days and
average costs of $11,362.
Overall, for MS-DRGs 485, 486, and 487, there were a total of 63
cases reporting one of the ICD-10-CM diagnosis codes not specific to
the knee as a principal diagnosis with an average length of stay of 7
days and average costs of $18,421. Of those 63 cases, there were 32
cases reporting a principal diagnosis code from the ICD-10-CM
subcategory T84.5-series (Infection and inflammatory reaction due to
internal joint prosthesis); 23 cases reporting a principal diagnosis
code from the ICD-10-CM subcategory T84.6-series (Infection and
inflammatory reaction due to internal fixation device), with 22 of the
23 cases reporting ICD-10-CM diagnosis code T84.69XA (Infection and
inflammatory reaction due to internal fixation device of other site,
initial encounter) and 1 case reporting ICD-10-CM diagnosis code
T84.63XA (Infection and inflammatory reaction due to internal fixation
device of spine, initial encounter); and 8 cases reporting ICD-10-CM
diagnosis code M86.9 (Osteomyelitis, unspecified) as a principal
diagnosis.
Our clinical advisors believe that there may have been coding
errors among the 63 cases reporting a principal diagnosis of infection
not specific to the knee. For example, 32 cases reported a principal
diagnosis code from the ICD-10-CM subcategory T84.5-series (Infection
and inflammatory reaction due to internal joint prosthesis) that was
not specific to the knee and, as stated previously, there are other
codes in this subcategory that uniquely identify an infection and
inflammatory reaction of the right or left knee due to an internal
prosthesis.
Based on the results of our claims analysis and input from our
clinical advisors, we are proposing to remove the following ICD-10-CM
diagnosis codes that do not describe an infection of the knee from the
list of principal diagnosis codes for MS-DRGs 485, 486, and 487: M86.9;
T84.50XA; T84.51XA; T84.52XA; T84.59XA; T84.60XA; T84.63XA; and
T84.69XA. We are not proposing to change the current assignment of
these diagnosis codes in MS-DRGs 559, 560, and 561.
In addition, our clinical advisors recommended that we add the
following ICD-10-CM diagnosis codes as principal diagnosis codes for
MS-DRGs 485, 486, and 487 because they are specific to the knee and
describe an infection.
------------------------------------------------------------------------
ICD-10-CM code Code description
------------------------------------------------------------------------
A18.02.................... Tuberculous arthritis of other joints.
M01.X61................... Direct infection of right knee in infectious
and parasitic diseases classified
elsewhere.
M01.X62................... Direct infection of left knee in infectious
and parasitic diseases classified
elsewhere.
M01.X69................... Direct infection of unspecified knee in
infectious and parasitic diseases
classified elsewhere.
M71.061................... Abscess of bursa, right knee.
M71.062................... Abscess of bursa, left knee.
M71.069................... Abscess of bursa, unspecified knee.
M71.161................... Other infective bursitis, right knee.
M71.162................... Other infective bursitis, left knee.
M71.169................... Other infective bursitis, unspecified knee.
------------------------------------------------------------------------
ICD-10-CM diagnosis code A18.02 (Tuberculous arthritis of other
joints) is currently assigned to medical MS-DRGs 548, 549, and 550
(Septic Arthritis with MCC, with CC, and without CC/MCC, respectively)
within MDC 8 and MS-DRGs 974, 975, and 976 (HIV with Major Related
Condition with MCC, with CC, and without CC/MCC, respectively) within
MDC 25 (Human Immunodeficiency Virus Infections) in the absence of a
surgical procedure. ICD-10-CM diagnosis codes M01.X61 (Direct infection
of right knee in infectious and parasitic diseases classified
elsewhere), M01.X62 (Direct infection of left knee in infectious and
parasitic diseases classified elsewhere), and M01.X69 (Direct infection
of unspecified knee in infectious and parasitic diseases classified
elsewhere) are currently assigned to medical MS-DRGs 548, 549, and 550
(Septic Arthritis with MCC, with CC, and without CC/MCC, respectively)
within MDC 8 in the absence of a surgical procedure. ICD-10-CM
diagnosis codes M71.061 (Abscess of bursa, right knee), M71.062
(Abscess of bursa, left knee), M71.069 (Abscess of bursa, unspecified
knee), M71.161 (Other infective bursitis, right knee), M71.162 (Other
infective bursitis, left knee), and M71.169 (Other infective bursitis,
unspecified knee) are currently assigned to medical MS-DRGs 557 and 558
(Tendonitis, Myositis and Bursitis with and without MCC, respectively)
within MDC 8 in the absence of a surgical procedure.
Similar to the process described above, we examined the ICD-10-CM
Alphabetic Index to review the entries that refer and correspond to the
diagnosis codes shown in the table above. We found the following
entries.
BILLING CODE 4120-01-P
[[Page 19198]]
[GRAPHIC] [TIFF OMITTED] TP03MY19.001
[[Page 19199]]
[GRAPHIC] [TIFF OMITTED] TP03MY19.002
[[Page 19200]]
[GRAPHIC] [TIFF OMITTED] TP03MY19.003
BILLING CODE 4120-01-C
We note that there were no Index entries specifically for ICD-10-CM
diagnosis codes M71.061, M71.062, M71.069, M71.161, M71.162, and
M71.169. Rather, there were Index entries at the subcategory levels of
M71.06- and M71.16-. We found the following entries.
[[Page 19201]]
------------------------------------------------------------------------
-------------------------------------------------------------------------
Index entry referring to M71.06-: (connective tissue) (embolic)
(fistulous) (infective) (metastatic) (multiple) (pernicious) (pyogenic)
(septic) > bursa > knee.
Index entry referring to M71.16-: Infective NEC > knee.
------------------------------------------------------------------------
Our clinical advisors agreed that the results of our review of the
ICD-10-CM Alphabetic Index support the addition of these ICD-10-CM
diagnosis codes to MS-DRGs 485, 486, and 487 because the Index entries
and/or the code descriptions clearly describe or include an infection
that is specific to the knee.
Therefore, we are proposing to add the following ICD-10-CM
diagnosis codes to the list of principal diagnosis codes for MS-DRGs
485, 486, and 487: A18.02; M01.X61; M01.X62; M01.X69; M71.061; M71.062;
M71.069; M71.161; M71.162; and M71.169.
b. Neuromuscular Scoliosis
We received a request to add ICD-10-CM diagnosis codes describing
neuromuscular scoliosis to the list of principal diagnosis codes for
MS-DRGs 456, 457, and 458 (Spinal Fusion except Cervical with Spinal
Curvature or Malignancy or Infection or Extensive Fusions with MCC,
with CC, and without CC/MCC, respectively). Excluding the ICD-10-CM
diagnosis codes that address the cervical spine, the following ICD-10-
CM diagnosis codes are used to describe neuromuscular scoliosis.
------------------------------------------------------------------------
ICD-10-CM code Code description
------------------------------------------------------------------------
M41.40.................... Neuromuscular scoliosis, site unspecified.
M41.44.................... Neuromuscular scoliosis, thoracic region.
M41.45.................... Neuromuscular scoliosis, thoracolumbar
region.
M41.46.................... Neuromuscular scoliosis, lumbar region.
M41.47.................... Neuromuscular scoliosis, lumbosacral region.
------------------------------------------------------------------------
The requestor asserted that all levels of neuromuscular scoliosis,
except cervical, should group to the non-cervical spinal fusion MS-DRGs
for spinal curvature (MS-DRGs 456, 457, and 458). The requestor also
noted that the current MS-DRG logic only groups cases reporting
neuromuscular scoliosis to MS-DRGs 456, 457, and 458 when neuromuscular
scoliosis is reported as a secondary diagnosis. The requestor contended
that it would be rare for a diagnosis of neuromuscular scoliosis to be
reported as a secondary diagnosis because there is not a ``code first''
note in the ICD-10-CM Tabular List of Diseases and Injuries indicating
to ``code first'' the underlying cause. According to the requestor,
when a diagnosis of neuromuscular scoliosis is the reason for an
admission for non-cervical spinal fusion, neuromuscular scoliosis must
be sequenced as the principal diagnosis because it is the chief
condition responsible for the admission. However, this sequencing,
which adheres to the ICD-10-CM Official Guidelines for Coding and
Reporting, prevents the admission from grouping to the non-cervical
spinal fusion MS-DRGs for spinal curvature caused by neuromuscular
scoliosis.
We analyzed claims data from the September 2018 update of the FY
2018 MedPAR file for cases reporting any of the ICD-10-CM diagnosis
codes describing neuromuscular scoliosis (as listed previously) as a
principal diagnosis with a non-cervical spinal fusion, which are
currently assigned to MS-DRGs 459 and 460 (Spinal Fusion except
Cervical with MCC and without MCC, respectively). Our findings are
shown in the following table.
MS-DRGs for Cases Involving Non-Cervical Spinal Fusion With Principal Diagnosis of Neuromuscular Scoliosis
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 459--All cases........................................... 3,903 8.6 $46,416
MS-DRG 459--Cases with principal diagnosis of neuromuscular 3 15.3 95,745
scoliosis......................................................
MS-DRG 460--All cases........................................... 52,597 3.3 28,754
MS-DRG 460--Cases with principal diagnosis of neuromuscular 8 4.3 71,406
scoliosis......................................................
----------------------------------------------------------------------------------------------------------------
The data reveal that there was a total of 56,500 cases in MS-DRGs
459 and 460. We found 3,903 cases reported in MS-DRG 459, with an
average length of stay of 8.6 days and average costs of $46,416. Of
these 3,903 cases, 3 reported a principal diagnosis code of
neuromuscular scoliosis, with an average length of stay of 15.3 days
and average costs of $95,745. We found a total of 52,597 cases in MS-
DRG 460, with an average length of stay of 3.3 days and average costs
of $28,754. Of these 52,597 cases, 8 cases reported a principal
diagnosis code describing neuromuscular scoliosis, with an average
length of stay of 4.3 days and average costs of $71,406. The data
clearly demonstrate that the average costs and average length of stay
for the small number of cases reporting a principal diagnosis of
neuromuscular scoliosis are higher in comparison to all the cases in
their assigned MS-DRG.
We also analyzed claims data for MS-DRGs 456, 457, and 458 (Spinal
Fusion except Cervical with Spinal Curvature or Malignancy or Infection
or Extensive Fusions with MCC, with CC, and without CC/MCC,
respectively) to identify the spinal fusion cases reporting any of the
ICD-10-CM codes describing neuromuscular scoliosis (as listed
previously) as a secondary diagnosis. Our findings are shown in the
following table.
[[Page 19202]]
MS-DRGs for Cases Involving Non-Cervical Spinal Fusion With Spinal Curvature or Malignancy or Infection or
Extensive Fusions With Secondary Diagnosis of Neuromuscular Scoliosis
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 456--All cases........................................... 1,344 12.0 $66,012
MS-DRG 456--Cases with secondary diagnosis of neuromuscular 6 18.2 79,809
scoliosis......................................................
MS-DRG 457--All cases........................................... 3,654 6.2 47,577
MS-DRG 457--Cases with secondary diagnosis of neuromuscular 12 4.5 31,646
scoliosis......................................................
MS-DRG 458--All cases........................................... 1,245 3.4 34,179
MS-DRG 458--Cases with secondary diagnosis of neuromuscular 6 3.3 31,117
scoliosis......................................................
----------------------------------------------------------------------------------------------------------------
The data indicate that there were 1,344 cases reported in MS-DRG
456, with an average length of stay of 12 days and average costs of
$66,012. Of these 1,344 cases, 6 cases reported a secondary diagnosis
code describing neuromuscular scoliosis, with an average length of stay
of 18.2 days and average costs of $79,809. We found a total of 3,654
cases in MS-DRG 457, with an average length of stay of 6.2 days and
average costs of $47,577. Twelve of these 3,654 cases reported a
secondary diagnosis code describing neuromuscular scoliosis, with an
average length of stay of 4.5 days and average costs of $31,646.
Finally, the 1,245 cases reported in MS-DRG 458 had an average length
of stay of 3.4 days and average costs of $34,179. Of these 1,245 cases,
6 cases reported neuromuscular scoliosis as a secondary diagnosis, with
an average length of stay of 3.3 days and average costs of $31,117.
We reviewed the ICD-10-CM Tabular List of Diseases for subcategory
M41.4 and confirmed there is a ``Code also underlying condition'' note.
We also reviewed the ICD-10-CM Official Guidelines for Coding and
Reporting for the ``code also'' note at Section 1.A.12.b., which
states: ``A `code also' note instructs that two codes may be required
to fully describe a condition, but this note does not provide
sequencing direction.'' Our clinical advisors agree that the sequencing
of the ICD-10-CM diagnosis codes is determined by which condition leads
to the encounter and is responsible for the admission. They also note
that there may be instances in which the underlying cause of the
diagnosis of neuromuscular scoliosis is not treated or responsible for
the admission.
As discussed earlier, our review of the claims data shows that a
small number of cases reported neuromuscular scoliosis either as a
principal diagnosis in MS-DRGs 459 and 460 or as a secondary diagnosis
in MS-DRGs 456, 457, and 458. Our clinical advisors agree that while
the volume of cases is small, the average costs and average length of
stay for the cases reporting neuromuscular scoliosis as a principal
diagnosis with a non-cervical spinal fusion currently grouping to MS-
DRGs 459 and 460 are more aligned with the average costs and average
length of stay for the cases reporting neuromuscular scoliosis as a
secondary diagnosis with a non-cervical spinal fusion currently
grouping to MS-DRGs 456, 457, and 458. Therefore, for the reasons
described above, we are proposing to add the following ICD-10-CM codes
describing neuromuscular scoliosis to the list of principal diagnosis
codes for MS-DRGs 456, 457, and 458: M41.40; M41.44; M41.45; M41.46;
and M41.47.
c. Secondary Scoliosis and Secondary Kyphosis
We received a request to add ICD-10-CM diagnosis codes describing
secondary scoliosis and secondary kyphosis to the list of principal
diagnoses for MS-DRGs 456, 457, and 458 (Spinal Fusion except Cervical
with Spinal Curvature or Malignancy or Infection or Extensive Fusions
with MCC, with CC, and without CC/MCC, respectively). Excluding the
ICD-10-CM diagnosis codes that address the cervical spine, the
following ICD-10-CM diagnosis codes are used to describe secondary
scoliosis.
------------------------------------------------------------------------
ICD-10-CM code Code description
------------------------------------------------------------------------
M41.50.................... Other secondary scoliosis, site unspecified.
M41.54.................... Other secondary scoliosis, thoracic region.
M41.55.................... Other secondary scoliosis, thoracolumbar
region.
M41.56.................... Other secondary scoliosis, lumbar region.
M41.57.................... Other secondary scoliosis, lumbosacral
region.
------------------------------------------------------------------------
Excluding the ICD-10-CM diagnosis codes that address the cervical
spine, the following ICD-10-CM diagnosis codes are used to describe
secondary kyphosis.
------------------------------------------------------------------------
ICD-10-CM code Code description
------------------------------------------------------------------------
M40.10.................... Other secondary kyphosis, site unspecified.
M40.14.................... Other secondary kyphosis, thoracic region.
M40.15.................... Other secondary kyphosis, thoracolumbar
region.
------------------------------------------------------------------------
The requestor stated that generally in cases of diagnoses of
secondary scoliosis or kyphosis, the underlying cause of the condition
is not treated or is not responsible for the admission. If a patient is
admitted for surgery to correct non-cervical spinal curvature, it is
appropriate to sequence the diagnosis of secondary scoliosis or
secondary kyphosis as principal diagnosis. However, reporting a
diagnosis of secondary scoliosis or secondary
[[Page 19203]]
kyphosis as the principal diagnosis with a non-cervical spinal fusion
procedure results in the case grouping to MS-DRG 459 or 460 (Spinal
Fusion except Cervical with MCC and without MCC, respectively), instead
of the spinal fusion with spinal curvature MS-DRGs 456, 457, and 458.
We analyzed claims data from the September 2018 update of the FY
2018 MedPAR file for MS-DRGs 459 and 460 to determine the number of
cases reporting an ICD-10-CM diagnosis code describing secondary
scoliosis or secondary kyphosis as the principal diagnosis. Our
findings are shown in the following table.
MS-DRGs for Cases Involving Non-Cervical Spinal Fusion With a Principal Diagnosis of Secondary Scoliosis or
Secondary Kyphosis
----------------------------------------------------------------------------------------------------------------
Number of Average
MS-DRG cases length of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 459--All cases........................................... 3,903 8.6 $46,416
MS-DRG 459--Cases with a principal diagnosis of secondary 4 7.3 56,024
scoliosis......................................................
MS-DRG 459--Cases with a principal diagnosis of secondary 4 5.8 41,883
kyphosis.......................................................
MS-DRG 460--All cases........................................... 52,597 3.3 28,754
MS-DRG 460--Cases with a principal diagnosis of secondary 34 3.6 34,424
scoliosis......................................................
MS-DRG 460--Cases with a principal diagnosis of secondary 31 4.6 42,315
kyphosis.......................................................
----------------------------------------------------------------------------------------------------------------
As shown in the table, we found a total of 3,903 cases in MS-DRG
459, with an average length of stay of 8.6 days and average costs of
$46,416. Of these 3,903 cases, we found 4 cases that reported a
principal diagnosis of secondary scoliosis, with an average length of
stay of 7.3 days and average costs of $56,024. We also found 4 cases
that reported a principal diagnosis of secondary kyphosis, with an
average length of stay of 5.8 days and average costs of $41,883. For
MS-DRG 460, we found a total of 52,597 cases with an average length of
stay of 3.3 days and average costs of $28,754. Of these 52,597 cases,
we found 34 cases that reported a principal diagnosis of secondary
scoliosis, with an average length of stay of 3.6 days and average costs
of $34,424. We found 31 cases that reported a principal diagnosis of
secondary kyphosis in MS-DRG 460, with an average length of stay of 4.6
days and average costs of $42,315.
We also analyzed claims data for MS-DRGs 456, 457, and 458 to
determine the number of cases reporting an ICD-10-CM diagnosis code
describing secondary scoliosis or secondary kyphosis as a secondary
diagnosis. Our findings are shown in the following table.
MS-DRGs for Cases Involving Non-Cervical Spinal Fusion With Spinal Curvature or Malignancy or Infection or
Extensive Fusions With Secondary Diagnosis of Secondary Scoliosis or Secondary Kyphosis
----------------------------------------------------------------------------------------------------------------
Number of Average
MS-DRG cases length of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 456--All cases........................................... 1,344 12 $66,012
MS-DRG 456--Cases with a secondary diagnosis of secondary 37 7.7 58,009
scoliosis......................................................
MS-DRG 456--Cases with a secondary diagnosis of secondary 52 12 78,865
kyphosis.......................................................
MS-DRG 457--All cases........................................... 3,654 6.2 47,577
MS-DRG 457--Cases with a secondary diagnosis of secondary 187 4.9 37,655
scoliosis......................................................
MS-DRG 457--Cases with a secondary diagnosis of secondary 114 5.2 37,357
kyphosis.......................................................
MS-DRG 458--All cases........................................... 1,245 3.4 34,179
MS-DRG 458--Cases with a secondary diagnosis of secondary 190 3.0 29,052
scoliosis......................................................
MS-DRG 458--Cases with a secondary diagnosis of secondary 39 3.7 31,015
kyphosis.......................................................
----------------------------------------------------------------------------------------------------------------
The data indicate that there were 1,344 cases in MS-DRG 456, with
an average length of stay of 12 days and average costs of $66,012. Of
these 1,344 cases, there were 37 cases that reported a secondary
diagnosis of secondary scoliosis, with an average length of stay of 7.7
days and average costs of $58,009. There were also 52 cases in MS-DRG
456 reporting a secondary diagnosis of secondary kyphosis, with an
average length of stay of 12 days and average costs of $78,865. In MS-
DRG 457, there was a total of 3,654 cases, with an average length of
stay of 6.2 days and average costs of $47,577. Of these 3,654 cases,
there were 187 cases that reported secondary scoliosis as a secondary
diagnosis, with an average length of stay of 4.9 days and average costs
of $37,655. In MS-DRG 457, there were also 114 cases that reported a
secondary diagnosis of secondary kyphosis, with an average length of
stay of 5.2 days and average costs of $37,357. Finally, there was a
total of 1,245 cases in MS-DRG 458, with an average length of stay of
3.4 days and average costs of $34,179. Of these 1,245 cases, there were
190 cases that reported a secondary diagnosis of secondary scoliosis,
with an average length of stay of 3 days and average costs of $29,052.
There were 39 cases in MS-DRG 458 that reported a secondary diagnosis
of secondary kyphosis, with an average length of stay of 3.7 days and
average costs of $31,015.
Our clinical advisors agree that the average length of stay and
average costs for the small number of cases reporting secondary
scoliosis or secondary kyphosis as a principal diagnosis with a non-
cervical spinal fusion currently grouping to MS-DRGs 459 and 460 are
generally more aligned with the average length of stay and average
costs for the cases reporting secondary scoliosis or secondary kyphosis
as a secondary diagnosis with a non-cervical spinal fusion currently
grouping to MS-DRGs 456, 457, and 458. They also note that there may be
instances in which the underlying cause of the diagnosis of secondary
scoliosis or secondary kyphosis is not treated or responsible for the
admission.
Therefore, for the reasons described above, we are proposing to add
the following ICD-10-CM diagnosis codes describing secondary scoliosis
and
[[Page 19204]]
secondary kyphosis to the list of principal diagnosis codes for MS-DRGs
456, 457, and 458: M40.10; M40.14; M40.15; M41.50; M41.54; M41.55;
M41.56; and M41.57. During our review of MS-DRGs 456, 457, and 458, we
found the following diagnosis codes that describe conditions involving
the cervical region.
------------------------------------------------------------------------
ICD-10-CM code Code description
------------------------------------------------------------------------
M40.03.................... Postural kyphosis, cervicothoracic region.
M40.202................... Unspecified kyphosis, cervical region.
M40.203................... Unspecified kyphosis, cervicothoracic
region.
M40.292................... Other kyphosis, cervical region.
M40.293................... Other kyphosis, cervicothoracic region.
M41.02.................... Infantile idiopathic scoliosis, cervical
region.
M41.03.................... Infantile idiopathic scoliosis,
cervicothoracic region.
M41.112................... Juvenile idiopathic scoliosis, cervical
region.
M41.113................... Juvenile idiopathic scoliosis,
cervicothoracic region.
M41.122................... Adolescent idiopathic scoliosis, cervical
region.
M41.123................... Adolescent idiopathic scoliosis,
cervicothoracic region.
M41.22.................... Other idiopathic scoliosis, cervical region.
M41.23.................... Other idiopathic scoliosis, cervicothoracic
region.
M41.82.................... Other forms of scoliosis, cervical region.
M41.83.................... Other forms of scoliosis, cervicothoracic
region.
M42.01.................... Juvenile osteochondrosis of spine, occipito-
atlanto-axial region.
M42.02.................... Juvenile osteochondrosis of spine, cervical
region.
M42.03.................... Juvenile osteochondrosis of spine,
cervicothoracic region.
M43.8X1................... Other specified deforming dorsopathies,
occipito-atlanto-axial region.
M43.8X2................... Other specified deforming dorsopathies,
cervical region.
M43.8X3................... Other specified deforming dorsopathies,
cervicothoracic region.
M46.21.................... Osteomyelitis of vertebra, occipito-atlanto-
axial region.
M46.22.................... Osteomyelitis of vertebra, cervical region.
M46.23.................... Osteomyelitis of vertebra, cervicothoracic
region.
M48.51XA.................. Collapsed vertebra, not elsewhere
classified, occipito-atlanto-axial region,
initial encounter for fracture.
M48.52XA.................. Collapsed vertebra, not elsewhere
classified, cervical region, initial
encounter for fracture.
M48.53XA.................. Collapsed vertebra, not elsewhere
classified, cervicothoracic region, initial
encounter for fracture.
M40.12.................... Other secondary kyphosis, cervical region.
M40.13.................... Other secondary kyphosis, cervicothoracic
region.
M41.41.................... Neuromuscular scoliosis, occipito-atlanto-
axial region.
M4.142.................... Neuromuscular scoliosis, cervical region.
M4143..................... Neuromuscular scoliosis, cervicothoracic
region.
M41.52.................... Other secondary scoliosis, cervical region.
M41.53.................... Other secondary scoliosis, cervicothoracic
region.
------------------------------------------------------------------------
Our clinical advisors noted that because the diagnosis codes shown
in the table above describe conditions involving the cervical region,
they are not clinically appropriate for assignment to MS-DRGs 456, 457,
and 458, which are defined by non-cervical spinal fusion procedures
(with spinal curvature or malignancy or infection or extensive
fusions). Therefore, our clinical advisors recommended that these codes
be removed from the MS-DRG logic for these MS-DRGs. As such, we are
proposing to remove the diagnosis codes that describe conditions
involving the cervical region as shown in the table above from MS-DRGs
456, 457, and 458.
7. MDC 11 (Diseases and Disorders of the Kidney and Urinary Tract):
Extracorporeal Shock Wave Lithotripsy (ESWL)
We received two separate, but related requests to add ICD-10-CM
diagnosis code N13.6 (Pyonephrosis) and ICD-10-CM diagnosis code
T83.192A (Other mechanical complication of indwelling ureteral stent,
initial encounter) to the list of principal diagnosis codes for MS-DRGs
691 and 692 (Urinary Stones with ESW Lithotripsy with CC/MCC and
without CC/MCC, respectively) in MDC 11 so that cases are assigned more
appropriately when an Extracorporeal Shock Wave Lithotripsy (ESWL)
procedure is performed.
ICD-10-CM diagnosis code N13.6 currently groups to MS-DRGs 689 and
690 (Kidney and Urinary Tract Infections with MCC and without MCC,
respectively) and ICD-10-CM diagnosis code T83.192A currently groups to
MS-DRGs 698, 699, and 700 (Other Kidney and Urinary Tract Diagnoses
with MCC, with CC, and without CC/MCC, respectively).
The ICD-10-PCS procedure codes for identifying procedures involving
ESWL are designated as non-O.R. procedures and are shown in the
following table.
------------------------------------------------------------------------
ICD-10-PCS code Code description
------------------------------------------------------------------------
0TF3XZZ................... Fragmentation in right kidney pelvis,
external approach.
0TF4XZZ................... Fragmentation in left kidney pelvis,
external approach.
OTF6XZZ................... Fragmentation in right ureter, external
approach.
OTF7XZZ................... Fragmentation in left ureter, external
approach.
OTFBXZZ................... Fragmentation in bladder, external approach.
OTFCXZZ................... Fragmentation in bladder neck, external
approach.
OTFDXZZ................... Fragmentation in urethra, external approach.
------------------------------------------------------------------------
[[Page 19205]]
Pyonephrosis can be described as an infection of the kidney with
pus in the upper collecting system which can progress to obstruction.
Patients with an obstruction in the upper urinary tract due to urinary
stones (calculi), tumors, fungus balls or ureteropelvic obstruction
(UPJ) may also have a higher risk of developing pyonephrosis. If
pyonephrosis is not recognized and treated promptly, it can result in
serious complications, including fistulas, septic shock, irreversible
damage to the kidneys, and death.
As noted above, the requestor recommended that ICD-10-CM diagnosis
codes N13.6 and T83.192A be added to the list of principal diagnosis
codes for MS-DRGs 691 and 692. There are currently four MS-DRGs that
group cases for diagnoses involving urinary stones, which are
subdivided to identify cases with and without an ESWL procedure: MS-
DRGs 691 and 692 (Urinary Stones with ESW Lithotripsy with and without
CC/MCC, respectively) and MS-DRGs 693 and 694 (Urinary Stones without
ESW Lithotripsy with and without MCC, respectively).
The requestor stated that when patients who have been diagnosed
with hydronephrosis secondary to renal and ureteral calculus
obstruction undergo an ESWL procedure, ICD-10-CM diagnosis code N13.2
(Hydronephrosis with renal and ureteral calculous obstruction) is
reported and groups to MS-DRGs 691 and 692. However, if a patient with
a diagnosis of hydronephrosis has a urinary tract infection (UTI) in
addition to a renal calculus obstruction and undergoes an ESWL
procedure, ICD-10-CM diagnosis code N13.6 must be coded and reported as
the principal diagnosis, which groups to MS-DRGs 689 and 690. The
requestor stated that ICD-10-CM diagnosis code N13.6 should be grouped
to MS-DRGs 691 and 692 when reported as a principal diagnosis because
this grouping will more appropriately reflect resource consumption for
patients who undergo an ESWL procedure for obstructive urinary calculi,
while also receiving treatment for urinary tract infections.
With regard to ICD-10-CM diagnosis code T83.192A, the requestor
believed that when an ESWL procedure is performed for the treatment of
calcifications within and around an indwelling ureteral stent, it is
comparable to an ESWL procedure performed for the treatment of urinary
calculi. Therefore, the requestor recommended adding ICD-10-CM
diagnosis code T83.192A to MS-DRGs 691 and 692 when reported as a
principal diagnosis and an ESWL procedure is also reported on the
claim.
To analyze these separate, but related requests, we first reviewed
the reporting of ICD-10-CM diagnosis code N13.6 within the ICD-10-CM
classification. ICD-10-CM diagnosis code N13.6 is to be assigned for
conditions identified in the code range N13.0-N13.5 with infection.
(Codes in this range describe hydronephrosis with obstruction.)
Infection may be documented by the patient's provider as urinary tract
infection (UTI) or as specific as acute pyelonephritis. We agree with
the requestor that if a patient with a diagnosis of hydronephrosis has
a urinary tract infection (UTI) in addition to a renal calculus
obstruction and undergoes an ESWL procedure, ICD-10-CM diagnosis code
N13.6 must be coded and reported as the principal diagnosis, which
groups to MS-DRGs 689 and 690. In this case scenario, the ESWL
procedure is designated as a non-O.R. procedure and does not impact the
MS-DRG assignment when reported with ICD-10-CM diagnosis code N13.6.
The ICD-10-CM classification instructs that when both a urinary
obstruction and a genitourinary infection co-exist, the correct code
assignment for reporting is ICD-10-CM diagnosis code N13.6, which is
appropriately grouped to MS-DRGs 689 and 690 (Kidney and Urinary Tract
Infections with MCC and without MCC, respectively) because it describes
a type of urinary tract infection. Therefore, in response to the
requestor's suggestion that ICD-10-CM diagnosis code N13.6 be grouped
to MS-DRGs 691 and 692 when reported as a principal diagnosis to more
appropriately reflect resource consumption for patients who undergo an
ESWL procedure for obstructive urinary calculi while also receiving
treatment for urinary tract infections, we note that the ICD-10-CM
classification provides instruction to identify the conditions reported
with ICD-10-CM diagnosis code N13.6 as an infection, and not as urinary
stones. Our clinical advisors agree with this classification and the
corresponding MS-DRG assignment for diagnosis code N13.6. In addition,
our clinical advisors noted that an ESWL procedure is a non-O.R.
procedure and they do not believe that this procedure is a valid
indicator of resource consumption for cases that involve an infection
and obstruction. Our clinical advisors believe that the resources used
for a case that involves an infection and an obstruction are clinically
distinct from the cases that involve an obstruction only in the course
of treatment. Therefore, our clinical advisors do not agree with the
request to add ICD-10-CM diagnosis code N13.6 to the list of principal
diagnoses for MS-DRGs 691 and 692.
We also performed various analyses of claims data to evaluate this
request. We analyzed claims data from the September 2018 update of the
FY 2018 MedPAR file for MS-DRGs 689 and 690 to identify cases reporting
ICD-10-CM diagnosis code N13.6 as the principal diagnosis with and
without an ESWL procedure. Our findings are reflected in the table
below.
Kidney and Urinary Tract Infections With Principal Diagnosis of Pyonephrosis With and Without ESWL
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 689--All cases........................................... 68,020 4.8 $7,873
MS-DRG 689--Cases with principal diagnosis of pyonephrosis...... 1,024 6.1 13,809
MS-DRG 689--Cases with principal diagnosis of pyonephrosis with 6 14.2 45,489
ESWL...........................................................
MS-DRG 690--All cases........................................... 131,999 3.5 5,692
MS-DRG 690--Cases with principal diagnosis of pyonephrosis...... 4,625 3.6 5,483
MS-DRG 690--Cases with principal diagnosis of pyonephrosis with 24 4.8 14,837
ESWL...........................................................
----------------------------------------------------------------------------------------------------------------
For MS-DRG 689, we found a total of 68,020 cases with an average
length of stay of 4.8 days and average costs of $7,873. Of those 68,020
cases, we found 1,024 cases reporting pyonephrosis (ICD-10-CM diagnosis
code N13.6) as a principal diagnosis with an average length of stay of
6.1 days and average costs of $13,809. Of those 1,024 cases reporting
pyonephrosis (ICD-10-CM diagnosis code N13.6) as a principal diagnosis,
there were 6 cases that also reported an ESWL procedure with an average
length of stay of 14.2 days and average costs of $45,489. For MS-DRG
[[Page 19206]]
690, we found a total of 131,999 cases with an average length of stay
of 3.5 days and average costs of $5,692. Of those 131,999 cases, we
found 4,625 cases reporting pyonephrosis (ICD-10-CM diagnosis code
N13.6) as a principal diagnosis with an average length of stay of 3.6
days and average costs of $5,483. Of those 4,625 cases reporting
pyonephrosis (ICD-10-CM diagnosis code N13.6) as a principal diagnosis,
there were 24 cases that also reported an ESWL procedure with an
average length of stay of 4.8 days and average costs of $14,837.
The data indicate that the 1,024 cases reporting pyonephrosis (ICD-
10-CM diagnosis code N13.6) as a principal diagnosis in MS-DRG 689 have
a longer average length of stay (6.1 days versus 4.8 days) and higher
average costs ($13,809 versus $7,873) compared to all the cases in MS-
DRG 689. The data also indicate that the 6 cases reporting pyonephrosis
(ICD-10-CM diagnosis code N13.6) as a principal diagnosis that also
reported an ESWL procedure have a longer average length of stay (14.2
days versus 4.8 days) and higher average costs ($45,489 versus $7,873)
in comparison to all the cases in MS-DRG 689. We found similar results
for cases reporting pyonephrosis (ICD-10-CM diagnosis code N13.6) as a
principal diagnosis with an ESWL procedure in MS-DRG 690, where the
average length of stay was slightly longer (4.8 days versus 3.5 days)
and the average costs were higher ($14,837 versus $5,692).
We then conducted further analysis for the six cases in MS-DRG 689
that reported a principal diagnosis of pyonephrosis with ESWL to
determine what factors may be contributing to the longer lengths of
stay and higher average costs. Specifically, we analyzed the MCC
conditions that were reported across the six cases. Our findings are
shown in the table below.
Secondary Diagnosis MCC Conditions Reported in MS-DRG 689 With Principal Diagnosis of Pyonephrosis with ESWL
----------------------------------------------------------------------------------------------------------------
Number of Average
ICD-10-CM code Description times reported length of stay Average costs
----------------------------------------------------------------------------------------------------------------
A41.9........................... Sepsis, unspecified organism.. 2 26.5 96,525
G82.50.......................... Quadriplegia, unspecified..... 1 7 13,782
I50.23.......................... Acute on chronic systolic 1 7 13,304
(congestive) heart failure.
J96. 01......................... Acute respiratory failure with 1 7 13,304
hypoxia.
K66.1........................... Hemoperitoneum................ 1 10 26,314
L89.153......................... Pressure ulcer of sacral 1 8 26,487
region, stage 3.
R57.1........................... Hypovolemic shock............. 1 10 26,314
-----------------------------------------------
Total....................... .............................. 8 12.8 39,069
----------------------------------------------------------------------------------------------------------------
We found seven secondary diagnosis MCC conditions reported among
the six cases in MS-DRG 689 that had a principal diagnosis of
pyonephrosis with ESWL. These MCC conditions appear to have contributed
to the longer lengths of stay and higher average costs for those six
cases. As shown in the table above, the overall average length of stay
for the cases reporting these conditions is 12.8 days with average
costs of $39,069, which is consistent with the average length of stay
of 14.2 days and average costs of $45,489 for the cases in MS-DRG 689
that had a principal diagnosis of pyonephrosis with ESWL.
We then analyzed the 24 cases in MS-DRG 690 that reported a
principal diagnosis of pyonephrosis with ESWL to determine what factors
may be contributing to the longer lengths of stay and higher average
costs. Specifically, we analyzed the CC conditions that were reported
across the 24 cases. Our findings are shown in the table below.
Secondary Diagnosis CC Conditions Reported in MS-DRG 690 With Principal Diagnosis of Pyonephrosis With ESWL
--------------------------------------------------------------------------------------------------------------------------------------------------------
Number of Average
ICD-10-CM code Description times reported length of stay Average costs
--------------------------------------------------------------------------------------------------------------------------------------------------------
B37.0........................................ Candidal stomatitis...................................... 2 9.5 $18,895
B37.49....................................... Other urogenital candidiasis............................. 2 7.5 30,458
C79.89....................................... Secondary malignant neoplasm of other specified sites.... 1 3 5,882
E22.2........................................ Syndrome of inappropriate secretion of antidiuretic 1 2 5,979
hormone.
E44.0........................................ Moderate protein-calorie malnutrition.................... 1 6 9,027
E46.......................................... Unspecified protein-calorie malnutrition................. 2 5.5 8,704
E87.0........................................ Hyperosmolality and hypernatremia........................ 1 6 9,027
E87.1........................................ Hypo-osmolality and hyponatremia......................... 1 5 12,339
F11.20....................................... Opioid dependence, uncomplicated......................... 1 1 8,209
F33.1........................................ Major depressive disorder, recurrent, moderate........... 1 12 55,034
G81.94....................................... Hemiplegia, unspecified affecting left nondominant side.. 3 9.3 25,390
G82.20....................................... Paraplegia, unspecified.................................. 1 10 15,142
G93.40....................................... Encephalopathy, unspecified.............................. 2 7 10,277
I13.0........................................ Hypertensive heart and chronic kidney disease with heart 1 4 12,348
failure and stage 1 through stage 4 chronic kidney
disease, or unspecified chronic kidney dis.
I48.1........................................ Persistent atrial fibrillation........................... 1 12 55,034
I50.22....................................... Chronic systolic (congestive) heart failure.............. 1 12 55,034
I50.32....................................... Chronic diastolic (congestive) heart failure............. 2 3.5 9,115
I69.351...................................... Hemiplegia and hemiparesis following cerebral infarction 1 3 4,845
affecting right dominant side.
[[Page 19207]]
I69.859...................................... Hemiplegia and hemiparesis following other 1 4 18,160
cerebrovascular disease affecting unspecified side.
I97.791...................................... Other intraoperative cardiac functional disturbances 1 8 8,114
during other surgery.
J44.0........................................ Chronic obstructive pulmonary disease with acute lower 1 11 25,641
respiratory infection.
J44.1........................................ Chronic obstructive pulmonary disease with (acute) 2 5 11,283
exacerbation.
J96.10....................................... Chronic respiratory failure, unspecified whether with 1 12 55,034
hypoxia or hypercapnia.
J96.11....................................... Chronic respiratory failure with hypoxia................. 2 7 15,243
K57.92....................................... Diverticulitis of intestine, part unspecified, without 1 8 12,150
perforation or abscess without bleeding.
N12.......................................... Tubulo-interstitial nephritis, not specified as acute or 1 11 25,641
chronic.
N13.8........................................ Other obstructive and reflux uropathy.................... 1 5 32,854
N17.9........................................ Acute kidney failure, unspecified........................ 1 2 21,329
N20.1........................................ Calculus of ureter....................................... 1 10 15,142
N20.2........................................ Calculus of kidney with calculus of ureter............... 1 6 9,027
R44.3........................................ Hallucinations, unspecified.............................. 1 2 21,329
R47.01....................................... Aphasia.................................................. 1 4 10,161
R78.81....................................... Bacteremia............................................... 1 11 4,849
S37.012A..................................... Minor contusion of left kidney, initial encounter........ 1 2 21,329
T83.511A..................................... Infection and inflammatory reaction due to indwelling 1 10 15,142
urethral catheter, initial encounter.
Z68.1........................................ Body mass index (BMI) 19.9 or less, adult................ 2 4.5 10,040
Z68.43....................................... Body mass index (BMI) 50-59.9, adult..................... 1 3 6,145
-----------------------------------------------
Total.................................... ......................................................... 47 6.6 18,173
--------------------------------------------------------------------------------------------------------------------------------------------------------
We found 37 secondary diagnosis CC conditions reported among the 24
cases in MS-DRG 690 that had a principal diagnosis of pyonephrosis with
ESWL. These CC conditions appear to have contributed to the longer
length of stay and higher average costs for those 24 cases. As shown in
the table above, the overall average length of stay for the cases
reporting these conditions is 6.6 days with average costs of $18,173,
which is higher, although comparable, to the average length of stay of
4.8 days and average costs of $14,837 for the cases in MS-DRG 690 that
had a principal diagnosis of pyonephrosis with ESWL. We note that it
appears that 1 of the 24 cases had at least 4 secondary diagnosis CC
conditions (F33.1, I48.1, I50.22, and J96.10) with an average length of
stay of 12 days and average costs of $55,034, which we believe
contributed greatly overall to the longer length of stay and higher
average costs for those secondary diagnosis CC conditions reported
among the 24 cases.
Our clinical advisors agree that the resource consumption for the 6
cases in MS-DRG 689 and the 24 cases in MS-DRG 690 that reported a
principal diagnosis of pyonephrosis with ESWL cannot be directly
attributed to ESWL and believe that it is the secondary diagnosis MCC
and CC conditions that are the major contributing factors to the longer
average length of stay and higher average costs for these cases.
We also analyzed claims data for MS-DRGs 691 and 692 (Urinary
Stones with ESW Lithotripsy with CC/MCC and without CC/MCC,
respectively) and MS-DRGs 693 and 694 (Urinary Stones without ESW
Lithotripsy with MCC and without MCC, respectively) to identify claims
reporting pyonephrosis (ICD-10-CM diagnosis code N13.6) as a secondary
diagnosis. Our findings are shown in the following table.
MS-DRGs for Urinary Stones With Secondary Diagnosis of Pyonephrosis With and Without ESWL
----------------------------------------------------------------------------------------------------------------
Number of Average
MS-DRG times reported length of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 691--All cases........................................... 140 3.9 $11,997
MS-DRG 691--Cases with secondary diagnosis of pyonephrosis and 3 8 24,280
ESWL...........................................................
MS-DRG 692--All cases........................................... 124 2.1 8,326
MS-DRG 693--All cases........................................... 1,315 5.1 9,668
MS-DRG 693--Cases with secondary diagnosis of pyonephrosis...... 16 5.5 9,962
MS-DRG 694--All cases........................................... 7,240 2.7 5,263
MS-DRG 694--Cases with secondary diagnosis of pyonephrosis...... 89 3.5 6,678
----------------------------------------------------------------------------------------------------------------
As shown in the table above, in MS-DRG 691, there was a total of
140 cases with an average length of stay of 3.9 days and average costs
of $11,997. Of those 140 cases, there were 3 cases that reported
pyonephrosis as a secondary diagnosis and an ESWL procedure with an
average length of stay of 8.0 days and average costs of $24,280. There
was a total of 124 cases found in MS-DRG 692 with an average length of
stay of 2.1 days and average costs of $8,326. There were no cases in
MS-DRG 692 that reported pyonephrosis as a secondary diagnosis with an
ESWL procedure. For MS-DRG 693, there was a total of 1,315 cases with
an average length of stay of 5.1 days and average costs of $9,668. Of
[[Page 19208]]
those 1,315 cases, there were 16 cases reporting pyonephrosis as a
secondary diagnosis with an average length of stay of 5.5 days and
average costs of $9,962. For MS-DRG 694, there was a total of 7,240
cases with an average length of stay of 2.7 days and average costs of
$5,263. Of those 7,240 cases, there were 89 cases reporting
pyonephrosis as a secondary diagnosis with an average length of stay of
3.5 days and average costs of $6,678.
Similar to the process described above, we then conducted further
analysis for the three cases in MS-DRG 691 that reported a secondary
diagnosis of pyonephrosis with ESWL to determine what factors may be
contributing to the longer lengths of stay and higher average costs.
Specifically, we analyzed what other MCC and CC conditions were
reported across the three cases. We found no other MCC conditions
reported for those three cases. Our findings for the CC conditions
reported for those three cases are shown in the table below.
Secondary Diagnosis CC Conditions Reported in MS-DRG 691
----------------------------------------------------------------------------------------------------------------
Number of Average length
ICD-10-CM code Description times reported of stay Average costs
----------------------------------------------------------------------------------------------------------------
E44.0........................... Moderate protein-calorie 1 15 $52,384
malnutrition.
J96.10.......................... Chronic respiratory failure, 1 7 15,110
unspecified whether with
hypoxia or hypercapnia.
N13.6........................... Pyonephrosis.................. 2 8.5 28,865
N17.9........................... Acute kidney failure, 1 2 5,346
unspecified.
N39.0........................... Urinary tract infection, site 1 2 5,346
not specified.
Q79.6........................... Ehlers-Danlos syndrome........ 1 2 5,346
-----------------------------------------------
Total....................... .............................. 7 6.4 20,181
----------------------------------------------------------------------------------------------------------------
We found six secondary diagnosis CC conditions reported among the
three cases in MS-DRG 691 that had a secondary diagnosis of
pyonephrosis with ESWL. These CC conditions appear to have contributed
to the longer lengths of stay and higher average costs for those three
cases. As shown in the table above, the overall average length of stay
for the cases reporting these conditions is 6.4 days with average costs
of $20,181, which is more consistent with the average length of stay of
8.0 days and average costs of $24,280 for the cases in MS-DRG 691 that
had a secondary diagnosis of pyonephrosis with ESWL.
Our clinical advisors believe that the resource consumption for
those three cases cannot be directly attributed to ESWL and that it is
the secondary diagnosis CC conditions reported in addition to
pyonephrosis, which is also designated as a CC condition, that are the
major contributing factors for the longer average lengths of stay and
higher average costs for these cases in MS-DRG 691.
We did not conduct further analysis for the 16 cases in MS-DRG 693
or the 89 cases in MS-DRG 694 that reported a secondary diagnosis of
pyonephrosis because MS-DRGs 693 and 694 do not include ESWL procedures
and the average length of stay and average costs for those cases were
consistent with the data findings for all of the cases in their
assigned MS-DRG.
As discussed earlier in this section, the requestor suggested that
ICD-10-CM diagnosis code N13.6 should be grouped to MS-DRGs 691 and 692
when reported as a principal diagnosis because this grouping will more
appropriately reflect resource consumption for patients who undergo an
ESWL procedure for obstructive urinary calculi, while also receiving
treatment for urinary tract infections. However, based on the results
of the data analysis and input from our clinical advisors, we believe
that cases for which ICD-10-CM diagnosis code N13.6 was reported as a
principal diagnosis or as a secondary diagnosis with an ESWL procedure
should not be utilized as an indicator for increased utilization of
resources based on the performance of an ESWL procedure. Rather, we
believe that the resource consumption is more likely the result of
secondary diagnosis CC and/or MCC diagnosis codes.
With respect to the requestor's concern that cases reporting ICD-
10-CM diagnosis code T83.192A (Other mechanical complication of
indwelling ureteral stent, initial encounter) and an ESWL procedure are
not appropriately assigned and should be added to the list of principal
diagnoses for MS-DRGs 691 and 692 (Urinary Stones with ESW Lithotripsy
with CC/MCC and without CC/MCC, respectively), our clinical advisors
note that ICD-10-CM diagnosis code T83.192A is not necessarily
indicative of a patient having urinary stones. As such, they do not
support adding ICD-10-CM diagnosis code T83.192A to the list of
principal diagnosis codes for MS-DRGs 691 and 692.
We analyzed claims data to identify cases reporting ICD-10-CM
diagnosis code T83.192A as a principal diagnosis with ESWL in MS-DRGs
698, 699, and 700 (Other Kidney and Urinary Tract Diagnoses with MCC,
with CC, and without CC/MCC, respectively). Our findings are shown in
the following table.
MS-DRGs for Other Kidney and Urinary Tract Diagnoses With Principal Diagnosis of Other Mechanical Complications
of Indwelling Ureteral Stent With ESWL
----------------------------------------------------------------------------------------------------------------
Number of Average
MS-DRG cases length of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 698--All cases........................................... 56,803 6.1 $11,220
MS-DRG 698--Cases with diagnosis code T83.192A reported as 35 7.1 14,574
principal diagnosis............................................
MS-DRG 699--All cases........................................... 33,693 4.2 7,348
MS-DRG 699--Cases with diagnosis code T83.192A reported as 63 4.1 7,652
principal diagnosis............................................
MS-DRG 699--Cases with diagnosis code T83.192A reported as 1 3 7,986
principal diagnosis with ESWL..................................
[[Page 19209]]
MS-DRG 700--All cases........................................... 3,719 3 5,356
----------------------------------------------------------------------------------------------------------------
For MS-DRG 698, there was a total of 56,803 cases reported, with an
average length of stay of 6.1 days and average costs of $11,220. Of
these 56,803 cases, 35 cases reported ICD-10-CM diagnosis code T83.192A
as the principal diagnosis, with an average length of stay of 7.1 days
and average costs of $14,574. There were no cases that reported an ESWL
procedure with ICD-10-CM diagnosis code T83.192A as the principal
diagnosis in MS-DRG 698. For MS-DRG 699, there was a total of 33,693
cases reported, with an average length of stay of 4.2 days and average
costs of $7,348. Of the 33,693 cases in MS-DRG 699, there were 63 cases
that reported ICD-10-CM diagnosis code T83.192A as the principal
diagnosis, with an average length of stay of 4.1 days and average costs
of $7,652. There was only 1 case in MS-DRG 699 that reported ICD-10-CM
diagnosis code T83.192A as the principal diagnosis with an ESWL
procedure, with an average length of stay of 3 days and average costs
of $7,986. For MS-DRG 700, there was a total of 3,719 cases reported,
with an average length of stay of 3 days and average costs of $5,356.
There were no cases that reported ICD-10-CM diagnosis code T83.192A as
the principal diagnosis in MS-DRG 700. Of the 98 cases in MS-DRGs 698
and 699 that reported a principal diagnosis of other mechanical
complication of indwelling ureteral stent (diagnosis code T83.192A),
only 1 case also reported an ESWL procedure. Based on the results of
our data analysis and input from our clinical advisors, we are not
proposing to add ICD-10-CM diagnosis code T83.192A to the list of
principal diagnosis codes for MS-DRGs 691 and 692.
In connection with these requests, our clinical advisors
recommended that we evaluate the frequency with which ESWL is reported
in the inpatient setting across all the MS-DRGs. Therefore, we also
analyzed claims data from the September 2018 update of the FY 2018
MedPAR file to identify the other MS-DRGs to which claims reporting an
ESWL procedure were reported. Our findings are shown in the following
table.
------------------------------------------------------------------------
MS-DRGs MS-DRG description
------------------------------------------------------------------------
654....................... Major Bladder Procedures with CC.
657....................... Kidney and Ureter Procedures for Neoplasm
with CC.
659, 660, 661............. Kidney and Ureter Procedures for Non-
Neoplasm with MCC, with CC, without CC/MCC,
respectively.
662, 663.................. Minor Bladder Procedures with MCC and with
CC, respectively.
665, 666.................. Prostatectomy with MCC and with CC,
respectively.
668, 669, 670............. Transurethral Procedures with MCC, with CC,
and without CC/MCC, respectively.
671....................... Urethral Procedures with CC/MCC.
682, 683.................. Renal Failure with MCC and with CC,
respectively.
689, 690.................. Kidney and Urinary Tract Infections with MCC
and without MCC, respectively.
691, 692.................. Urinary Stones with ESW Lithotripsy with CC/
MCC and without CC/MCC, respectively.
696....................... Kidney and Urinary Tract Signs and Symptoms
without MCC.
698, 699, 700............. Other Kidney and Urinary Tract Diagnoses
with MCC, with CC, and without CC/MCC,
respectively.
982....................... Extensive O.R. Procedure Unrelated to
Principal Diagnosis with CC.
------------------------------------------------------------------------
Our findings with respect to the cases reporting an ESWL procedure
in each of these MS-DRGs, as compared to all cases in the applicable
MS-DRG, are shown in the table below.
----------------------------------------------------------------------------------------------------------------
Number of Average
MS-DRG times reported length of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 654--All cases........................................... 3,838 6.7 $19,805
MS-DRG 654--Cases reporting ESWL................................ 1 5 9,102
MS-DRG 657--All cases........................................... 7,242 4.1 14,047
MS-DRG 657--Cases reporting ESWL................................ 2 2 19,021
MS-DRG 659--All cases........................................... 7,761 8.1 18,717
MS-DRG 659--Cases reporting ESWL................................ 71 11.1 26,366
MS-DRG 660--All cases........................................... 17,617 4.1 10,292
MS-DRG 660--Cases reporting ESWL................................ 193 4 13,627
MS-DRG 661--All cases........................................... 12,434 2.3 7,997
MS-DRG 661--Cases reporting ESWL................................ 154 2.7 12,639
MS-DRG 662--All cases........................................... 614 10.2 23,110
MS-DRG 662--Cases reporting ESWL................................ 1 22 57,520
MS-DRG 663--All cases........................................... 1,349 5 11,213
MS-DRG 663--Cases reporting ESWL................................ 2 3.5 15,870
MS-DRG 665--All cases........................................... 589 9.4 21,328
MS-DRG 665--Cases reporting ESWL................................ 2 16.5 17,710
MS-DRG 666--All cases........................................... 1,517 5.6 13,060
MS-DRG 666--Cases reporting ESWL................................ 2 9.5 16,521
MS-DRG 668--All cases........................................... 2,065 9 20,229
[[Page 19210]]
MS-DRG 668--Cases reporting ESWL................................ 1 4 19,383
MS-DRG 669--All cases........................................... 5,259 4.9 11,217
MS-DRG 669--Cases reporting ESWL................................ 5 2.4 13,006
MS-DRG 670--All cases........................................... 1,707 2.6 7,177
MS-DRG 670--Cases reporting ESWL................................ 5 3 18,416
MS-DRG 671--All cases........................................... 367 6.4 13,519
MS-DRG 671--Cases reporting ESWL................................ 1 3 29,731
MS-DRG 682--All cases........................................... 97,347 5.7 10,384
MS-DRG 682--Cases reporting ESWL................................ 5 10 26,773
MS-DRG 683--All cases........................................... 132,206 3.9 6,450
MS-DRG 683--Cases reporting ESWL................................ 4 13.3 19,706
MS-DRG 689--All cases........................................... 68,020 4.8 7,873
MS-DRG 689--Cases reporting ESWL................................ 11 13.3 35,510
MS-DRG 690--All cases........................................... 131,999 3.5 5,692
MS-DRG 690--Cases reporting ESWL................................ 39 4.9 13,567
MS-DRG 691--All cases........................................... 140 3.9 11,997
MS-DRG 691--Cases reporting ESWL................................ 140 3.9 11,997
MS-DRG 692--All cases........................................... 124 2.1 8,326
MS-DRG 692--Cases reporting ESWL................................ 124 2.1 8,326
MS-DRG 696--All cases........................................... 5,933 2.9 4,938
MS-DRG 696--Cases reporting ESWL................................ 2 2.5 6,238
MS-DRG 698--All cases........................................... 56,803 6.1 11,220
MS-DRG 698--Cases reporting ESWL................................ 18 9.2 27,818
MS-DRG 699--All cases........................................... 33,693 4.2 7,348
MS-DRG 699--Cases reporting ESWL................................ 9 4.4 10,986
MS-DRG 700--All cases........................................... 3,719 3 5,356
MS-DRG 700--Cases reporting ESWL................................ 1 1 7,580
MS-DRG 982--All cases........................................... 16,834 6.3 16,939
MS-DRG 982--Cases reporting ESWL................................ 2 11 74,751
----------------------------------------------------------------------------------------------------------------
Our data analysis indicates that, generally, the subset of cases
reporting an ESWL procedure appear to have a longer average length of
stay and higher average costs when compared to all the cases in their
assigned MS-DRG. However, we note that this same subset of cases also
reported at least one O.R. procedure and/or diagnosis designated as a
CC or an MCC, which our clinical advisors believe are contributing
factors to the longer average lengths of stay and higher average costs,
with the exception of the case assigned to MS-DRG 700, which is a
medical MS-DRG and has no CC or MCC conditions in the logic. Therefore,
our clinical advisors do not believe that cases reporting an ESWL
procedure should be considered as an indication of increased resource
consumption for inpatient hospitalizations.
Our clinical advisors also suggested that we evaluate the reporting
of ESWL procedures in the inpatient setting over the past few years. We
analyzed claims data for MS-DRGs 691 and 692 from the FY 2012 through
the FY 2016 MedPAR files, which were used in our analysis of claims
data for MS-DRG reclassification requests effective for FY 2014 through
FY 2018. We note that the analysis findings shown in the following
table reflect ICD-9-CM, ICD-10-CM and ICD-10-PCS coded claims data.
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
FY 2014 (version 31) FY 2015 (version 32) FY 2016 (version 33) FY 2017 (version 34) FY 2018 (version 35)
-----------------------------------------------------------------------------------------------------------------------------------------------------
MS-DRG Average Average Average Average Average
Number length Average Number length Average Number length Average Number length Average Number length Average
of cases of stay costs of cases of stay costs of cases of stay costs of cases of stay costs of cases of stay costs
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
MS-DRG 691--Urinary Stones with ESW 898 3.77 $10,274 832 3.81 $11,141 812 3.72 $11,534 750 4.06 $11,907 448 3.4 $11,502
Lithotripsy w CC/MCC.....................
MS-DRG 692--Urinary Stones with ESW 231 2.02 7,292 197 2.14 8,041 133 2.32 9,273 103 2.39 9,398 61 2.3 8,702
Lithotripsy without CC/MCC...............
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
The data show a steady decline in the number of cases reporting
urinary stones with an ESWL procedure for the past 5 years. As
previously noted, the total number of cases reporting urinary stones
with an ESWL procedure for MS-DRGs 691 and 692 based on our analysis of
the September 2018 update of the FY 2018 MedPAR file was 264, which
again is a decline from the prior year's figures. As discussed
throughout this section, an ESWL procedure is a non-O.R. procedure
which currently groups to medical MS-DRGs 691 and 692. Therefore,
because an ESWL procedure is a non-O.R. procedure and due to decreased
usage of this procedure in the inpatient setting for the treatment of
urinary stones, our clinical advisors believe that there is no longer a
clinical reason to subdivide the MS-DRGs for urinary stones (MS-DRGs
691, 692, 693, and 694) based on ESWL procedures.
Therefore, we are proposing to delete MS-DRGs 691 and 692 and to
revise the titles for MS-DRGs 693 and 694 from ``Urinary Stones without
ESW Lithotripsy with MCC'' and ``Urinary Stones without ESW Lithotripsy
without MCC'', respectively to ``Urinary Stones with MCC'' and
``Urinary Stones without MCC'', respectively.
8. MDC 12 (Diseases and Disorders of the Male Reproductive System):
Diagnostic Imaging of Male Anatomy
We received a request to review four ICD-10-CM diagnosis codes
describing
[[Page 19211]]
body parts associated with male anatomy that are currently assigned to
MDC 5 (Diseases and Disorders of the Circulatory System) in MS-DRGs 302
and 303 (Atherosclerosis with MCC and Atherosclerosis without MCC,
respectively). The four codes are listed in the following table.
------------------------------------------------------------------------
ICD-10-CM code Code description
------------------------------------------------------------------------
R93.811................... Abnormal radiologic findings on diagnostic
imaging of right testicle.
R93.812................... Abnormal radiologic findings on diagnostic
imaging of left testicle.
R93.813................... Abnormal radiologic findings on diagnostic
imaging of testicles, bilateral.
R93.819................... Abnormal radiologic findings on diagnostic
imaging of unspecified testicle.
------------------------------------------------------------------------
The requestor recommended that the four diagnosis codes shown in
the table above be considered for assignment to MDC 12 (Diseases and
Disorders of the Male Reproductive System), consistent with other
diagnosis codes that include the male anatomy. However, the requestor
did not suggest a specific MS-DRG assignment within MDC 12.
We examined claims data from the September 2018 update of the FY
2018 MedPAR file for MS-DRGs 302 and 303 to identify any cases
reporting a diagnosis code for abnormal radiologic findings on
diagnostic imaging of the testicles. We did not find any such cases.
Our clinical advisors reviewed this request and determined that the
assignment of diagnosis codes R93.811, R93.812, R93.813, and R93.819 to
MDC 5 in MS-DRGs 302 and 303 was a result of replication from ICD-9-CM
diagnosis code 793.2 (Nonspecific (abnormal) findings on radiological
and other examination of other intrathoracic organs) which was assigned
to those MS-DRGs. Therefore, our clinical advisors support reassignment
of these codes to MDC 12. Our clinical advisors agree that this
reassignment is clinically appropriate because these diagnosis codes
are specific to the male anatomy, consistent with other diagnosis codes
in MDC 12 that include the male anatomy. Specifically, our clinical
advisors suggest reassignment of the four diagnosis codes to MS-DRGs
729 and 730 (Other Male Reproductive System Diagnoses with CC/MCC and
without CC/MCC, respectively). Therefore, we are proposing to reassign
ICD-10-CM diagnosis codes R93.811, R93.812, R93.813, and R93.819 from
MDC 5 in MS-DRGs 302 and 303 to MDC 12 in MS-DRGs 729 and 730.
9. MDC 14 (Pregnancy, Childbirth and the Puerperium): Proposed
Reassignment of Diagnosis Code O99.89
We received a request to review the MS-DRG assignment for cases
reporting ICD-10-CM diagnosis code O99.89 (Other specified diseases and
conditions complicating pregnancy, childbirth and the puerperium). The
requestor stated that it is experiencing MS-DRG shifts to MS-DRG 769
(Postpartum and Post Abortion Diagnoses with O.R. Procedure) as a
result of the new obstetric MS-DRG logic when ICD-10-CM diagnosis code
O99.89 is reported as a principal diagnosis in the absence of a
delivery code on the claim (to indicate the patient delivered during
that hospitalization), or when there is no other secondary diagnosis
code on the claim indicating that the patient is in the postpartum
period. According to the requestor, claims reporting ICD-10-CM
diagnosis code O99.89 as a principal diagnosis for conditions described
as occurring during the antepartum period that are reported with an
O.R. procedure are grouping to MS-DRG 769. In the example provided by
the requestor, ICD-10-CM diagnosis code O99.89 was reported as the
principal diagnosis, with ICD-10-CM diagnosis codes N13.2
(Hydronephrosis with renal and ureteral calculous obstruction) and
Z3A.25 (25 weeks of gestation of pregnancy) reported as secondary
diagnoses with ICD-10-PCS procedure code 0T68DZ (Dilation of right
ureter with intraluminal device, endoscopic approach), resulting in
assignment to MS-DRG 769. The requestor noted that, in the FY 2019
IPPS/LTCH PPS final rule (83 FR 41212), we stated ``If there was not a
principal diagnosis of abortion reported on the claim, the logic asks
if there was a principal diagnosis of an antepartum condition reported
on the claim. If yes, the logic then asks if there was an O.R.
procedure reported on the claim. If yes, the logic assigns the case to
one of the proposed new MS-DRGs 817, 818, or 819.'' In the requestor's
example, there were not any codes reported to indicate that the patient
was in the postpartum period, nor was there a delivery code reported on
the claim. Therefore, the requestor suggested that a more appropriate
assignment for ICD-10-CM diagnosis code O99.89 may be MS-DRGs 817, 818,
and 819 (Other Antepartum Diagnoses with O.R. Procedure with MCC, with
CC and without CC/MCC, respectively).
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41202 through
41216), we finalized our proposal to restructure the MS-DRGs within MDC
14 (Pregnancy, Childbirth and the Puerperium) which established new
concepts for the GROUPER logic. As a result of the modifications made,
ICD-10-CM diagnosis code O99.89 was classified as a postpartum
condition and is currently assigned to MS-DRG 769 (Postpartum and Post
Abortion Diagnoses with O.R. Procedure) and MS-DRG 776 (Postpartum and
Post Abortion Diagnoses without O.R. Procedure) under the Version 36
ICD-10 MS-DRGs. As also discussed and displayed in Diagram 2 in the FY
2019 IPPS/LTCH PPS final rule (83 FR 41212 through 41213), the logic
asks if there was a principal diagnosis of a postpartum condition
reported on the claim. If yes, the logic then asks if there was an O.R.
procedure reported on the claim. If yes, the logic assigns the case to
MS-DRG 769. If no, the logic assigns the case to MS-DRG 776. Therefore,
the MS-DRG assignment for the example provided by the requestor is
grouping accurately according to the current GROUPER logic.
We analyzed claims data from the September 2018 update of the FY
2018 MedPAR file for cases reporting diagnosis code O99.89 in MS-DRGs
769 and 776 as a principal diagnosis or as a secondary diagnosis. Our
findings are shown in the following table.
[[Page 19212]]
Postpartum MS-DRGs With Principal or Secondary Diagnosis of Other Specified Diseases and Conditions Complicating
Pregnancy, Childbirth and the Puerperium
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 769--All cases........................................... 91 4.3 $11,015
MS-DRG 769--Cases reporting diagnosis code O99.89 as principal 7 5.6 19,059
diagnosis......................................................
MS-DRG 769--Cases reporting diagnosis code O99.89 as secondary 61 12.1 41,717
diagnosis......................................................
MS-DRG 776--All cases........................................... 560 3.1 5,332
MS-DRG 776--Cases reporting diagnosis code O99.89 as principal 57 3.5 6,439
diagnosis......................................................
----------------------------------------------------------------------------------------------------------------
As shown in the table above, we found a total of 91 cases in MS-DRG
769 with an average length of stay of 4.3 days and average costs of
$11,015. Of these 91 cases, 7 cases reported ICD-10-CM diagnosis code
O99.89 as a principal diagnosis with an average length of stay of 5.6
days and average costs of $19,059, and 61 cases reported ICD-10-CM
diagnosis code O99.89 as a secondary diagnosis with an average length
of stay of 12.1 days and average costs of $41,717. For MS-DRG 776, we
found a total of 560 cases with an average length of stay of 3.1 days
and average costs of $5,332. Of these 560 cases, 57 cases reported ICD-
10-CM diagnosis code O99.89 as a principal diagnosis with an average
length of stay of 3.5 days and average costs of $6,439. There were no
cases reporting ICD-10-CM diagnosis code O99.89 as a secondary
diagnosis in MS-DRG 776.
For MS-DRG 769, the data show that the 68 cases reporting ICD-10-CM
diagnosis code O99.89 as a principal or secondary diagnosis have a
longer average length of stay and higher average costs compared to all
the cases in MS-DRG 769. For MS-DRG 776, the data show that the 57
cases reporting a principal diagnosis of ICD-10-CM diagnosis code
O99.89 have a similar average length of stay compared to all the cases
in MS-DRG 776 (3.5 days versus 3.1 days) and average costs that are
consistent with the average costs of all cases in MS-DRG 776 ($6,439
versus $5,332).
We note that the description for ICD-10-CM diagnosis code O99.89
``Other specified diseases and conditions complicating pregnancy,
childbirth and the puerperium'', describes conditions that may occur
during the antepartum period (pregnancy), during childbirth, or during
the postpartum period (puerperium). In addition, in the ICD-10-CM
Tabular List of Diseases, there is an inclusion term at subcategory
O99.8- instructing users that the reporting of any diagnosis codes in
that subcategory is intended for conditions that are reported in
certain ranges of the classification. Specifically, the inclusion term
states ``Conditions in D00-D48, H00-H95, M00-N99, and Q00-Q99.'' There
is also an instructional note to ``Use additional code to identify
condition.'' As a result, ICD-10-CM diagnosis code O99.89 may be
reported to identify conditions that occur during the antepartum period
(pregnancy), during childbirth, or during the postpartum period
(puerperium). However, it is not restricted to the reporting of
obstetric specific conditions only. In the example provided by the
requestor, ICD-10-CM diagnosis code O99.89 was reported as the
principal diagnosis with ICD-10-CM diagnosis code N13.2 (Hydronephrosis
with renal and ureteral calculous obstruction) as a secondary
diagnosis. ICD-10-CM diagnosis code N13.2 is within the code range
referenced earlier in this section (M00-N99) and qualifies as an
appropriate condition for reporting according to the instruction.
As noted earlier, ICD-10-CM diagnosis code O99.89 is intended to
report conditions that occur during the antepartum period (pregnancy),
during childbirth, or during the postpartum period (puerperium) and is
not restricted to the reporting of obstetric specific conditions only.
However, because the diagnosis code description includes three distinct
obstetric related stages, it is not clear what stage the patient is in
by this single code. For example, upon review of subcategory O99.8-, we
recognized that the other ICD-10-CM diagnosis code sub-subcategories
are expanded to include unique codes that identify the condition as
occurring or complicating pregnancy, childbirth or the puerperium.
Specifically, sub-subcategory O99.81- (Abnormal glucose complicating
pregnancy, childbirth, and the puerperium) is expanded to include the
following ICD-10-CM diagnosis codes.
------------------------------------------------------------------------
ICD-10-CM code Code description
------------------------------------------------------------------------
O99.810................... Abnormal glucose complicating pregnancy.
O99.814................... Abnormal glucose complicating childbirth.
O99.815................... Abnormal glucose complicating the
puerperium.
------------------------------------------------------------------------
The codes listed above specifically identify at what stage the
abnormal glucose was a complicating condition. Because each code
uniquely identifies a stage, the code can be easily classified under
MDC 14 as an antepartum condition (ICD-10-CM diagnosis code O99.810),
occurring during a delivery episode (ICD-10-CM diagnosis code O99.814),
or as a postpartum condition (ICD-10-CM diagnosis code O99.815). The
same is not true for ICD-10-CM diagnosis code O99.89 because it
includes all three stages in the single code.
Therefore, we examined the number and type of secondary diagnoses
reported with ICD-10-CM diagnosis code O99.89 as a principal diagnosis
for MS-DRGs 769 and 776 to identify how many secondary diagnoses were
related to other obstetric conditions and how many were related to non-
obstetric conditions.
[[Page 19213]]
--------------------------------------------------------------------------------------------------------------------------------------------------------
Number of
secondary Number of Number of Number of Number of Number of
diagnoses secondary OB secondary OB secondary OB secondary OB secondary non-
MS-DRG reported with related related related related OB related
O99.89 as diagnoses antepartum postpartum delivery diagnoses
principal diagnoses diagnoses diagnoses
--------------------------------------------------------------------------------------------------------------------------------------------------------
MS-DRG 769.............................................. 59 13 11 1 1 46
MS-DRG 776.............................................. 376 113 88 19 6 263
--------------------------------------------------------------------------------------------------------------------------------------------------------
As shown in the table above, there was a total of 59 secondary
diagnoses reported with diagnosis code O99.89 as the principal
diagnosis for MS-DRG 769. Of those 59 secondary diagnoses, 13 were
obstetric (OB) related diagnosis codes (11 antepartum, 1 postpartum and
1 delivery) and 46 were non-obstetric (Non-OB) related diagnosis codes.
For MS-DRG 776, there was a total of 376 secondary diagnoses reported
with diagnosis code O99.89 as the principal diagnosis. Of those 376
secondary diagnoses, 113 were obstetric (OB) related diagnosis codes
(88 antepartum, 19 postpartum and 6 delivery) and 263 were non-
obstetric (Non-OB) related diagnosis codes.
The data reflect that, for MS-DRGs 769 and 776, the number of
secondary diagnoses identified as OB-related antepartum diagnoses is
greater than the number of secondary diagnoses identified as OB-related
postpartum diagnoses (99 antepartum diagnoses versus 20 postpartum
diagnoses). The data also indicate that, of the 435 secondary diagnoses
reported with ICD-10-CM diagnosis code O99.89 as the principal
diagnosis, 309 (71 percent) of those secondary diagnoses were non-OB-
related diagnosis codes. Because there was a greater number of
secondary diagnoses identified as OB-related antepartum diagnoses
compared to the OB-related postpartum diagnoses within the postpartum
MS-DRGs when ICD-10-CM diagnosis code O99.89 was reported as the
principal diagnosis, we performed further analysis of diagnosis code
O99.89 within the antepartum MS-DRGs.
Under the Version 35 ICD-10 MS-DRGs, diagnosis code O99.89 was
classified as an antepartum condition and was assigned to MS-DRG 781
(Other Antepartum Diagnoses with Medical Complications). Therefore, we
also analyzed claims data for MS-DRGs 817, 818 and 819 (Other
Antepartum Diagnoses with O.R. Procedure with MCC, with CC and without
CC/MCC, respectively) and MS-DRGs 831, 832, and 833 (Other Antepartum
Diagnoses without O.R. Procedure with MCC, with CC and without CC/MCC,
respectively) for cases reporting ICD-10-CM diagnosis code O99.89 as a
secondary diagnosis. We note that the analysis for the proposed FY 2020
ICD-10 MS-DRGs is based upon the September 2018 update of the FY 2018
MedPAR claims data that were grouped through the ICD-10 MS-DRG GROUPER
Version 36. Our findings are shown in the table below.
Antepartum MS-DRGs With Secondary Diagnosis of Other Specified Diseases and Conditions Complicating Pregnancy,
Childbirth and the Puerperium
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 817--All cases........................................... 63 5.7 $14,948
MS-DRG 817--Cases reporting diagnosis code O99.89 as secondary 8 10.8 24,359
diagnosis......................................................
MS-DRG 818--All cases........................................... 78 4.1 9,343
MS-DRG 818--Cases reporting diagnosis code O99.89 as secondary 7 3.4 14,182
diagnosis......................................................
MS-DRG 819--All cases........................................... 25 2.2 5,893
MS-DRG 819--Cases reporting diagnosis code O99.89 as secondary 1 1 4,990
diagnosis......................................................
MS-DRG 831--All cases........................................... 747 4.8 7,714
MS-DRG 831--Cases reporting diagnosis code O99.89 as secondary 127 5.4 7,050
diagnosis......................................................
MS-DRG 832--All cases........................................... 1,142 3.6 5,159
MS-DRG 832--Cases reporting diagnosis code O99.89 as secondary 145 4.2 5,656
diagnosis......................................................
MS-DRG 833--All cases........................................... 537 2.6 3,807
MS-DRG 833--Cases reporting diagnosis code O99.89 as secondary 47 2.6 3,307
diagnosis......................................................
----------------------------------------------------------------------------------------------------------------
As shown in the table above, we found a total of 63 cases in MS-DRG
817 with an average length of stay of 5.7 days and average costs of
$14,948. Of these 63 cases, there were 8 cases reporting ICD-10-CM
diagnosis code O99.89 as a secondary diagnosis with an average length
of stay of 10.8 days and average costs of $24,359. For MS-DRG 818, we
found a total of 78 cases with an average length of stay of 4.1 days
and average costs of $9,343. Of these 78 cases, there were 7 cases
reporting ICD-10-CM diagnosis code O99.89 as a secondary diagnosis with
an average length of stay of 3.4 days and average costs of $14,182. For
MS-DRG 819, we found a total of 25 cases with an average length of stay
of 2.2 days and average costs of $5,893. Of these 25 cases, there was 1
case reporting ICD-10-CM diagnosis code O99.89 as a secondary diagnosis
with an average length of stay of 1 day and average costs of $4,990.
For MS-DRG 831, we found a total of 747 cases with an average
length of stay of 4.8 days and average costs of $7,714. Of these 747
cases, there were 127 cases reporting ICD-10-CM diagnosis code O99.89
as a secondary diagnosis with an average length of stay of 5.4 days and
average costs of $7,050. For MS-DRG 832, we found a total of 1,142
cases with an average length of stay of 3.6 days and average costs of
$5,159. Of these 1,142 cases, there were 145 cases reporting ICD-10-CM
diagnosis code O99.89 as a secondary diagnosis with an average length
of stay of 4.2 days and average costs of $5,656. For MS-DRG 833, we
found a total of 537 cases with an average length of stay of 2.6 days
and average costs of $3,807. Of these 537 cases, there were 47 cases
reporting ICD-10-CM diagnosis code O99.89 as a secondary diagnosis with
an average length of stay of 2.6 days and average costs of $3,307.
[[Page 19214]]
Overall, there was a total of 335 cases reporting ICD-10-CM
diagnosis code O99.89 as a secondary diagnosis within the antepartum
MS-DRGs. Of those 335 cases, 16 cases involved an O.R. procedure and
319 cases did not involve an O.R. procedure. The data indicate that
ICD-10-CM diagnosis code O99.89 is reported more often as a secondary
diagnosis within the antepartum MS-DRGs (335 cases) than it is reported
as a principal or secondary diagnosis within the postpartum MS-DRGs
(125 cases).
Our clinical advisors believe that, because ICD-10-CM diagnosis
code O99.89 can be reported during the antepartum period (pregnancy),
during childbirth, or during the postpartum period (puerperium), there
is not a clear clinical indication as to which set of MS-DRGs
(antepartum, delivery, or postpartum) would be the most appropriate
assignment for this diagnosis code. They recommended that we
collaborate with the National Center for Health Statistics (NCHS) at
the Centers for Disease Control and Prevention (CDC), in consideration
of a proposal to possibly expand ICD-10-CM diagnosis code O99.89 to
become a sub-subcategory that would result in the creation of unique
codes with a sixth digit character to specify which obstetric related
stage the patient is in. For example, under subcategory O99.8-, a
proposed new sub-subcategory for ICD-10-CM diagnosis code O99.89- could
include the following proposed new diagnosis codes:
O99.890 (Other specified diseases and conditions
complicating pregnancy);
O99.894 (Other specified diseases and conditions
complicating childbirth); and
O99.85 (Other specified diseases and conditions
complicating the puerperium).
If such a proposal to create this new sub-subcategory and new
diagnosis codes were approved and finalized, it would enable improved
data collection and more appropriate MS-DRG assignment, consistent with
the current MS-DRG assignments of the existing obstetric related
diagnosis codes. For instance, a new diagnosis code described as
``complicating pregnancy'' would be clinically aligned with the
antepartum MS-DRGs, a new diagnosis code described as ``complicating
childbirth'' would be clinically aligned with the delivery MS-DRGs, and
a new diagnosis code described as ``complicating the puerperium'' would
be clinically aligned with the postpartum MS-DRGs. (We note that all
requests for new diagnosis codes require that a proposal be approved
for discussion at a future ICD-10 Coordination and Maintenance
Committee meeting.)
While our clinical advisors could not provide a strong clinical
justification for classifying ICD-10-CM diagnosis code O99.89 as an
antepartum condition versus as a postpartum condition for the reasons
described above, they did consider the claims data to be informative as
to how the diagnosis code is being reported for obstetric patients. In
analyzing both the postpartum MS-DRGs and the antepartum MS-DRGs
discussed earlier in this section, they agreed that the data clearly
show that ICD-10-CM diagnosis code O99.89 is reported more frequently
as a secondary diagnosis within the antepartum MS-DRGs than it is
reported as a principal or secondary diagnosis within the postpartum
MS-DRGs.
Based on our analysis of claims data and input from our clinical
advisors, we are proposing to reclassify ICD-10-CM diagnosis code
O99.89 from a postpartum condition to an antepartum condition under MDC
14. If finalized, ICD-10-CM diagnosis code O99.89 would follow the
logic as described in the FY 2019 IPPS/LTCH PPS final rule (83 FR
41212) which asks if there was a principal diagnosis of an antepartum
condition reported on the claim. If yes, the logic then asks if there
was an O.R. procedure reported on the claim. If yes, the logic assigns
the case to MS-DRG 817, 818, or 819. If no (there was not an O.R.
procedure reported on the claim), the logic assigns the case to MS-DRG
831, 832, or 833.
10. MDC 22 (Burns): Skin Graft to Perineum for Burn
We received a request to add seven ICD-10-PCS procedure codes that
describe a skin graft to the perineum to MS-DRG 927 (Extensive Burns Or
Full Thickness Burns with MV >96 Hours with Skin Graft) and MS-DRGs 928
and 929 (Full Thickness Burn with Skin Graft Or Inhalation Injury with
CC/MCC and without CC/MCC, respectively) in MDC 22. The seven procedure
codes are listed in the following table.
------------------------------------------------------------------------
ICD-10-PCS code Code description
------------------------------------------------------------------------
0HR9X73................... Replacement of perineum skin with autologous
tissue substitute, full thickness, external
approach.
0HR9X74................... Replacement of perineum skin with autologous
tissue substitute, partial thickness,
external approach.
0HR9XJ3................... Replacement of perineum skin with synthetic
substitute, full thickness, external
approach.
0HR9XJ4................... Replacement of perineum skin with synthetic
substitute, partial thickness, external
approach.
0HR9XJZ................... Replacement of perineum skin with synthetic
substitute, external approach.
0HR9XK3................... Replacement of perineum skin with non-
autologous tissue substitute, full
thickness, external approach.
0HR9XK4................... Replacement of perineum skin with non-
autologous tissue substitute, partial
thickness, external approach.
------------------------------------------------------------------------
These seven procedure codes are currently assigned to MS-DRGs 746
and 747 (Vagina, Cervix and Vulva Procedures with CC/MCC and without
CC/MCC, respectively). In addition, when reported in conjunction with a
principal diagnosis in MDC 21 (Injuries, Poisonings and Toxic Effects
of Drugs), these codes group to MS-DRGs 907, 908, and 909 (Other O.R.
Procedures For Injuries with MCC, with CC and without CC/MCC,
respectively), and when reported in conjunction with a principal
diagnosis in MDC 24 (Multiple Significant Trauma), these codes group to
MS-DRGs 957, 958, and 959 (Other O.R. Procedures For Multiple
Significant Trauma with MCC, with CC and without CC/MCC, respectively).
In addition, these procedures are designated as non-extensive O.R.
procedures and are assigned to MS-DRGs 987, 988 and 989 (Non-Extensive
O.R. Procedure Unrelated to Principal Diagnosis with MCC, with CC, and
without CC/MCC, respectively) when a principal diagnosis that is
unrelated to the procedure is reported on the claim.
The requestor provided an example in which it identified one case
where a patient underwent debridement and split thickness skin graft
(STSG) to the perineum area (only), and expressed concern that the case
did not route to MS-DRGs 928 and 929 to recognize operating room
resources. (We note that the requestor did not specify the diagnosis
associated with this case nor the MS-DRG to which this one case was
grouped.) The requestor stated that providers may document various
terminologies for this anatomic site,
[[Page 19215]]
including perineum, groin, and buttocks crease; therefore, when a
provider deems a burn to affect the perineum as opposed to the groin or
buttock crease, cases should route to MS-DRGs which compensate
hospitals for skin grafting operating room resources. Therefore, the
requestor recommended that the cited seven ICD-10-PCS codes be added to
the list of procedure codes for a skin graft within MS-DRGs 927, 928,
and 929.
We reviewed this request by analyzing claims data from the
September 2018 update of the FY 2018 MedPAR file for cases reporting
any of the above seven procedure codes in MS-DRGs 746, 747, 907, 908,
909, 957, 958, 959, 987, 988, and 989. Our findings are shown in the
following table.
Cases Involving Skin Graft to the Perineum
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 746--All cases........................................... 1,344 5 $11,847
MS-DRG 746--Cases with skin graft to the perineum procedure..... 1 2 10,830
MS-DRG 907--All cases........................................... 7,843 10 28,919
MS-DRG 907--Cases with skin graft to the perineum procedure..... 1 8 21,909
MS-DRG 908--All cases........................................... 9,286 5.3 14,601
MS-DRG 908--Cases with skin graft to the perineum procedure..... 1 6 8,410
MS-DRG 988--All cases........................................... 8,391 5.7 12,294
MS-DRG 988--Cases with skin graft to the perineum procedure..... 2 3 6,906
MS-DRG 989--All cases........................................... 1,551 3.1 8,171
MS-DRG 989--Cases with skin graft to the perineum procedure..... 1 7 14,080
----------------------------------------------------------------------------------------------------------------
As shown in the table above, the overall volume of cases reporting
a skin graft to the perineum procedure is low, with a total of 6 cases
found. In MS-DRG 746, we found a total of 1,344 cases with an average
length of stay of 5 days and average costs of $11,847. The single case
reporting a skin graft to the perineum procedure in MS-DRG 746 had a
length of stay of 2 days and a cost of $10,830. In MS-DRG 907, we found
a total of 7,843 cases with an average length of stay of 10 days and
average costs of $28,919. The single case reporting a skin graft to the
perineum procedure in MS-DRG 907 had a length of stay of 8 days and a
cost of $21,909. In MS-DRG 908, we found a total of 9,286 cases with an
average length of stay of 5.3 days and average costs of $14,601. The
single case reporting a skin graft to the perineum procedure in MS-DRG
908 had a length of stay of 6 days and a cost of $8,410. In MS-DRG 988,
we found a total of 8,391 cases with an average length of stay of 5.7
days and average costs of $12,294. The 2 cases reporting a skin graft
to the perineum procedure in MS-DRG 988 had an average length of stay
of 3 days and average costs of $6,906. In MS-DRG 989, we found a total
of 1,551 cases with an average length of stay of 3.1 days and average
costs of $8,171. The single case reporting a skin graft to the perineum
procedure in MS-DRG 989 had a length of stay of 7 day and a cost of
$14,080. We found no cases reporting a skin graft to the perineum
procedure in MS-DRG 747, 909, 957, 958, 959, or 987. Cases reporting a
skin graft to the perineum procedure generally had shorter length of
stays and lower average costs than those of their assigned MS-DRGs
overall.
We then analyzed claims data for MS-DRGs 927, 928, and 929 (the MS-
DRGs to which the requestor suggested that these cases group) for all
cases reporting a procedure describing a skin graft to the perineum
listed in the table above to consider how the resources involved in the
cases reporting a procedure describing a skin graft to the perineum
compared to those of all cases in MS-DRGs 927, 928, and 929. Our
findings are shown in the following table.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 927--All cases........................................... 146 30.9 $147,903
MS-DRG 928--All cases........................................... 1,149 15.7 45,523
MS-DRG 928--Cases with skin graft to the perineum procedure..... 5 39 64,041
MS-DRG 929--All cases........................................... 296 7.9 21,474
----------------------------------------------------------------------------------------------------------------
As shown in the table above, for MS-DRG 927, we found a total of
146 cases with an average length of stay of 30.9 days and average costs
of $147,903; no cases reporting a skin graft to the perineum procedure
were found. For MS-DRG 928, we found a total of 1,149 cases with an
average length of stay of 15.7 days and average costs of $45,523. We
found 5 cases reporting a skin graft to the perineum procedure with an
average length of stay of 39 days and average costs of $64,041. For MS-
DRG 929, we found a total of 296 cases with an average length of stay
of 7.9 days and average costs of $21,474; and no cases reporting a skin
graft to the perineum procedure were found. We note that none of the 5
cases reporting a skin graft to the perineum in MS-DRGs 927, 928, and
929 reported a skin graft to the perineum procedure as the only
operating room procedure. Therefore, it is not possible to determine
how much of the operating room resources for these 5 cases were
attributable to the skin graft to the perineum procedure.
Our clinical advisors reviewed the claims data described above and
noted that none of the cases reporting the seven identified procedure
codes that grouped to MS-DRGs 746, 907, 908, 988, and 989 (listed in
the table above) had a principal or secondary diagnosis of a burn,
which suggests that these skin grafts were not performed to treat a
burn. Therefore, our clinical advisors believe that it would not be
appropriate for these cases that report a skin graft to the perineum
procedure to group to MS-DRGs 927, 928, and 929, which describe burns.
Our clinical advisors state that the seven ICD-10-PCS procedure codes
that describe a skin graft to the perineum are more clinically aligned
with the other procedures in MS-DRGs 746 and 747, to which they are
currently assigned. Therefore, we are
[[Page 19216]]
not proposing to add the seven identified procedure codes to MS-DRGs
927, 928, and 929.
11. MDC 23 (Factors Influencing Health Status and Other Contacts With
Health Services): Proposed Assignment of Diagnosis Code R93.89
We received a request to consider reassignment of ICD-10-CM
diagnosis code R93.89 (Abnormal finding on diagnostic imaging of other
specified body structures) from MDC 5 (Diseases and Disorders of the
Circulatory System) in MS-DRGs 302 and 303 (Atherosclerosis with and
without MCC and Atherosclerosis without MCC, respectively) to MDC 23
(Factors Influencing Health Status and Other Contact with Health
Services), consistent with other diagnosis codes that include abnormal
findings. However, the requestor did not suggest a specific MS-DRG
assignment within MDC 23.
We examined claims data from the September 2018 update of the FY
2018 MedPAR file for MS-DRGs 302 and 303 and identified cases reporting
diagnosis code R93.89. Our findings are shown in the following table.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 302--All cases........................................... 3,750 3.8 $7,956
MS-DRG 302--Cases reporting diagnosis code R93.89............... 3 7.7 10,818
MS-DRG 303--All cases........................................... 12,986 2.3 4,920
MS-DRG 303--Cases reporting diagnosis code R93.89............... 10 2 3,416
----------------------------------------------------------------------------------------------------------------
As shown in the table, for MS-DRG 302, there was a total of 3,750
cases with an average length of stay of 3.8 days and average costs of
$7,956. Of these 3,750 cases, there were 3 cases reporting abnormal
finding on diagnostic imaging of other specified body structures, with
an average length of stay 7.7 days and average costs of $10,818. For
MS-DRG 303, there was a total of 12,986 cases with an average length of
stay of 2.3 days and average costs of $4,920. Of these 12,986 cases,
there were 10 cases reporting abnormal finding on diagnostic imaging of
other specified body structures, with an average length of stay 2 days
and average costs of $3,416.
Our clinical advisors reviewed this request and determined that the
assignment of diagnosis code R93.89 to MDC 5 in MS-DRGs 302 and 303 was
a result of replication from ICD-9-CM diagnosis code 793.2 (Nonspecific
(abnormal) findings on radiological and other examination of other
intrathoracic organs), which was assigned to those MS-DRGs. Therefore,
they support reassignment of diagnosis code R93.89 to MDC 23. Our
clinical advisors agree this reassignment is clinically appropriate as
it is consistent with other diagnosis codes in MDC 23 that include
abnormal findings from other nonspecified sites. Specifically, our
clinical advisors suggest reassignment of diagnosis code R89.93 to MS-
DRGs 947 and 948 (Signs and Symptoms with and without MCC,
respectively). Therefore, we are proposing to reassign ICD-10-CM
diagnosis code R93.89 from MDC 5 in MS-DRGs 302 and 303 to MDC 23 in
MS-DRGs 947 and 948.
12. Review of Procedure Codes in MS-DRGs 981 Through 983 and 987
Through 989
a. Adding Procedure Codes and Diagnosis Codes Currently Grouping to MS-
DRGs 981 Through 983 or MS-DRGs 987 Through 989 into MDCs
We annually conduct a review of procedures producing assignment to
MS-DRGs 981 through 983 (Extensive O.R. Procedure Unrelated to
Principal Diagnosis with MCC, with CC, and without CC/MCC,
respectively) or MS-DRGs 987 through 989 (Nonextensive O.R. Procedure
Unrelated to Principal Diagnosis with MCC, with CC, and without CC/MCC,
respectively) on the basis of volume, by procedure, to see if it would
be appropriate to move cases reporting these procedure codes out of
these MS-DRGs into one of the surgical MS-DRGs for the MDC into which
the principal diagnosis falls. The data are arrayed in two ways for
comparison purposes. We look at a frequency count of each major
operative procedure code. We also compare procedures across MDCs by
volume of procedure codes within each MDC. We use this information to
determine which procedure codes and diagnosis codes to examine.
We identify those procedures occurring in conjunction with certain
principal diagnoses with sufficient frequency to justify adding them to
one of the surgical MS-DRGs for the MDC in which the diagnosis falls.
We also consider whether it would be more appropriate to move the
principal diagnosis codes into the MDC to which the procedure is
currently assigned. Based on the results of our review of the claims
data from the September 2018 update of the FY 2018 MedPAR file, we are
proposing to move the cases reporting the procedures and/or principal
diagnosis codes described below from MS-DRGs 981 through 983 or MS-DRGs
987 through 989 into one of the surgical MS-DRGs for the MDC into which
the principal diagnosis or procedure is assigned.
(1) Gastrointestinal Stromal Tumors With Excision of Stomach and Small
Intestine
Gastrointestinal stromal tumors (GIST) are tumors of connective
tissue, and are currently assigned to MDC 8 (Diseases and Disorders of
the Musculoskeletal System and Connective Tissue). The ICD-10-CM
diagnosis codes describing GIST are listed in the table below.
------------------------------------------------------------------------
ICD-10-CM diagnosis code Code description
------------------------------------------------------------------------
C49.A0.................... Gastrointestinal stromal tumor, unspecified
site.
C49.A1.................... Gastrointestinal stromal tumor of esophagus.
C49.A2.................... Gastrointestinal stromal tumor of stomach.
C49.A3.................... Gastrointestinal stromal tumor of small
intestine.
C49.A4.................... Gastrointestinal stromal tumor of large
intestine.
C49.A5.................... Gastrointestinal stromal tumor of rectum.
C49.A9.................... Gastrointestinal stromal tumor of other
sites.
------------------------------------------------------------------------
[[Page 19217]]
During our review of cases that group to MS-DRGs 981 through 983,
we noted that when procedures describing open excision of the stomach
or small intestine (ICD-10-PCS procedure codes 0DB60ZZ (Excision of
stomach, open approach) and 0DB80ZZ (Excision of small intestine, open
approach)) were reported with a principal diagnosis of GIST, the cases
group to MS-DRGs 981 through 983. These two excision codes are assigned
to several MDCs, as listed in the table below. Whenever there is a
surgical procedure reported on the claim, which is unrelated to the MDC
to which the case was assigned based on the principal diagnosis, it
results in an MS-DRG assignment to a surgical class referred to as
``unrelated operating room procedures''.
DRG Assignments for ICD-10-PCS Procedure Codes 0DB60ZZ and 0DB80ZZ
----------------------------------------------------------------------------------------------------------------
MDC DRG DRG Description
----------------------------------------------------------------------------------------------------------------
5............................ 264......................... Other Circulatory O.R. Procedures.
6............................ 326-328..................... Stomach, Esophageal and Duodenal Procedures.
10........................... 619-621..................... Procedures for Obesity.
17........................... 820-822..................... Lymphoma and Leukemia with Major Procedure.
17........................... 826-828..................... Myeloproliferative Disorders or Poorly
Differentiated Neoplasms with Major Procedure.
21........................... 907-909..................... Other O.R. Procedures for Injuries.
24........................... 957-959..................... Other Procedures for Multiple Significant Trauma.
----------------------------------------------------------------------------------------------------------------
We first examined cases that reported a principal diagnosis of GIST
and ICD-10-PCS procedure code 0DB60ZZ or 0DB80ZZ that currently group
to MS-DRGs 981 through 983, as well as all cases in MS-DRGs 981 through
983. Our findings are shown in the table below.
MS-DRGs 981-983: All Cases and Cases With Principal Diagnosis of GIST and Procedure Code 0DB60ZZ or 0DB80ZZ
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 981--All cases........................................... 29,192 11.3 $29,862
MS-DRG 981--Cases with procedure code 0DB60ZZ................... 46 12.4 35,723
MS-DRG 981--Cases with procedure code 0DB80ZZ................... 12 10.8 28,059
MS-DRG 982--All cases........................................... 16,834 6.3 16,939
MS-DRG 982--Cases with procedure code 0DB60ZZ................... 104 6.8 17,442
MS-DRG 982--Cases with procedure code 0DB80ZZ................... 41 8 18,961
MS-DRG 983--All cases........................................... 3,166 3.3 11,872
MS-DRG 983--Cases with procedure code 0DB60ZZ................... 97 4.5 11,901
MS-DRG 983--Cases with procedure code 0DB80ZZ................... 19 4.5 9,971
----------------------------------------------------------------------------------------------------------------
Of the MDCs to which these gastrointestinal excision procedures are
currently assigned, our clinical advisors indicated that cases with a
principal diagnosis of GIST that also report an open gastrointestinal
excision procedure code would logically be assigned to MDC 6 (Diseases
and Disorders of the Digestive System). Within MDC 6, ICD-10-PCS
procedures codes 0DB60ZZ and 0DB80ZZ are currently assigned to MS-DRGs
326, 327, and 328 (Stomach, Esophageal and Duodenal Procedures with
MCC, CC, and without CC/MCC, respectively). To understand how the
resources associated with the subset of cases reporting a principal
diagnosis of GIST and procedure code 0DB60ZZ or 0DB80ZZ compare to
those of cases in MS-DRGs 326, 327, and 328 as a whole, we examined the
average costs and average length of stay for all cases in MS-DRGs 326,
327, and 328. Our findings are shown in the table below.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 326--All cases........................................... 9,898 13 $36,129
MS-DRG 327--All cases........................................... 9,602 6.6 18,736
MS-DRG 328--All cases........................................... 7,634 2.9 11,555
----------------------------------------------------------------------------------------------------------------
Our clinical advisors reviewed these data and noted that the
average length of stay and average costs of this subset of cases were
similar to those of cases in MS-DRGs 326, 327, and 328 in MDC 6. To
consider whether it was appropriate to move the GIST diagnosis codes
from MDC 8, we examined the other procedure codes reported for cases
that report a principal diagnosis of GIST and noted that almost all of
the O.R. procedures most frequently reported were assigned to MDC 6
rather than MDC 8. Our clinical advisors believe that, given the
similarity in resource use between this subset of cases and cases in
MS-DRGs 326, 327, and 328, and that the GIST diagnosis codes are
gastrointestinal in nature, they would be more appropriately assigned
to MS-DRGs 326, 327, and 328 in MDC 6 than their current assignment in
MDC 8. Therefore, we are proposing to move the GIST diagnosis codes
listed above from MDC 8 to MDC 6 within MS-DRGs 326, 327, and 328.
Under our proposal, cases reporting a principal diagnosis of GIST would
group to MS-DRGs 326, 327, and 328.
(2) Peritoneal Dialysis Catheter Complications
During our review of the cases currently grouping to MS-DRGs 981-
[[Page 19218]]
983, we noted that cases reporting a principal diagnosis of
complications of peritoneal dialysis catheters with procedure codes
describing removal, revision, and/or insertion of new peritoneal
dialysis catheters group to MS-DRGs 981 through 983. The ICD-10-CM
diagnosis codes that describe complications of peritoneal dialysis
catheters, listed in the table below, are assigned to MDC 21 (Injuries,
Poisonings and Toxic Effects of Drugs). These principal diagnoses are
frequently reported with the procedure codes describing removal,
revision, and/or insertion of new peritoneal dialysis catheters.
------------------------------------------------------------------------
ICD-10-CM code Code description
------------------------------------------------------------------------
T85.611A.................. Breakdown (mechanical) of intraperitoneal
dialysis catheter, initial encounter.
T85.621A.................. Displacement of intraperitoneal dialysis
catheter, initial encounter.
T85.631A.................. Leakage of intraperitoneal dialysis
catheter, initial encounter.
T85.691A.................. Other mechanical complication of
intraperitoneal dialysis catheter, initial
encounter.
T85.71XA.................. Infection and inflammatory reaction due to
peritoneal dialysis catheter, initial
encounter.
T85.898A.................. Other specified complication of other
internal prosthetic devices, implants and
graft, initial encounter.
------------------------------------------------------------------------
The procedure codes in the table below describe removal, revision,
and/or insertion of new peritoneal dialysis catheters or revision of
synthetic substitutes and are currently assigned to MDC 6 (Diseases and
Disorders of the Digestive System) in MS-DRGs 356, 357, and 358 (Other
Digestive System O.R. Procedures with MCC, with CC, and without CC/MCC,
respectively).
------------------------------------------------------------------------
ICD-10-PCS procedure code Code description
------------------------------------------------------------------------
0WHG03Z................... Insertion of infusion device into peritoneal
cavity, open approach.
0WHG43Z................... Insertion of infusion device into peritoneal
cavity, percutaneous endoscopic approach.
0WPG03Z................... Removal of infusion device from peritoneal
cavity, open approach.
0WPG43Z................... Removal of infusion device from peritoneal
cavity, percutaneous endoscopic approach.
0WWG03Z................... Revision of infusion device in peritoneal
cavity, open approach.
0WWG0JZ................... Revision of synthetic substitute in
peritoneal cavity, open approach.
0WWG43Z................... Revision of infusion device in peritoneal
cavity, percutaneous endoscopic approach.
0WWG4JZ................... Revision of synthetic substitute in
peritoneal cavity, percutaneous endoscopic
approach.
------------------------------------------------------------------------
We examined the claims data from the September 2018 update of the
FY 2018 MedPAR file for the average costs and length of stay for cases
that report a principal diagnosis of complications of peritoneal
dialysis catheters with a procedure describing removal, revision, and/
or insertion of new peritoneal dialysis catheters or revision of
synthetic substitutes. Our findings are shown in the table below. We
note that we did not find any such cases in MS-DRG 983.
MS-DRG 981 Through 982: Peritoneal Dialysis Catheter Procedures With Principal Diagnosis of Complications of
Peritoneal Dialysis Catheters
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 981--Cases reporting peritoneal dialysis catheter 1,603 8.5 $20,676
procedures with a principal diagnosis of complications of
peritoneal dialysis catheters..................................
MS-DRG 982--Cases reporting peritoneal dialysis catheter 5 8.6 11,694
procedures with a principal diagnosis of complications of
peritoneal dialysis catheters..................................
----------------------------------------------------------------------------------------------------------------
Our clinical advisors indicated that, within MDC 21, the procedures
describing removal, revision, and/or insertion of new peritoneal
dialysis catheters or revision of synthetic substitutes most suitably
group to MS-DRGs 907, 908, and 909, which contain all procedures for
injuries that are not specific to the hand, skin, and wound
debridement. To determine how the resources for this subset of cases
compared to cases in MS-DRGs 907, 908, and 909 as a whole, we examined
the average costs and length of stay for cases in MS-DRGs 907, 908, and
909. Our findings are shown in the table below.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 907--All cases........................................... 9,482 9.7 $27,492
MS-DRG 908--All cases........................................... 9,305 5.3 14,597
MS-DRG 909--All cases........................................... 3,011 3 9,587
----------------------------------------------------------------------------------------------------------------
Our clinical advisors considered these data and noted that the
average costs and length of stay for this subset of cases, most of
which group to MS-DRG 981, are lower than the average costs and length
of stay for cases of the same
[[Page 19219]]
severity level in MS-DRGs 907. However, our clinical advisors believe
that the procedures describing removal, revision, and/or insertion of
new peritoneal dialysis catheters or revision of synthetic substitutes
are clearly related to the principal diagnosis codes describing
complications of peritoneal dialysis catheters and, therefore, it is
clinically appropriate for the procedures to group to the same MS-DRGs
as the principal diagnoses. Therefore, we are proposing to add the
eight procedure codes listed in the table above that describe removal,
revision, and/or insertion of new peritoneal dialysis catheters or
revision of synthetic substitutes to MDC 21 (Injuries, Poisonings &
Toxic Effects of Drugs) in MS-DRGs 907, 908, and 909. Under this
proposal, cases reporting a principal diagnosis of complications of
peritoneal dialysis catheters with a procedure describing removal,
revision, and/or insertion of new peritoneal dialysis catheters or
revision of synthetic substitutes would group to MS-DRGs 907, 908, and
909.
(3) Bone Excision With Pressure Ulcers
During our review of the cases that group to MS-DRGs 981 through
983, we noted that when procedures describing excision of the sacrum,
pelvic bones, and coccyx (ICD-10-PCS procedure codes 0QB10ZZ (Excision
of sacrum, open approach), 0QB20ZZ (Excision of right pelvic bone, open
approach), 0QB30ZZ (Excision of left pelvic bone, open approach), and
0QBS0ZZ (Excision of coccyx, open approach)) are reported with a
principal diagnosis of pressure ulcers in MDC 9 (Diseases and Disorders
of the Skin, Subcutaneous Tissue and Breast), the cases group to MS-
DRGs 981 through 983. The procedures describing excision of the sacrum,
pelvic bones, and coccyx group to several MDCs, which are listed in the
table below.
MS-DRG Assignments for ICD-10-PCS Codes 0QB10ZZ, 0QB20ZZ, 0QB30ZZ, and 0QBS0ZZ
----------------------------------------------------------------------------------------------------------------
MDC MS-DRG MS-DRG description
----------------------------------------------------------------------------------------------------------------
3............................ 133-134..................... Other Ear, Nose, Mouth and Throat O.R. Procedures
with CC/MCC and without CC/MCC, respectively.
8............................ 515-517..................... Other Musculoskeletal System and Connective Tissue
O.R. Procedures with MCC, with CC, and without CC/
MCC, respectively.
10........................... 628-630..................... Other Endocrine, Nutritional and Metabolic O.R.
Procedures with MCC, with CC, and without CC/MCC,
respectively.
21........................... 907-909..................... Other O.R. Procedures for Injuries.
24........................... 957-959..................... Other Procedures for Multiple Significant Trauma.
----------------------------------------------------------------------------------------------------------------
When cases reporting procedure codes describing excision of the
sacrum, pelvic bones, and coccyx report a principal diagnosis from MDC
9, the ICD-10-CM diagnosis codes that are most frequently reported as
principal diagnoses are listed below.
------------------------------------------------------------------------
ICD-10-CM diagnosis code Code description
------------------------------------------------------------------------
L89.150................... Pressure ulcer of sacral region,
unstageable.
L89.153................... Pressure ulcer of sacral region, stage 3.
L89.154................... Pressure ulcer of sacral region, stage 4.
L89.214................... Pressure ulcer of right hip, stage 4.
L89.224................... Pressure ulcer of left hip, stage 4.
L89.314................... Pressure ulcer of right buttock, stage 4.
L89.324................... Pressure ulcer of left buttock, stage 4.
L89.894................... Pressure ulcer of other site, stage 4.
------------------------------------------------------------------------
We examined the claims data from the September 2018 update of the
FY 2018 MedPAR file for the average costs and length of stay for cases
that report procedures describing excision of the sacrum, pelvic bones,
and coccyx in conjunction with a principal diagnosis of pressure
ulcers.
MS-DRGs 981 Through 983: Cases Reporting Excision of the Sacrum, Pelvic Bones, and Coccyx Reported With a
Principal Diagnosis of Pressure Ulcers
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 981--Cases reporting excision of the sacrum, pelvic 394 11.9 $24,398
bones, and coccyx and a principal diagnosis of pressure ulcers.
MS-DRG 982--Cases Reporting excision of the sacrum, pelvic 477 9.4 16,464
bones, and coccyx and a principal diagnosis of pressure ulcers.
MS-DRG 983--Cases Reporting excision of the sacrum, pelvic 38 4.8 8,519
bones, and coccyx and a principal diagnosis of pressure ulcers.
----------------------------------------------------------------------------------------------------------------
Our clinical advisors indicated that, given the nature of these
procedures, they could not be appropriately assigned to the specific
surgical MS-DRGs within MDC 9, which are: Skin graft; skin debridement;
mastectomy for malignancy; and breast biopsy, local excision, and other
breast procedures. Therefore, our clinical advisors believe that these
procedures would most suitably group to MS-DRGs 579, 580, and 581
(Other Skin, Subcutaneous Tissue and Breast Procedures with MCC, with
CC, and without CC/MCC, respectively), which contain procedures
[[Page 19220]]
assigned to MDC 9 that do not fit within the specific surgical MS-DRGs
in MDC 9. Therefore, we examined the claims data for the average length
of stay and average costs for MS-DRGs 579, 580, and 581 in MDC 9. Our
findings are shown in the table below.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 579...................................................... 4,091 9.2 $19,873
MS-DRG 580...................................................... 10,048 5.2 11,229
MS-DRG 581...................................................... 4,364 3 8,987
----------------------------------------------------------------------------------------------------------------
Our clinical advisors reviewed these data and noted that, in this
subset of cases, most cases group to MS-DRGs 981 and 982 and have
greater average length of stay and average costs than those cases of
the same severity level in MS-DRGs 579 and 580. The smaller number of
cases that group to MS-DRG 983 have lower average costs than cases in
MS-DRG 581. However, our clinical advisors believe that the procedure
codes describing excision of the sacrum, pelvic bones, and coccyx are
clearly related to the principal diagnosis codes describing pressure
ulcers, as these procedures would be performed to treat pressure ulcers
in the sacrum, hip, and buttocks regions. Therefore, our clinical
advisors believe that it is clinically appropriate for the procedures
to group to the same MS-DRGs as the principal diagnoses. Therefore, we
are proposing to add the ICD-10-PCS procedure codes describing excision
of the sacrum, pelvic bones, and coccyx to MDC 9 in MS-DRGs 579, 580,
and 581. Under this proposal, cases reporting a principal diagnosis in
MDC 9 (such as pressure ulcers) with a procedure describing excision of
the sacrum, pelvic bones, and coccyx would group to MS-DRGs 579, 580,
and 581.
(4) Lower Extremity Muscle and Tendon Excision
During the review of the cases that group to MS-DRGs 981 through
983, we noted that when several ICD-10-PCS procedure codes describing
excision of lower extremity muscles and tendons are reported in
conjunction with ICD-10-CM diagnosis codes in MDC 10 (Endocrine,
Nutritional and Metabolic Diseases and Disorders), the cases group to
MS-DRGs 981 through 983. These ICD-10-PCS procedure codes are listed in
the table below, and are assigned to several MS-DRGs, which are also
listed below.
----------------------------------------------------------------------------------------------------------------
ICD-10-PCS procedure code Code description
-----------------------------------------------------------------------------------
0KBN0ZZ......................... Excision of right hip muscle, open approach.
0KBP0ZZ......................... Excision of left hip muscle, open approach.
0KBS0ZZ......................... Excision of right lower leg muscle, open
approach.
0KBT0ZZ......................... Excision of left lower leg muscle, open approach.
0KBV0ZZ......................... Excision of right foot muscle, open approach.
0KBW0ZZ......................... Excision of left foot muscle, open approach.
0LBV0ZZ......................... Excision of right foot tendon, open approach.
0LBW0ZZ......................... Excision of left foot tendon, open approach.
----------------------------------------------------------------------------------------------------------------
----------------------------------------------------------------------------------------------------------------
MDC MS-DRG MS-DRG description
----------------------------------------------------------------------------------------------------------------
01........................... 040-042..................... Peripheral, Cranial Nerve and Other Nervous System
Procedures with MCC, with CC or Peripheral
Neurostimulator, and without CC/MCC, respectively.
08........................... 500-502..................... Soft Tissue Procedures with MCC, with CC, and
without CC/MCC, respectively.
09........................... 579-581..................... Other Skin, Subcutaneous Tissue and Breast
Procedures with MCC, with CC, and without CC/MCC,
respectively.
21........................... 907-909..................... Other O.R. Procedures for Injuries.
24........................... 957-959..................... Other Procedures for Multiple Significant Trauma.
----------------------------------------------------------------------------------------------------------------
The ICD-10-CM diagnosis codes in MDC 10 that are most frequently
reported as the principal diagnosis with a procedure describing
excision of lower extremity muscles and tendons are listed in the table
below. The combination indicates debridement procedures for more
complex diabetic ulcers.
------------------------------------------------------------------------
ICD-10-CM procedure code Code description
------------------------------------------------------------------------
E11.621................... Type 2 diabetes mellitus with foot ulcer.
E11.69.................... Type 2 diabetes mellitus with other
specified complication.
E11.628................... Type 2 diabetes mellitus with other skin
complications.
E11.622................... Type 2 diabetes mellitus with other skin
ulcer.
E10.621................... Type 1 diabetes mellitus with foot ulcer.
------------------------------------------------------------------------
To understand the resource use for the subset of cases reporting
procedure codes describing excision of lower extremity muscles and
tendons that are currently grouping to MS-DRGs 981 through 983, we
examined claims data
[[Page 19221]]
for the average length of stay and average costs for these cases. Our
findings are shown in the table below.
MS-DRGs 981-983: Cases Reporting Procedures Describing Excision of Lower Extremity Muscles and Tendons With a
Principal Diagnosis in MDC 10
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 981--Cases reporting excision of lower extremity muscles 125 9.1 $19,031
and tendons and a principal diagnosis in MDC 10................
MS-DRG 982--Cases reporting excision of lower extremity muscles 561 6.2 12,000
and tendons and a principal diagnosis in MDC 10................
MS-DRG 983--Cases reporting excision of lower extremity muscles 16 4.8 9,003
and tendons and a principal diagnosis in MDC 10................
----------------------------------------------------------------------------------------------------------------
Our clinical advisors examined cases reporting procedures
describing excision of lower extremity muscles and tendons with a
principal diagnosis in the MS-DRGs within MDC 10 and determined that
these cases would most suitably group to MS-DRGs 622, 623, and 624
(Skin Grafts and Wound Debridement for Endocrine, Nutritional and
Metabolic Disorders with MCC, with CC, and without CC/MCC,
respectively). Therefore, we examined the average length of stay and
average costs for cases assigned to MS-DRGs 622, 623, and 624. Our
findings are shown in the table below.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 622...................................................... 1,540 11.7 $25,114
MS-DRG 623...................................................... 4,849 6.6 13,490
MS-DRG 624...................................................... 232 3.7 7,442
----------------------------------------------------------------------------------------------------------------
Our clinical advisors reviewed these data and noted that most of
the cases reporting procedures describing excision of lower extremity
muscles and tendons group to MS-DRGs 981 and 982. For these cases, the
average length of stay and average costs are lower than those of cases
that currently group to MS-DRGs 622 and 623. However, our clinical
advisors believe that these procedures are clearly related to the
principal diagnoses in MDC 10, as they would be performed to treat
skin-related complications of diabetes and, therefore, it is clinically
appropriate for the procedures to group to the same MS-DRGs as the
principal diagnoses. Therefore, we are proposing to add the procedure
codes listed previously describing excision of lower extremity muscles
and tendons to MDC 10. Under our proposal, cases reporting these
procedure codes with a principal diagnosis in MDC 10 would group to MS-
DRGs 622, 623, and 624.
(5) Kidney Transplantation Procedures
During our review of the cases that group to MS-DRGs 981 through
983, we noted that when procedures describing transplantation of
kidneys (ICD-10-PCS procedure codes 0TY00Z0 (Transplantation of right
kidney, allogeneic, open approach) and 0TY10Z0 (Transplantation of left
kidney, allogeneic, open approach)) are reported in conjunction with
ICD-10-CM diagnosis codes in MDC 5 (Diseases and Disorders of the
Circulatory System), the cases group to MS-DRGs 981 through 983. The
ICD-10-CM diagnosis codes in MDC 5 that are reported with the kidney
transplantation codes are I13.0 (Hypertensive heart and chronic kidney
disease with heart failure and with stage 1 through stage 4 chronic
kidney disease) and I13.2 (Hypertensive heart and chronic kidney
disease with heart failure and with stage 5 chronic kidney disease),
which group to MDC 5. Procedure codes describing transplantation of
kidneys are assigned to MS-DRG 652 (Kidney Transplant) in MDC 11. We
examined claims data to identify the average length of stay and average
costs for cases reporting procedure codes describing transplantation of
kidneys with a principal diagnosis in MDC 5, which are currently
grouping to MS-DRGs 981 through 983. Our findings are shown in the
table below. We did not find any such cases in MS-DRG 983.
MS-DRGs 981 Through 983: Cases Reporting Procedures Describing Transplantation of Kidney With a Principal
Diagnosis in MDC 5
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 981--Cases reporting transplantation of kidney and a 285 6.8 $25,340
principal diagnosis in MDC 5...................................
MS-DRG 982--Cases reporting transplantation of kidney and a 2 3.5 21,678
principal diagnosis in MDC 5...................................
----------------------------------------------------------------------------------------------------------------
Our clinical advisors examined the MS-DRGs within MDC 5 and
indicated that, given the nature of the procedures compared to the
specific surgical procedures contained in the other surgical MS-DRGs in
MDC 5, they could not be appropriately assigned to any of the specific
surgical MS-DRGs. Therefore, they determined that these cases would
most suitably group to MS-DRG 264 (Other Circulatory System O.R.
Procedures), which contains a broader range of procedures related to
MDC 5 diagnoses. We examined claims data to determine the average
length of stay and
[[Page 19222]]
average costs for cases assigned to MS-DRG 264. We found a total of
10,073 cases, with an average length of stay of 9.3 days and average
costs of $22,643.
Our clinical advisors reviewed these data and noted that the
average costs for cases reporting transplantation of kidney with a
diagnosis from MDC 5 are similar to the average costs of cases in MS-
DRG 264 ($22,643 in MS-DRG 264 compared to $25,340 in MS-DRG 981),
while the average length of stay is shorter than that of cases in MS-
DRG 264 (9.3 days in MS-DRG 264 compared to 6.8 days in MS-DRG 981).
Our clinical advisors noted that ICD-10-CM diagnosis codes describing
hypertensive heart and chronic kidney disease without heart failure
(I13.10 (Hypertensive heart and chronic kidney disease without heart
failure, with stage 1 through stage 4 chronic kidney disease, or
unspecified chronic kidney disease) and I13.11 (Hypertensive heart and
chronic kidney disease without heart failure, with stage 5 chronic
kidney disease, or end stage renal disease group) group to MS-DRG 652
(Kidney Transplant) in MDC 11 (Diseases and Disorders of the Kidney and
Urinary Tract). Our clinical advisors also noted that the counterpart
codes describing hypertensive heart and chronic kidney disease with
heart failure are as related to the kidney transplantation codes as the
codes without heart failure, but because the codes with heart failure
group to MDC 5, cases reporting a kidney transplant procedure with a
diagnosis code of hypertensive heart and chronic kidney disease with
heart failure currently group to MS-DRGs 981 through 983. Therefore, we
are proposing to add ICD-10-PCS procedure codes 0TY00Z0 and 0TY10Z0 to
MS-DRG 264 in MDC 5. Under this proposal, cases reporting a principal
diagnosis in MDC 5 with a procedure describing kidney transplantation
would group to MS-DRG 264 in MDC 5. We note that because MDC 5 covers
the circulatory system, and kidney transplants generally group to MDC
11, we are seeking public comments on whether the procedure codes
should instead continue to group to MS-DRGs 981 through 983.
(6) Insertion of Feeding Device
During our review of the cases that group to MS-DRGs 981 through
983, we noted that when ICD-10-PCS procedure code 0DH60UZ (Insertion of
feeding device into stomach, open approach) is reported with ICD-10-CM
diagnosis codes assigned to MDC 1 (Diseases and Disorders of the
Nervous System) or MDC 10 (Endocrine, Nutritional and Metabolic
Diseases and Disorders), the cases group to MS-DRGs 981 through 983.
ICD-10-PCS procedure code 0DH60UZ is currently assigned to MDC 6
(Diseases and Disorders of the Digestive System) in MS-DRGs 326, 327,
and 328 (Stomach, Esophageal and Duodenal Procedures) and MDC 21
(Injuries, Poisonings and Toxic Effects of Drugs) in MS-DRGs 907, 908,
and 909 (Other O.R. Procedures for Injuries). We also noticed that: (1)
When ICD-10-PCS procedure code 0DH60UZ is reported with a principal
diagnosis in MDC 1, the ICD-10-CM diagnosis codes reported with this
procedure code describe cerebral infarctions of various etiology and
anatomic locations and resulting complications; and (2) when ICD-10-PCS
procedure code 0DH60UZ is reported with a principal diagnosis in MDC
10, the ICD-10-CM diagnosis codes reported with this procedure code
pertain to dehydration, failure to thrive, and various forms of
malnutrition.
We examined claims data to identify the average length of stay and
average costs for cases in MS-DRGs 981 through 983 reporting ICD-10-PCS
procedure code 0DH60UZ in conjunction with a principal diagnosis from
MDC 1 or MDC 10. Our findings are shown in the table below.
MS-DRGs 981 Through 983: Cases Reporting Procedure Code 0DH60UZ With a Principal Diagnosis in MDC 1 or MDC 10
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 981--Cases reporting procedure code 0DH60UZ and a 115 19.3 $40,598
principal diagnosis in MDC 1...................................
MS-DRG 982--Cases reporting procedure code 0DH60UZ and a 43 13.2 25,042
principal diagnosis in MDC 1...................................
MS-DRG 983--Cases reporting procedure code 0DH60UZ and a 4 14.3 26,954
principal diagnosis in MDC 1...................................
MS-DRG 981--Cases reporting procedure code 0DH60UZ and a 47 13.4 24,690
principal diagnosis in MDC 10..................................
MS-DRG 982--Cases reporting procedure code 0DH60UZ and a 20 7.2 12,792
principal diagnosis in MDC 10..................................
MS-DRG 983--Cases reporting procedure code 0DH60UZ and a 5 5.0 8,608
principal diagnosis in MDC 10..................................
----------------------------------------------------------------------------------------------------------------
Our clinical advisors determined that the feeding tube procedure
was related to specific diagnoses within MDC 1 and MDC 10 and,
therefore, could be assigned to both MDCs. Therefore, they reviewed the
MS-DRGs within MDC 1 and MDC 10. They determined that the most suitable
MS-DRG assignment within MDC 1 would be MS-DRGs 040, 041, and 042
(Peripheral, Cranial Nerve and Other Nervous System Procedures with
MCC, with CC or Peripheral Neurostimulator, and without CC/MCC,
respectively), which contain procedures assigned to MDC 1 that describe
insertion of devices into anatomical areas that are not part of the
nervous system. Our clinical advisors determined that the most suitable
MS-DRG assignment within MDC 10 would be MS-DRGs 628, 629, and 630
(Other Endocrine, Nutritional and Metabolic O.R. Procedures with MCC,
with CC, and without CC/MCC, respectively), which contain the most
clinically similar procedures assigned to MDC 10, such as those
describing insertion of infusion pump into subcutaneous tissue and
fascia. Therefore, we examined claims data to identify the average
length of stay and average costs for cases assigned to MDC 1 in MS-DRGs
040, 041, and 042 and MDC 10 in MS-DRGs 628, 629, and 630. Our findings
are shown in the tables below.
[[Page 19223]]
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRGs in MDC 1 cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 040...................................................... 4,211 10.2 $27,096
MS-DRG 041...................................................... 6,153 5.1 16,917
MS-DRG 042...................................................... 2,249 3.0 13,365
----------------------------------------------------------------------------------------------------------------
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRGs in MDC 10 cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 628...................................................... 3,004 9.9 $25,472
MS-DRG 629...................................................... 5,435 7.2 16,391
MS-DRG 630...................................................... 237 3.2 10,659
----------------------------------------------------------------------------------------------------------------
Our clinical advisors reviewed these data and noted that the
average length of stay and average costs for the subset of cases
reporting ICD-10-PCS procedure code 0DH60UZ with a principal diagnosis
assigned to MDC 1 are higher than those cases in MS-DRGs 040, 041, and
042. For example, the cases reporting ICD-10-PCS procedure code 0DH60UZ
and a principal diagnosis in MDC 1 that currently group to MS-DRG 981
have an average length of stay of 19.3 days and average costs of
$40,598, while the cases in MS-DRG 040 have an average length of stay
of 10.2 days and average costs of $27,096. Our clinical advisors noted
that the average length of stay and average costs for the subset of
cases reporting ICD-10-PCS procedure code 0DH60UZ with a principal
diagnosis assigned to MDC 10 are more closely aligned with those cases
in MS-DRGs 628, 629, and 630. In both cases, our clinical advisors
believe that the insertion of feeding device is clearly related to the
principal diagnoses in MDC 1 and MDC 10 and, therefore, it is
clinically appropriate for the procedures to group to the same MS-DRGs
as the principal diagnoses. Therefore, we are proposing to add ICD-10-
PCS procedure code 0DH60UZ to MDC 1 and MDC 10. Under this proposal,
cases reporting procedure code 0DH60UZ with a principal diagnosis in
MDC 1 would group to MS-DRGs 040, 041, and 042, while cases reporting
ICD-10-PCS procedure code 0DH60UZ with a principal diagnosis in MDC 10
would group to MS-DRGs 628, 629, and 630.
(7) Basilic Vein Reposition in Chronic Kidney Disease
During our review of the cases that group to MS-DRGs 981 through
983, we noted that when procedures codes describing reposition of
basilic vein (ICD-10-PCS procedure codes 05SB0ZZ (Reposition right
basilic vein, open approach), 05SB3ZZ (Reposition right basilic vein,
percutaneous approach), 05SC0ZZ (Reposition left basilic vein, open
approach), and 05SC3ZZ (Reposition left basilic vein, percutaneous
approach)) are reported with a principal diagnosis in MDC 11 (Diseases
and Disorders of the Kidney and Urinary Tract) (typically describing
chronic kidney disease), the cases group to MS-DRGs 981 through 983.
This code combination suggests a revision of an arterio-venous fistula
in a patient on chronic hemodialysis. We examined claims data to
identify the average length of stay and average costs for cases
reporting procedures describing reposition of basilic vein with a
principal diagnosis in MDC 11, which are currently grouping to MS-DRGs
981 through 983. Our findings are shown in the table below.
MS-DRGs 981-983: Cases Reporting Procedures Describing Reposition of Basilic Vein With Principal Diagnosis in
MDC 11
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 981--Cases reporting procedures describing reposition of 48 4.6 $12,232
basilic vein and a principal diagnosis in MDC 11...............
MS-DRG 982--Cases reporting procedures describing reposition of 10 6.9 18,481
basilic vein and a principal diagnosis in MDC 11...............
MS-DRG 983--Cases reporting procedures describing reposition of 1 3.0 3,552
basilic vein and a principal diagnosis in MDC 11...............
----------------------------------------------------------------------------------------------------------------
Our clinical advisors examined claims data for cases in the MS-DRGs
within MDC 11 and determined that cases reporting procedures describing
reposition of basilic vein with a principal diagnosis in MDC 11 would
most suitably group to MS-DRGs 673, 674, and 675 (Other Kidney and
Urinary Tract Procedures with MCC, with CC, and without CC/MCC,
respectively), to which MDC 11 procedures describing reposition of
veins (other than renal veins) are assigned. Therefore, we examined
claims data to identify the average length of stay and average costs
for cases assigned to MS-DRGs 673, 674, and 675. Our findings are shown
in the table below.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 673...................................................... 10,542 10.8 $25,842
MS-DRG 674...................................................... 6,167 7.4 17,685
MS-DRG 675...................................................... 437 3.9 11,858
----------------------------------------------------------------------------------------------------------------
[[Page 19224]]
Our clinical advisors reviewed these data and noted that the
average length of stay and average costs for cases reporting procedures
describing reposition of basilic vein with a principal diagnosis in MDC
11 with an MCC are significantly lower than for those cases in MS-DRG
673. The average length of stay and average costs are similar for those
cases with a CC, while the single case without a CC or MCC had
significantly lower costs than the average costs of cases in MS-DRG
675. However, our clinical advisors believe that when the procedures
describing reposition of basilic vein are reported with a principal
diagnosis describing chronic kidney disease, the procedure is likely
related to arteriovenous fistulas for dialysis associated with the
chronic kidney disease. Therefore, our clinical advisors believe that
it is clinically appropriate for the procedures to group to the same
MS-DRGs as the principal diagnoses. Therefore, we are proposing to add
ICD-10-PCS procedures codes 05SB0ZZ, 05SB3ZZ, 05SC0ZZ, and 05SC3ZZ to
MDC 11. Under our proposal, cases reporting procedure codes describing
reposition of basilic vein with a principal diagnosis in MDC 11 would
group to MS-DRGs 673, 674, and 675.
(8) Colon Resection With Fistula
During our review of the cases that group to MS-DRGs 981 through
983, we noted that when ICD-10-PCS procedure code 0DTN0ZZ (Resection of
sigmoid colon, open approach) is reported with a principal diagnosis in
MDC 11 (Diseases and Disorders of the Kidney and Urinary Tract), the
cases group to MS-DRGs 981 through 983. The principal diagnosis most
frequently reported with ICD-10-PCS procedure code 0DTN0ZZ in MDC 11 is
ICD-10-CM code N321 (Vesicointestinal fistula). ICD-10-PCS procedure
code 0DTN0ZZ currently groups to several MDCs, which are listed in the
table below.
MS-DRG Assignments for ICD-10-PCS Procedure Code 0DTN0ZZ
------------------------------------------------------------------------
MDC MS-DRG MS-DRG description
------------------------------------------------------------------------
6..................... 329-331............... Major Small and Large
Bowel Procedures.
17.................... 820-822............... Lymphoma and Leukemia
with Major Procedure.
17.................... 826-828............... Myeloproliferative
Disorders or Poorly
Differentiated
Neoplasms with Major
Procedure.
21.................... 907-909............... Other O.R. Procedures
for Injuries.
24.................... 957-959............... Other Procedures for
Multiple Significant
Trauma.
------------------------------------------------------------------------
We examined claims data to identify the average length of stay and
average costs for cases reporting procedure code 0DTN0ZZ with a
principal diagnosis in MDC 11, which are currently grouping to MS-DRGs
981 through 983. Our findings are shown in the table below.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 981--Cases reporting procedure code 0DTN0ZZ and a 27 15.81 $44,743
principal diagnosis in MDC 11..................................
MS-DRG 982--Cases reporting procedure code 0DTN0ZZ and a 33 8.48 20,105
principal diagnosis in MDC 11..................................
MS-DRG 983--Cases reporting procedure code 0DTN0ZZ and a 5 3.60 12,351
principal diagnosis in MDC 11..................................
----------------------------------------------------------------------------------------------------------------
Our clinical advisors examined the MS-DRGs within MDC 11 and
determined that the cases reporting procedure code 0DTN0ZZ with a
principal diagnosis in MDC 11 would most suitably group to MS-DRGs 673,
674, and 675, which contain procedures performed on structures other
than kidney and urinary tract anatomy. We note that the claims data
describing the average length of stay and average costs for cases in
these MS-DRGs are included in a table earlier in this section. Because
vesicointestinal fistulas involve both the bladder and the bowel, some
procedures in both MDC 6 (Diseases and Disorders of the Digestive
System) and MDC 11 (Diseases and Disorders of the Kidney and Urinary
Tract) would be expected to be related to a principal diagnosis of
vesicointestinal fistula (ICD-10-CM code N321). Our clinical advisors
observed that procedure code 0DTN0ZZ is the second most common
procedure reported in conjunction with a principal diagnosis of code
N321, after ICD-10-PCS procedure code 0TQB0ZZ (Repair bladder, open
approach), which is assigned to both MDC 6 and MDC 11. Our clinical
advisors reviewed the data and noted that the average length of stay
and average costs for this subset of cases are generally higher for
this subset of cases than for cases in MS-DRGs 673, 674, and 675.
However, our clinical advisors believe that when ICD-10-PCS procedure
code 0DTN0ZZ is reported with a principal diagnosis in MDC 11
(typically vesicointestinal fistula), the procedure is related to the
principal diagnosis. Therefore, we are proposing to add ICD-10-PCS
procedure code 0DTN0ZZ to MDC 11. Under our proposal, cases reporting
procedure code 0DTN0ZZ with a principal diagnosis of vesicointestinal
fistula (diagnosis code N321) in MDC 11 would group to MS-DRGs 673,
674, and 675.
b. Reassignment of Procedures Among MS-DRGs 981 Through 983 and 987
Through 989
We also review the list of ICD-10-PCS procedures that, when in
combination with their principal diagnosis code, result in assignment
to MS-DRGs 981 through 983, or 987 through 989, to ascertain whether
any of those procedures should be reassigned from one of those two
groups of MS-DRGs to the other group of MS-DRGs based on average costs
and the length of stay. We look at the data for trends such as shifts
in treatment practice or reporting practice that would make the
resulting MS-DRG assignment illogical. If we find these shifts, we
would propose to move cases to keep the MS-DRGs clinically similar or
to provide payment for the cases in a similar manner. Generally, we
move only those procedures for which we have an adequate number of
discharges to analyze the data.
[[Page 19225]]
Based on the results of our review of claims data in the September
2018 update of the FY 2018 MedPAR file, we are not proposing to change
the current structure of MS-DRGs 981 through 983 and MS-DRGs 987
through 989.
c. Proposed Additions for Diagnosis and Procedure Codes to MDCs
Below we summarize the requests we received to examine cases found
to group to MS-DRGs 981 through 983 or MS-DRGs 987 through 989 to
determine if it would be appropriate to add procedure codes to one of
the surgical MS DRGs for the MDC into which the principal diagnosis
falls or to move the principal diagnosis to the surgical MS-DRGs to
which the procedure codes are assigned.
(1) Stage 3 Pressure Ulcers of the Hip
We received a request to reassign cases for a stage 3 pressure
ulcer of the left hip when reported with procedures involving excision
of pelvic bone or transfer of hip muscle from MS-DRGs 981, 982, and 983
(Extensive O.R. Procedure Unrelated to Principal Diagnosis with MCC,
with CC, and without CC/MCC, respectively) to MS-DRG 579 (Other Skin,
Subcutaneous Tissue and Breast Procedures with MCC) in MDC 9. ICD-10-CM
diagnosis code L89.223 (Pressure ulcer left hip, stage 3) is used to
report this condition and is currently assigned to MDC 9 (Diseases and
Disorders of the Skin, Subcutaneous Tissue and Breast). We refer
readers to section II.12.a. of the preamble of this proposed rule,
where we address ICD-10-PCS procedure code 0QB30ZZ (Excision of left
pelvic bone, open approach), which was reviewed as part of our ongoing
analysis of the unrelated MS-DRGs and which we are proposing to add to
MS-DRGs 579, 580, and 581 in MDC 5. (While the requestor only referred
to base MS-DRG 579, we believe it is appropriate to assign the cases to
MS-DRGs 579, 580, and 581 by severity level.) ICD-10-PCS procedure
codes 0KXP0ZZ (Transfer left hip muscle, open approach) and 0KXN0ZZ
(Transfer right hip muscle, open approach) may be reported to describe
transfer of hip muscle procedures and are currently assigned to MDC 1
(Diseases and Disorders of the Nervous System) and MDC 8 (Diseases and
Disorders of the Musculoskeletal System and Connective Tissue). We
included ICD-10-PCS procedure code 0KXN0ZZ in our analysis because it
describes the identical procedure on the right side.
Our analysis of this grouping issue confirmed that, when a stage 3
pressure ulcer of the left hip (ICD-10-CM diagnosis code L89.223) is
reported as a principal diagnosis with ICD-10-PCS procedure code
0KXP0ZZ or 0KXN0ZZ, these cases group to MS-DRGs 981, 982, and 983. The
reason for this grouping is because whenever there is a surgical
procedure reported on a claim that is unrelated to the MDC to which the
case was assigned based on the principal diagnosis, it results in an
MS-DRG assignment to a surgical class referred to as ``unrelated
operating room procedures.'' In the example provided, because ICD-10-CM
diagnosis code L89.223 describing a stage 3 pressure ulcer of left hip
is classified to MDC 9 and because ICD-10-PCS procedure codes 0KXP0ZZ
and 0KXN0ZZ are classified to MDC 1 (Diseases and Disorders of the
Nervous System) in MS-DRGs 040, 041, and 042 (Peripheral, Cranial Nerve
and Other Nervous System Procedures with MCC, with CC or Peripheral
Neurostimulator, and without CC/MCC, respectively) and MDC 8 (Diseases
and Disorders of the Musculoskeletal System and Connective Tissue) in
MS-DRGs 500, 501, and 502 (Soft Tissue Procedures with MCC, with CC,
and without CC/MCC, respectively), the GROUPER logic assigns this case
to the ``unrelated operating room procedures'' set of MS-DRGs.
For our review of this grouping issue and the request to have
procedure code 0KXP0ZZ added to MDC 9, we examined claims data for
cases reporting procedure code 0KXP0ZZ or 0KXN0ZZ in conjunction with a
diagnosis code that typically groups to MDC 9. Our findings are shown
in the table below.
MS-DRGs 981 Through 983: Cases With Hip Muscle Transfer and Principal Diagnosis in MDC 9
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 981--Cases with procedure code 0KXP0ZZ or 0KXN0ZZ and 72 12.6 $25,023
principal diagnosis in MDC 9...................................
MS-DRG 982--Cases with procedure code 0KXP0ZZ or 0KXN0ZZ and 130 10.5 17,955
principal diagnosis in MDC 9...................................
MS-DRG 983--Cases with procedure code 0KXP0ZZ or 0KXN0ZZ and 16 6.5 13,196
principal diagnosis in MDC 9...................................
----------------------------------------------------------------------------------------------------------------
As indicated earlier, the requestor suggested that we move ICD-10-
PCS procedure code 0KXP0ZZ to MS-DRG 579. However, our clinical
advisors believe that, within MDC 9, these procedure codes are more
clinically aligned with the procedure codes assigned to MS-DRGs 573,
574, and 575 (Skin Graft for Skin Ulcer or Cellulitis with MCC, with CC
and without CC/MCC, respectively), which are more specific to the care
of stage 3, 4 and unstageable pressure ulcers than MS-DRGs 579, 580,
and 581. Therefore, we examined claims data to identify the average
length of stay and average costs for cases assigned to MS-DRGs 573,
574, and 575. Our findings are shown in the table below.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 573...................................................... 548 15.4 $34,549
MS-DRG 574...................................................... 1,254 9.8 21,251
MS-DRG 575...................................................... 238 5.4 12,006
----------------------------------------------------------------------------------------------------------------
We note that the average costs for cases in MS-DRGs 573 and 574 are
higher than the average costs of the subset of cases with the same
severity reporting a hip muscle transfer and a principal diagnosis in
MDC 9, while the average costs of those cases in MS-DRG 575 are similar
to the average costs of those cases that are currently grouping
[[Page 19226]]
to MS-DRG 983. However, our clinical advisors believe that the cases of
hip muscle transfer represent a distinct, recognizable clinical group
similar to those cases in MS-DRGs 573, 574, and 575, and that the
procedures are clearly related to the principal diagnosis codes.
Therefore, they believe that it is clinically appropriate for the
procedures to group to the same MS-DRGs as the principal diagnoses.
Therefore, we are proposing to add ICD-10-PCS procedure codes 0KXP0ZZ
and 0KXN0ZZ to MDC 9. Under our proposal, cases reporting ICD-10-PCS
procedure code 0KXP0ZZ or 0KXN0ZZ with a principal diagnosis in MDC 9
would group to MS-DRGs 573, 574, and 575.
(2) Gastrointestinal Stromal Tumor
We received a request to reassign cases for gastrointestinal
stromal tumor of the stomach when reported with a procedure describing
laparoscopic bypass of the stomach to jejunum from MS-DRGs 981, 982,
and 983 to MS-DRGs 326, 327, and 328 (Stomach, Esophageal and Duodenal
Procedures with MCC, with CC, and without CC/MCC, respectively) by
adding ICD-10-PCS procedure code 0D164ZA (Bypass stomach to jejunum,
percutaneous endoscopic approach) to MDC 6. ICD-10-CM diagnosis code
C49.A2 (Gastrointestinal stromal tumor of stomach) is used to report
this condition and is currently assigned to MDC 8. ICD-10-PCS procedure
code 0D164ZA is used to report the stomach bypass procedure and is
currently assigned to MDC 5 (Diseases and Disorders of the Circulatory
System), MDC 6 (Diseases and Disorders of the Digestive System), MDC 7
(Diseases and Disorders of the Hepatobiliary System and Pancreas), MDC
10 (Endocrine, Nutritional and Metabolic Diseases and Disorders), and
MDC 17 (Myeloproliferative Diseases and Disorders, Poorly
Differentiated Neoplasms). We refer readers to section II.12.a. of the
preamble of this proposed rule where we discuss our proposal to move
the listed diagnosis codes describing gastrointestinal stromal tumors,
including ICD-10-CM diagnosis code C49.A2, into MDC 6. Therefore, this
proposal, if finalized, would address the cases grouping to MS-DRGs 981
through 983 by instead moving the diagnosis codes to MDC 6, which would
result in the diagnosis code and the procedure code referenced by the
requestor grouping to the same MDC.
(3) Finger Cellulitis
We received a request to reassign cases for cellulitis of the right
finger when reported with a procedure describing open excision of the
right finger phalanx from MS-DRGs 981, 982, and 983 to MS-DRGs 579,
580, and 581 (Other Skin, Subcutaneous Tissue and Breast Procedures
with MCC, with CC, and without CC/MCC, respectively). Currently, ICD-
10-CM diagnosis code L03.011 (Cellulitis of right finger) is used to
report this condition and is currently assigned to MDC 09 in MS-DRGs
573, 574, and 575 (Skin Graft for Skin Ulcer or Cellulitis with MCC,
CC, and without CC/MCC, respectively), 576, 577, and 578 (Skin Graft
except for Skin Ulcer or Cellulitis with MCC, CC, and without CC/MCC,
respectively), and 602 and 603 (Cellulitis with MCC and without MCC,
respectively). ICD-10-PCS procedure code 0PBT0ZZ (Excision of right
finger phalanx, open approach) is used to identify the excision
procedure, and is currently assigned to MDC 03 (Diseases and Disorders
of the Ear, Nose, Mouth and Throat) in MS-DRGs 133 and 134 (Other Ear,
Nose, Mouth and Throat O.R. Procedures with CC/MCC, and without CC/MCC,
respectively); MDC 08 (Diseases and Disorders of the Musculoskeletal
System and Connective Tissue) in MS-DRGs 515, 516, and 517 (Other
Musculoskeletal System and Connective Tissue O.R. Procedures with MCC,
with CC, and without CC/MCC, respectively); MDC 10 (Endocrine,
Nutritional and Metabolic Diseases and Disorders) in MS-DRGs 628, 629,
and 630 (Other Endocrine, Nutritional and Metabolic O.R. Procedures
with MCC, with CC, and without CC/MCC, respectively); MDC 21 (Injuries,
Poisonings and Toxic Effects of Drugs) in MS-DRGs 907, 908, and 909
(Other O.R. Procedures for Injuries with MCC, with CC, and without CC/
MCC, respectively); and MDC 24 (Multiple Significant Trauma) in MS-DRGs
957, 958, and 959 (Other O.R. Procedures for Multiple Significant
Trauma with MCC, with CC, and without CC/MCC, respectively).
Our analysis of this grouping issue confirmed that when a procedure
such as open excision of right finger phalanx (ICD-10-PCS procedure
code 0PBT0ZZ) is reported with a principal diagnosis from MDC 9, such
as cellulitis of the right finger (ICD-10-CM diagnosis code L03.011),
these cases group to MS-DRGs 981, 982, and 983. During our review of
this issue, we also examined claims data for similar procedures
describing excision of phalanges (which are listed in the table below)
and noted the same pattern. We further noted that the ICD-10-PCS
procedure codes describing excision of phalanx procedures with the
diagnostic qualifier ``X'', which are used to report these procedures
when performed for diagnostic purposes, are already assigned to MS-DRGs
579, 580, and 581 (to which the requestor suggested these cases group).
Our clinical advisors also believe that procedures describing resection
of phalanges should be assigned to the same MS-DRG as the excisions,
because the resection procedures would also group to MS-DRGs 981, 982,
and 983 when reported with a principal diagnosis from MDC 9.
------------------------------------------------------------------------
ICD-10-PCS procedure code Code description
------------------------------------------------------------------------
0PBR0ZZ...................... Excision of right thumb phalanx, open
approach.
0PBR3ZZ...................... Excision of right thumb phalanx,
percutaneous approach.
0PBR4ZZ...................... Excision of right thumb phalanx,
percutaneous endoscopic approach.
0PBS0ZZ...................... Excision of left thumb phalanx, open
approach.
0PBS3ZZ...................... Excision of left thumb phalanx,
percutaneous approach.
0PBS4ZZ...................... Excision of left thumb phalanx,
percutaneous endoscopic approach.
0PBT0ZZ...................... Excision of right finger phalanx, open
approach.
0PBT3ZZ...................... Excision of right finger phalanx,
percutaneous approach.
0PBT4ZZ...................... Excision of right finger phalanx,
percutaneous endoscopic approach.
0PBV0ZZ...................... Excision of left finger phalanx, open
approach.
0PBV3ZZ...................... Excision of left finger phalanx,
percutaneous approach.
0PBV4ZZ...................... Excision of left finger phalanx,
percutaneous endoscopic approach.
0PTR0ZZ...................... Resection of right thumb phalanx, open
approach.
0PTS0ZZ...................... Resection of left thumb phalanx, open
approach.
0PTT0ZZ...................... Resection of right finger phalanx, open
approach.
0PTV0ZZ...................... Resection of left finger phalanx, open
approach.
0RTW0ZZ...................... Resection of right finger phalangeal
joint, open approach.
[[Page 19227]]
0RTX0ZZ...................... Resection of left finger phalangeal
joint, open approach.
------------------------------------------------------------------------
As noted in the previous discussion, whenever there is a surgical
procedure reported on the claim that is unrelated to the MDC to which
the case was assigned based on the principal diagnosis, it results in
an MS-DRG assignment to a surgical class referred to as ``unrelated
operating room procedures''.
We examined the claims data for the three codes describing
cellulitis of the finger (ICD-10-CM diagnosis codes L03.011 (Cellulitis
of the right finger), L03.012 (Cellulitis of left finger), and L03.019
(Cellulitis of unspecified finger)) to identify the average length of
stay and average costs for cases reporting a principal diagnosis of
cellulitis of the finger in conjunction with the excision of phalanx
procedures listed in the table above. We note that there were no cases
reporting a principal diagnosis of cellulitis of the finger in
conjunction with the resection of phalanx procedures listed in the
table above.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 981--Cases with principal diagnosis of cellulitis of the 2 3.5 $7,934
finger and excision of phalanx procedure.......................
MS-DRG 982--Cases with principal diagnosis of cellulitis of the 11 4.2 7,244
finger and excision of phalanx procedure.......................
MS-DRG 983--Cases with principal diagnosis of cellulitis of the 4 4.8 8,058
finger and excision of phalanx procedure.......................
----------------------------------------------------------------------------------------------------------------
We also examined the claims data to identify the average length of
stay and average costs for all cases in MS-DRGs 579, 580, and 581. Our
findings are shown in the table in section II.12.A.3.of the preamble of
this proposed rule.
While our clinical advisors noted that the average length of stay
and average costs for cases in MS-DRGs 579, 580, and 581 are generally
higher than the average length of stay and average costs for the subset
of cases reporting a principal diagnosis of cellulitis of the finger
and a procedure describing excision of phalanx, they believe that the
procedures are clearly related to the principal diagnosis codes and,
therefore, it is clinically appropriate for the procedures to group to
the same MS-DRGs as the principal diagnoses, particularly given that
procedures describing excision of phalanx with the diagnostic qualifier
``X'' are already assigned to these MS-DRGs. In addition, our clinical
advisors believe it is clinically appropriate for the procedures
describing resection of phalanx to be assigned to MS-DRGs 579, 580, and
581 as well. Therefore, we are proposing to add the procedure codes
describing excision and resection of phalanx listed above to MS-DRGs
579, 580, and 581. Under this proposal, cases reporting one of the
excision or resection procedures listed in the table above in
conjunction with a principal diagnosis from MDC 9 would group to MS-
DRGs 579, 580, and 581.
(4) Multiple Trauma With Internal Fixation of Joints
We received a request to reassign cases involving multiple
significant trauma with internal fixation of joints from MS-DRGs 981,
982, and 983 to MS-DRGs 957, 958, and 959 (Other O.R. Procedures for
Multiple Significant Trauma with MCC, with CC, and without CC/MCC,
respectively). The requestor provided an example of several ICD-10-CM
diagnosis codes that together described multiple significant trauma in
conjunction with ICD-10-PCS procedure codes beginning with the prefix
``0SH'' and ``0RH'' that describe internal fixation of joints. The
requestor provided several suggestions to address this assignment,
including: Adding all ICD-10-PCS procedure codes in MDC 8 (Diseases and
Disorders of the Musculoskeletal System and Connective Tissue) with the
exception of codes that group to MS-DRG 956 (Limb Reattachment, Hip and
Femur Procedures for Multiple Significant Trauma) to MS-DRGs 957, 958,
and 959; adding codes within the ``0SH'' and ``0RH'' code ranges to MDC
24; and adding ICD-10-PCS procedure codes from all MDCs except those
that currently group to MS-DRG 955 (Craniotomy for Multiple Significant
Trauma) or MS-DRG 956 (Limb Reattachment, Hip and Femur Procedures for
Multiple Significant Trauma) to MS-DRGs 957, 958, and 959.
While we understand the requestor's concern about these multiple
significant trauma cases, we believe any potential reassignment of
these cases requires significant analysis. Similar to our analysis of
MDC 14 (initially discussed at 81 FR 56854), there are multiple logic
lists in MDC 24 that would need to be reviewed. For example, to satisfy
the logic for multiple significant trauma, the logic requires a
diagnosis code from the significant trauma principal diagnosis list and
two or more significant trauma diagnoses from different body sites. The
significant trauma logic lists for the other body sites (which include
head, chest, abdominal, kidney, urinary system, pelvis or spine, upper
limb, and lower limb) allow the extensive list of diagnosis codes
included in the logic to be reported as a principal or secondary
diagnosis. The analysis of the reporting of all the codes as a
principal and/or secondary diagnosis within MDC 24, combined with the
analysis of all of the ICD-10-PCS procedure codes within MDC 8, is
anticipated to be a multi-year effort. Therefore, we plan to consider
this issue for future rulemaking as part of our ongoing analysis of the
unrelated procedure MS-DRGs.
(5) Totally Implantable Vascular Access Devices
We received a request to reassign cases for insertion of totally
implantable vascular access devices (TIVADs) listed in the table below
when reported with principal diagnoses in MDCs other than MDC 9
(Diseases and Disorders of the Skin, Subcutaneous Tissue and Breast)
and MDC 11 (Diseases and Disorders of the Kidney and Urinary Tract)
from MS-DRGs 981 through 983 to a surgical MS-DRG within the
appropriate MDC based on the principal diagnosis. The requestor noted
that the insertion of
[[Page 19228]]
TIVAD procedures are newly designated as O.R. procedures, effective
October 1, 2018, and are assigned to MDCs 9 and 11. The requestor
stated that TIVADs can be placed for a variety of purposes and are used
to treat a wide range of malignancies at various sites and, therefore,
would likely have a relationship to the principal diagnosis within any
MDC. The requestor suggested that procedures describing the insertion
of TIVADs group to surgical MS-DRGs within every MDC (other than MDCs
2, 20, and 22, which do not contain surgical MS-DRGs). The requestor
further stated that the surgical hierarchy should assign more
significant O.R. procedures within each MDC to a higher position than
procedures describing the insertion of TIVADs because these procedures
consume less O.R. resources than more invasive procedures.
------------------------------------------------------------------------
ICD-PCS code Code description
------------------------------------------------------------------------
0JH60WZ................... Insertion of totally implantable vascular
access device into chest subcutaneous
tissue and fascia, open approach.
0JH80WZ................... Insertion of totally implantable vascular
access device into abdomen subcutaneous
tissue and fascia, open approach.
0JHD0WZ................... Insertion of totally implantable vascular
access device into right upper arm
subcutaneous tissue and fascia, open
approach.
0JHF0WZ................... Insertion of totally implantable vascular
access device into left upper arm
subcutaneous tissue and fascia, open
approach.
0JHG0WZ................... Insertion of totally implantable vascular
access device into right lower arm
subcutaneous tissue and fascia, open
approach.
0JHH0WZ................... Insertion of totally implantable vascular
access device into left lower arm
subcutaneous tissue and fascia, open
approach.
0JHL0WZ................... Insertion of totally implantable vascular
access device into right upper leg
subcutaneous tissue and fascia, open
approach.
0JHM0WZ................... Insertion of totally implantable vascular
access device into left upper leg
subcutaneous tissue and fascia, open
approach.
0JHN0WZ................... Insertion of totally implantable vascular
access device into right lower leg
subcutaneous tissue and fascia, open
approach.
0JHP0WZ................... Insertion of totally implantable vascular
access device into left lower leg
subcutaneous tissue and fascia, open
approach.
------------------------------------------------------------------------
While we agree that TIVAD procedures may be performed in connection
with a variety of principal diagnoses, we note that because these
procedures are newly designated as O.R. procedures effective October 1,
2018, we do not yet have sufficient data to analyze this request. We
plan to consider this issue in future rulemaking as part of our ongoing
analysis of the unrelated procedure MS-DRGs.
(6) Gastric Band Procedure Complications or Infections
We received a request to reassign cases for infection or
complications due to gastric band procedures when reported with a
procedure describing revision of or removal of extraluminal device in/
from the stomach from MS-DRGs 987, 988, and 989 (Non-Extensive O.R.
Procedure Unrelated to Principal Diagnosis with MCC, with CC and
without MCC/CC, respectively) to MS-DRGs 326, 327, and 328 (Stomach,
Esophageal, and Duodenal Procedures with MCC, with CC, and without CC/
MCC, respectively). ICD-10-CM diagnosis codes K95.01 (Infection due to
gastric band procedure) and K95.09 (Other complications of gastric band
procedure) are used to report these conditions and are currently
assigned to MDC 6 (Diseases and Disorders of the Digestive System).
ICD-10-PCS procedure codes 0DW64CZ (Revision of extraluminal device in
stomach, percutaneous endoscopic approach) and 0DP64CZ (Removal of
extraluminal device from stomach, percutaneous endoscopic approach) are
used to report the revision of, or removal of, an extraluminal device
in/from the stomach and are currently assigned to MDC 10 (Endocrine,
Nutritional and Metabolic Diseases and Disorders) in MS-DRGs 619, 620,
and 621 (O.R. Procedures for Obesity with MCC with CC, and without CC/
MCC, respectively).
Our analysis of this grouping issue confirmed that when procedures
describing the revision of or removal of an extraluminal device in/from
the stomach are reported with principal diagnoses in MDC 6 (such as
ICD-10-CM diagnosis codes K95.01 and K95.09), in the absence of a
procedure assigned to MDC 6, these cases group to MS-DRGs 987, 988, and
989. As noted in the previous discussion, whenever there is a surgical
procedure reported on the claim that is unrelated to the MDC to which
the case was assigned based on the principal diagnosis, it results in
an MS-DRG assignment to a surgical class referred to as ``unrelated
operating room procedures''.
We examined the claims data to identify cases involving ICD-10-PCS
procedure codes 0DW64CZ and 0DP64CZ reported with a principal diagnosis
of K95.01 or K95.09 that are currently grouping to MS-DRGs 987, 988,
and 989. Our findings are shown in the table below.
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 987--All cases........................................... 8,674 11 $23,885
MS-DRG 987--Cases reporting procedure code 0DW64CZ or 0DP64CZ 20 6.6 17,873
and principal diagnosis code K95.01 or K95.09..................
MS-DRG 988--All cases........................................... 8,391 5.7 12,294
MS-DRG 988--Cases reporting procedure code 0DW64CZ or 0DP64CZ 105 2.2 7,253
and principal diagnosis code K95.01 or K95.09..................
MS-DRG 989--All cases........................................... 1,551 3.1 8,171
MS-DRG 989--Cases reporting procedure code 0DW64CZ or 0DP64CZ 120 1.6 6,010
and principal diagnosis code K95.01 or K95.09..................
----------------------------------------------------------------------------------------------------------------
We also examined the data for cases in MS-DRGs 326, 327, and 328,
and our findings are provided in a table presented in section II.12.a.
of the preamble of this proposed rule. While our clinical advisors
noted that the average length of stay and average costs of cases in MS-
DRGs 326, 327, and 328 are significantly higher than the average length
of stay and average costs for the subset of cases reporting procedure
code 0DW64CZ or 0DP64CZ and a principal diagnosis code of K95.01 or
K95.09, they believe that the procedures are clearly related to the
principal diagnosis and, therefore, it is clinically appropriate for
the procedures to group to the same MS-DRGs as the principal
[[Page 19229]]
diagnoses. In addition, our clinical advisors believe that because
these procedures are intended to treat a complication of a procedure
related to obesity, rather than the obesity itself, they are more
appropriately assigned to stomach, esophageal, and duodenal procedures
(MS-DRGs 326, 327, and 328) in MDC 6 than to procedures for obesity
(MS-DRGs 619, 620, and 621) in MDC 10.
Therefore, we are proposing to add ICD-10-PCS procedure codes
0DW64CZ and 0DP64CZ to MDC 6 in MS-DRGs 326, 327, and 328. Under this
proposal, cases reporting procedure code 0DW64CZ or 0DP64CZ in
conjunction with a principal diagnosis code of K95.01 or K95.09 would
group to MS-DRGs 326, 327, and 328.
(7) Peritoneal Dialysis Catheters
We received a request to reassign cases for complications of
peritoneal dialysis catheters when reported with procedure codes
describing removal, revision, and/or insertion of new peritoneal
dialysis catheters from MS-DRGs 981 through 983 to MS-DRGs 356, 357,
and 358 (Other Digestive System O.R. Procedures with MCC, with CC, and
without CC/MCC, respectively) in MDC 6 by adding the diagnosis codes
describing complications of peritoneal dialysis catheters to MDC 6. We
refer readers to section II.12.a. of the preamble of this proposed rule
in which we describe our analysis of this issue as part of our broader
review of the unrelated MS-DRGs. Our clinical advisors believe it is
more appropriate to add the procedure codes describing removal,
revision, and/or insertion of new peritoneal dialysis catheters to MS-
DRGs 907, 908, and 909 than to move the diagnosis codes describing
complications of peritoneal dialysis catheters to MDC 6 because the
diagnosis codes describe complications, rather than initial placement,
of peritoneal dialysis catheters, and therefore, are most clinically
aligned with the diagnosis codes assigned to MDC 21 (where they are
currently assigned). In section II.12.a. of the preamble of this
proposed rule, we are proposing to add procedures describing removal,
revision, and/or insertion of peritoneal dialysis catheters to MS-DRGs
907, 908, and 909 in MDC 21.
(8) Occlusion of Left Renal Vein
We received a request to reassign cases for varicose veins in the
pelvic region when reported with an embolization procedure from MS-DRGs
981, 982 and 983 (Non-Extensive O.R. Procedure Unrelated to Principal
Diagnosis with MCC, with CC, and without CC/MCC, respectively) to MS-
DRGs 715 and 716 (Other Male Reproductive System O.R. Procedures for
Malignancy with CC/MCC and without CC/MCC, respectively) and MS-DRGs
717 and 718 (Other Male Reproductive System O.R. Procedures Except
Malignancy with CC/MCC and without CC/MCC, respectively) in MDC 12
(Diseases and Disorders of the Male Reproductive System) and to MS-DRGs
749 and 750 (Other Female Reproductive System O.R. Procedures with CC/
MCC and without CC/MCC, respectively) in MDC 13 (Diseases and Disorders
of the Female Reproductive System). ICD-10-CM diagnosis code I86.2
(Pelvic varices) is reported to identify the condition of varicose
veins in the pelvic region and is currently assigned to MDC 12 and to
MDC 13. ICD-10-PCS procedure code 06LB3DZ (Occlusion of left renal vein
with intraluminal device, percutaneous approach) may be reported to
describe an embolization procedure performed for the treatment of
pelvic varices and is currently assigned to MDC 5 (Diseases and
Disorders of the Circulatory System) in MS-DRGs 270, 271, and 272
(Other Major Cardiovascular Procedures with MCC, with CC, and without
CC/MCC, respectively), MDC 6 (Diseases and Disorders of the Digestive
System) in MS-DRGs 356, 357, and 358 (Other Digestive System O.R.
Procedures with MCC, with CC, and without CC/MCC, respectively), MDC 21
(Injuries, Poisonings and Toxic Effects of Drugs) in MS-DRGs 907, 908,
and 909 (Other O.R. Procedures for Injuries with MCC, CC, without CC/
MCC, respectively), and MDC 24 (Multiple Significant Trauma) in MS-DRGs
957, 958, 959 (Other O.R. Procedures for Multiple Significant Trauma
with MCC, with CC, and without CC/MCC, respectively). The requestor
also noted that when this procedure is performed on the right renal
vein (which is reported with ICD-10-PCS code 06L03DZ (Occlusion of
inferior vena cava with intraluminal device, percutaneous approach) for
varicose veins in the pelvic region, the case groups to MS-DRGs 715 and
716 and MS-DRGs 717 and 718 in MDC 12 (for male patients) or MS-DRGs
749 and 750 in MDC 13 (for female patients).
Our analysis of this grouping issue confirmed that when ICD-10-CM
diagnosis code I86.2 (Pelvic varices) is reported with ICD-10-PCS
procedure code 06LB3DZ, the case groups to MS-DRGs 981, 982, and 983.
As noted above in previous discussions, whenever there is a surgical
procedure reported on the claim that is unrelated to the MDC to which
the case was assigned based on the principal diagnosis, it results in
an MS-DRG assignment to a surgical class referred to as ``unrelated
operating room procedures.''
We examined the claims data to identify cases involving procedure
code 06LB3DZ in MS-DRGs 981, 982, and 983 reported with a principal
diagnosis code of I86.2. We found no cases in the claims data.
In the absence of data to examine, our clinical advisors reviewed
this request and agree with the requestor that when the embolization
procedure is performed on the left renal vein (reported with ICD-10-PCS
procedure code 06LB3DZ), it should group to the same MS-DRGs as when it
is performed on the right renal vein. Therefore, we are proposing to
add ICD-10-PCS procedure code 06LB3DZ to MDC 12 in MS-DRGs 715, 716,
717, and 718 and to MDC 13 in MS-DRGs 749 and 750. Under this proposal,
cases reporting ICD-10-CM diagnosis code I86.2 with ICD-10-PCS
procedure code 06LB3DZ would group to MDC 12 (for male patients) or MDC
13 (for female patients).
13. Operating Room (O.R.) and Non-O.R. Issues
a. Background
Under the IPPS MS-DRGs (and former CMS MS-DRGs), we have a list of
procedure codes that are considered operating room (O.R.) procedures.
Historically, we developed this list using physician panels that
classified each procedure code based on the procedure and its effect on
consumption of hospital resources. For example, generally the presence
of a surgical procedure which required the use of the operating room
would be expected to have a significant effect on the type of hospital
resources (for example, operating room, recovery room, and anesthesia)
used by a patient, and therefore, these patients were considered
surgical. Because the claims data generally available do not precisely
indicate whether a patient was taken to the operating room, surgical
patients were identified based on the procedures that were performed.
Generally, if the procedure was not expected to require the use of the
operating room, the patient would be considered medical (non-O.R.).
Currently, each ICD-10-PCS procedure code has designations that
determine whether and in what way the presence of that procedure on a
claim impacts the MS-DRG assignment. First, each ICD-10-PCS procedure
code is either designated as an O.R. procedure for purposes of MS-DRG
assignment
[[Page 19230]]
(``O.R. procedures'') or is not designated as an O.R. procedure for
purposes of MS-DRG assignment (``non-O.R. procedures''). Second, for
each procedure that is designated as an O.R. procedure, that O.R.
procedure is further classified as either extensive or non-extensive.
Third, for each procedure that is designated as a non-O.R. procedure,
that non-O.R. procedure is further classified as either affecting the
MS-DRG assignment or not affecting the MS-DRG assignment. We refer to
these designations that do affect MS-DRG assignment as ``non-O.R.
affecting the MS-DRG.'' For new procedure codes that have been
finalized through the ICD-10 Coordination and Maintenance Committee
meeting process and are proposed to be classified as O.R. procedures or
non-O.R. procedures affecting the MS-DRG, our clinical advisors
recommend the MS-DRG assignment which is then made available in
association with the proposed rule (Table 6B.--New Procedure Codes) and
subject to public comment. These proposed assignments are generally
based on the assignment of predecessor codes or the assignment of
similar codes. For example, we generally examine the MS-DRG assignment
for similar procedures, such as the other approaches for that
procedure, to determine the most appropriate MS-DRG assignment for
procedures proposed to be newly designated as O.R. procedures. As
discussed in section II.F.15. of the preamble of this proposed rule, we
are making Table 6B.--New Procedure Codes--FY 2020 available on the CMS
website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/. We also refer readers to the ICD-
10 MS-DRG Version 36 Definitions Manual at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/MS-DRG-Classifications-and-Software.html for detailed information regarding
the designation of procedures as O.R. or non-O.R. (affecting the MS-
DRG) in Appendix E--Operating Room Procedures and Procedure Code/MS-DRG
Index.
Given the long period of time that has elapsed since the original
O.R. (extensive and non-extensive) and non-O.R. designations were
established, the incremental changes that have occurred to these O.R.
and non-O.R. procedure code lists, and changes in the way inpatient
care is delivered, we plan to conduct a comprehensive, systematic
review of the ICD-10-PCS procedure codes. This will be a multi-year
project during which we will also review the process for determining
when a procedure is considered an operating room procedure. For
example, we may restructure the current O.R. and non-O.R. designations
for procedures by leveraging the detail that is now available in the
ICD-10 claims data. We refer readers to the discussion regarding the
designation of procedure codes in the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38066) where we stated that the determination of when a
procedure code should be designated as an O.R. procedure has become a
much more complex task. This is, in part, due to the number of various
approaches available in the ICD-10-PCS classification, as well as
changes in medical practice. While we have typically evaluated
procedures on the basis of whether or not they would be performed in an
operating room, we believe that there may be other factors to consider
with regard to resource utilization, particularly with the
implementation of ICD-10. Therefore, we are again soliciting public
comments on what factors or criteria to consider in determining whether
a procedure is designated as an O.R. procedure in the ICD-10-PCS
classification system for future consideration. Commenters should
submit their recommendations to the following email address:
[email protected] by November 1, 2019.
As a result of this planned review and potential restructuring,
procedures that are currently designated as O.R. procedures may no
longer warrant that designation, and conversely, procedures that are
currently designated as non-O.R. procedures may warrant an O.R. type of
designation. We intend to consider the resources used and how a
procedure should affect the MS-DRG assignment. We may also consider the
effect of specific surgical approaches to evaluate whether to subdivide
specific MS-DRGs based on a specific surgical approach. We plan to
utilize our available MedPAR claims data as a basis for this review and
the input of our clinical advisors. As part of this comprehensive
review of the procedure codes, we also intend to evaluate the MS-DRG
assignment of the procedures and the current surgical hierarchy because
both of these factor into the process of refining the ICD-10 MS-DRGs to
better recognize complexity of service and resource utilization.
We will provide more detail on this analysis and the methodology
for conducting this review in future rulemaking. As we continue to
develop our process and methodology, as noted above, we are soliciting
public comments on other factors to consider in our refinement efforts
to recognize and differentiate consumption of resources for the ICD-10
MS-DRGs.
In this proposed rule, we are addressing requests that we received
regarding changing the designation of specific ICD-10-PCS procedure
codes from non-O.R. to O.R. procedures, or changing the designation
from O.R. procedure to non-O.R. procedure. Below we discuss the process
that was utilized for evaluating the requests that were received for FY
2020 consideration. For each procedure, our clinical advisors
considered:
Whether the procedure would typically require the
resources of an operating room;
Whether it is an extensive or a nonextensive procedure;
and
To which MS-DRGs the procedure should be assigned.
We note that many MS-DRGs require the presence of any O.R.
procedure. As a result, cases with a principal diagnosis associated
with a particular MS-DRG would, by default, be grouped to that MS-DRG.
Therefore, we do not list these MS-DRGs in our discussion below.
Instead, we only discuss MS-DRGs that require explicitly adding the
relevant procedures codes to the GROUPER logic in order for those
procedure codes to affect the MS-DRG assignment as intended. In cases
where we are proposing to change the designation of procedure codes
from non-O.R. procedures to O.R. procedures, we also are proposing one
or more MS-DRGs with which these procedures are clinically aligned and
to which the procedure code would be assigned.
In addition, cases that contain O.R. procedures will map to MS-DRG
981, 982, or 983 (Extensive O.R. Procedure Unrelated to Principal
Diagnosis with MCC, with CC, and without CC/MCC, respectively) or MS-
DRG 987, 988, or 989 (Non-Extensive O.R. Procedure Unrelated to
Principal Diagnosis with MCC, with CC, and without CC/MCC,
respectively) when they do not contain a principal diagnosis that
corresponds to one of the MDCs to which that procedure is assigned.
These procedures need not be assigned to MS-DRGs 981 through 989 in
order for this to occur. Therefore, if requestors included some or all
of MS-DRGs 981 through 989 in their request or included MS-DRGs that
require the presence of any O.R. procedure, we did not specifically
address that aspect in summarizing their request or our response to the
request in the section below.
For procedures that would not typically require the resources of an
operating room, our clinical advisors
[[Page 19231]]
determined if the procedure should affect the MS-DRG assignment.
We received several requests to change the designation of specific
ICD-10-PCS procedure codes from non-O.R. procedures to O.R. procedures,
or to change the designation from O.R. procedures to non-O.R.
procedures. Below we detail and respond to some of those requests. With
regard to the remaining requests, our clinical advisors believe it is
appropriate to consider these requests as part of our comprehensive
review of the procedure codes discussed above.
b. O.R. Procedures to Non-O.R. Procedures
(1) Bronchoalveolar Lavage
Bronchoalveolar lavage (BAL) is a diagnostic procedure in which a
bronchoscope is passed through the patient's mouth or nose into the
lungs. A small amount of fluid is squirted into an area of the lung and
then collected for examination. Two requestors identified 13 ICD-10-PCS
procedure codes describing BAL procedures that generally can be
performed at bedside and would not require the resources of an
operating room. In the ICD-10 MS-DRG Version 36 Definitions Manual,
these 13 ICD-10-PCS procedure codes are currently recognized as O.R.
procedures for purposes of MS-DRG assignment.
We agree with the requestors that these procedures do not typically
require the resources of an operating room. Therefore, we are proposing
to remove the following 13 procedure codes from the FY 2020 ICD-10 MS-
DRGs Version 37 Definitions Manual in Appendix E--Operating Room
Procedures and Procedure Code/MS-DRG Index as O.R. procedures. Under
this proposal, these procedures would no longer impact MS-DRG
assignment.
------------------------------------------------------------------------
ICD-10-PCS code Code description
------------------------------------------------------------------------
0B9H8ZX................... Drainage of lung lingula, via natural or
artificial opening endoscopic, diagnostic.
0B9K8ZX................... Drainage of right lung, via natural or
artificial opening endoscopic, diagnostic.
0B9L8ZX................... Drainage of left lung, via natural or
artificial opening endoscopic, diagnostic.
0B9M8ZX................... Drainage of bilateral lungs, via natural or
artificial opening endoscopic, diagnostic.
0B9C8ZZ................... Drainage of right upper lung lobe, via
natural or artificial opening endoscopic.
0B9D8ZZ................... Drainage of right middle lung lobe, via
natural or artificial opening endoscopic.
0B9F8ZZ................... Drainage of right lower lung lobe, via
natural or artificial opening endoscopic.
0B9G8ZZ................... Drainage of left upper lung lobe, via
natural or artificial opening endoscopic.
0B9H8ZZ................... Drainage of Lung Lingula, via natural or
artificial opening endoscopic.
0B9J8ZZ................... Drainage of left lower lung lobe, via
natural or artificial opening endoscopic.
0B9K8ZZ................... Drainage of right lung, via natural or
artificial opening endoscopic.
0B9L8ZZ................... Drainage of left lung, via natural or
artificial opening endoscopic.
0B9M8ZZ................... Drainage of bilateral lungs, via natural or
artificial opening endoscopic.
------------------------------------------------------------------------
(2) Percutaneous Drainage of Pelvic Cavity
One requestor identified two ICD-10-PCS procedure codes that
describe procedures involving percutaneous drainage of the pelvic
cavity. The two ICD-10-PCS procedure codes are: 0W9J3ZX (Drainage of
pelvic cavity, percutaneous approach, diagnostic) and 0W9J3ZZ (Drainage
of pelvic cavity, percutaneous approach).
ICD-10-PCS procedure code 0W9J3ZX is currently recognized as an
O.R. procedure for purposes of MS-DRG assignment, while the
nondiagnostic ICD-10-PCS procedure code 0W9J3ZZ is not recognized as an
O.R. procedure for purposes of MS-DRG assignment. The requestor stated
that percutaneous drainage procedures of the pelvic cavity for both
diagnostic and nondiagnostic purposes are not complex procedures and
both types of procedures are usually performed in a radiology suite.
The requestor stated that both procedures should be classified as non-
O.R. procedures.
We agree with the requestor that these procedures do not typically
require the resources of an operating room. Therefore, we are proposing
to remove procedure code 0W9J3ZX from the FY 2020 ICD-10 MS-DRG Version
37 Definitions Manual in Appendix E--Operating Room Procedures and
Procedure Code/MS-DRG Index as an O.R. procedure. Under this proposal,
this procedure would no longer impact MS-DRG assignment.
(3) Percutaneous Removal of Drainage Device
One requestor identified two ICD-10-PCS procedure codes that
describe procedures involving the percutaneous placement and removal of
drainage devices from the pancreas. These two ICD-10-PCS procedure
codes are: 0FPG30Z (Removal of drainage device from pancreas,
percutaneous approach) and 0F9G30Z (Drainage of pancreas with drainage
device, percutaneous approach). ICD-10-PCS procedure code 0FPG30Z is
currently recognized as an O.R. procedure for purposes of MS-DRG
assignment, while ICD-10-PCS procedure code 0F9G30Z is not recognized
as an O.R. procedure for purposes of MS-DRG assignment. The requestor
stated that percutaneous placement of drains is typically performed in
a radiology suite under image guidance and removal of a drain would not
be more resource intensive than its placement.
We agree with the requestor that these procedures do not typically
require the resources of an operating room. Therefore, we are proposing
to remove ICD-10-PCS procedure code 0FPG30Z from the FY 2020 ICD-10 MS-
DRG Version 37 Definitions Manual in Appendix E--Operating Room
Procedures and Procedure Code/MS-DRG Index as an O.R. procedure. Under
this proposal, this procedure would no longer impact MS-DRG assignment.
c. Non-O.R. Procedures to O.R. Procedures
(1) Percutaneous Occlusion of Gastric Artery
One requestor identified two ICD-10-PCS procedure codes that
describe percutaneous occlusion and restriction of the gastric artery
with intraluminal device, ICD-10-PCS procedure codes 04L23DZ (Occlusion
of gastric artery with intraluminal device, percutaneous approach) and
04V23DZ (Restriction of gastric artery with intraluminal device,
percutaneous approach), that the requestor stated are currently not
recognized as O.R. procedures for purposes of MS-DRG assignment. The
requestor noted that transcatheter endovascular embolization of the
gastric artery with intraluminal devices uses comparable resources to
transcatheter endovascular embolization of the gastroduodenal artery.
The requestor stated that ICD-10-PCS procedure codes 04L33DZ (Occlusion
of hepatic
[[Page 19232]]
artery with intraluminal device, percutaneous approach) and 04V33DZ
(Restriction of hepatic artery with intraluminal device, percutaneous
approach) are recognized as O.R. procedures for purposes of MS-DRG
assignment, and ICD-10-PCS procedure codes 04L23DZ and 04V23DZ should
therefore also be recognized as O.R. procedures for purposes of MS-DRG
assignment. We note that, contrary to the requestor's statement, ICD-
10-PCS procedure code 04V23DZ is already recognized as an O.R.
procedure for purposes of MS-DRG assignment.
We agree with the requestor that ICD-10-PCS procedure code 04L23DZ
typically requires the resources of an operating room. Therefore, we
are proposing to add this code to the FY 2020 ICD-10 MS-DRG Version 37
Definitions Manual in Appendix E--Operating Room Procedures and
Procedure Code/MS-DRG Index as an O.R. procedure assigned to MS-DRGs
270, 271, and 272 (Other Major Cardiovascular Procedures with MCC, CC,
without CC/MCC, respectively) in MDC 05 (Diseases and Disorders of the
Circulatory System); MS-DRGs 356, 357, and 358 (Other Digestive System
O.R. Procedures, with MCC, CC, without CC/MCC, respectively) in MDC 06
(Diseases and Disorders of the Digestive System); MS-DRGs 907, 908, and
909 (Other O.R. Procedures for Injuries with MCC, CC, without CC/MCC,
respectively) in MDC 21 (Injuries, Poisonings and Toxic Effects of
Drugs); and MS-DRGs 957, 958, and 959 (Other O.R. Procedures for
Multiple Significant Trauma with MCC, CC, without CC/MCC, respectively)
in MDC 24 (Multiple Significant Trauma).
(2) Endoscopic Insertion of Endobronchial Valves
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41257), we discussed
a comment we received in response to the FY 2019 IPPS/LTCH PPS proposed
rule regarding eight ICD-10-PCS procedure codes that describe
endobronchial valve procedures that the commenter believed should be
designated as O.R. procedures. The codes are identified in the
following table.
------------------------------------------------------------------------
ICD-10-PCS code Code description
------------------------------------------------------------------------
0BH38GZ................... Insertion of endobronchial valve into right
main bronchus, via natural or artificial
opening endoscopic.
0BH48GZ................... Insertion of endobronchial valve into right
upper lobe bronchus, via natural or
artificial opening endoscopic.
0BH58GZ................... Insertion of endobronchial valve into right
middle lobe bronchus, via natural or
artificial opening endoscopic.
0BH68GZ................... Insertion of endobronchial valve into right
lower lobe bronchus, via natural or
artificial opening endoscopic.
0BH78GZ................... Insertion of endobronchial valve into left
main bronchus, via natural or artificial
opening endoscopic.
0BH88GZ................... Insertion of endobronchial valve into left
upper lobe bronchus, via natural or
artificial opening endoscopic.
0BH98GZ................... Insertion of endobronchial valve into
lingula bronchus, via natural or artificial
opening endoscopic.
0BHB8GZ................... Insertion of endobronchial valve into left
lower lobe bronchus, via natural or
artificial opening endoscopic.
------------------------------------------------------------------------
The commenter stated that these procedures are most commonly
performed in the O.R., given the need for better monitoring and support
through the process of identifying and occluding a prolonged air leak
using endobronchial valve technology. The commenter also noted that
other endobronchial valve procedures have an O.R. designation. We noted
that, in the ICD-10 MS-DRGs Version 35, these eight ICD-10-PCS
procedure codes are not recognized as O.R. procedures for purposes of
MS-DRG assignment. The commenter requested that these eight procedure
codes be assigned to MS-DRG 163 (Major Chest Procedures with MCC) due
to similar cost and resource use. As discussed in the FY 2019 IPPS/LTCH
PPS final rule, our clinical advisors disagreed with the commenter that
the eight identified procedures typically require the use of an
operating room, and believed that these procedures would typically be
performed in an endoscopy suite. Therefore, we did not finalize a
change to the eight procedure codes describing endoscopic insertion of
an endobronchial valve listed in the table above for FY 2019 under the
ICD-10 MS-DRGs Version 36.
After publication of the FY 2019 IPPS/LTCH PPS final rule, we
received feedback from several stakeholders expressing continued
concern with the designation of the eight ICD-10-PCS procedure codes
describing the endoscopic insertion of an endobronchial valve listed in
the table above, including requests to reconsider the designation of
these codes for FY 2020. Some requestors stated that while they
appreciated CMS' attention to the issue, they believed that important
clinical and financial factors had been overlooked. The requestors
noted that while the site of care is an important consideration for MS-
DRG assignment, there are other clinical factors such as case
complexity, patient health risk and the need for anesthesia that also
affect hospital resource consumption and should influence MS-DRG
assignment. With regard to complexity, the requestors stated that many
of these patients are high-risk, often recovering from major lung
surgery and have significantly compromised respiratory function.
According to one requestor, these patients may have major
comorbidities, such as cancer or emphysema contributing to longer
lengths of stay in the hospital. This requestor acknowledged that
procedures performed for the endoscopic insertion of an endobronchial
valve are often, but not always, performed in the O.R., however, the
requestor also noted this should not preclude the designation of these
procedures as O.R. procedures since there have been other examples of
reclassification requests where the combination of factors, such as
treatment difficulty, resource utilization, patient health status, and
anesthesia administration were considered in the decision to change the
designation for a procedure from non-O.R. to O.R. Another requestor
stated that CMS' current designation of a procedure involving the
endoscopic insertion of an endobronchial valve as a non-O.R. procedure
is not reflective of actual practice and this designation has payment
consequences that may affect access to the treatment for a vulnerable
patient population, with limited treatment options. The requestor
recommended that procedures involving the endoscopic insertion of an
endobronchial valve should be designated as O.R. procedures and
assigned to MS-DRGs 163, 164, and 165 (Major Chest Procedures with MCC,
with CC and without CC/MCC, respectively). In addition, a few of the
requestors also conducted their own analyses and indicated that if
procedures involving the endoscopic insertion of an endobronchial valve
were to be assigned to MS-DRGs 163, 164, and 165, the average costs of
the cases reporting a procedure code describing the endoscopic
insertion of an endobronchial valve would still be higher compared to
all the cases in the assigned MS-DRG.
We examined claims data from the September 2018 update of the FY
2018 MedPAR file for MS-DRGs 163, 164 and
[[Page 19233]]
165 to identify cases reporting any one of the eight procedure codes
listed in the above table describing the endoscopic insertion of an
endobronchial valve. Cases reporting one of these procedure codes would
be assigned to MS-DRG 163, 164, or 165 if at least one other procedure
that is designated as an O.R. procedure and assigned to these MS-DRGs
was also reported on the claim. In addition, cases reporting a
procedure code describing the endoscopic insertion of an endobronchial
valve with a different surgical approach are assigned to MS-DRGs 163,
164, and 165. Our findings are shown in the following table.
MS-DRGs for Major Chest Procedures With Endoscopic Insertion of Endobronchial Valve Procedures
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 163--All cases........................................... 10,812 11.6 $33,433
MS-DRG 163--Cases reporting a procedure for the endoscopic 49 21.1 53,641
insertion of an endobronchial valve............................
MS-DRG 164--All cases........................................... 14,800 5.6 18,202
MS-DRG 164--Cases reporting a procedure for the endoscopic 23 14 37,287
insertion of an endobronchial valve............................
MS-DRG 165--All cases........................................... 7,907 3.3 13,408
MS-DRG 165--Cases reporting a procedure for the endoscopic 3 18.3 39,249
insertion of an endobronchial valve............................
----------------------------------------------------------------------------------------------------------------
We found a total of 10,812 cases in MS-DRG 163 with an average
length of stay of 11.6 days and average costs of $33,433. Of those
10,812 cases, we found 49 cases reporting a procedure for the
endoscopic insertion of an endobronchial valve with an average length
of stay of 21.1 days and average costs of $53,641. For MS-DRG 164, we
found a total of 14,800 cases with an average length of stay of 5.6
days and average costs of $18,202. Of those 14,800 cases, we found 23
cases reporting a procedure for the endoscopic insertion of an
endobronchial valve with an average length of stay of 14 days and
average costs of $37,287. For MS-DRG 165, we found a total of 7,907
cases with an average length of stay of 3.3 days and average costs of
$13,408. Of those 7,907 cases, we found 3 cases reporting a procedure
for the endoscopic insertion of an endobronchial valve with an average
length of stay of 18.3 days and average costs of $39,249.
We also examined claims data to identify any cases reporting any
one of the eight procedure codes listed in the table above describing
the endoscopic insertion of an endobronchial valve within MS-DRGs 166,
167, and 168 (Other Respiratory System O.R. Procedures with MCC, with
CC, and without CC/MCC, respectively). Cases reporting one of these
procedure codes would be assigned to MS-DRG 166, 167, or 168 if at
least one other procedure that is designated as an O.R. procedure and
assigned to these MS-DRGs was also reported on the claim. In addition,
MS-DRGs 166, 167, and 168 are the other surgical MS-DRGs where cases
reporting a respiratory diagnosis within MDC 4 would be assigned. Our
findings are shown in the following table.
MS-DRGs for Other Respiratory System O.R. Procedures With Endoscopic Insertion of Endobronchial Valve
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 166--All cases........................................... 16,050 10.6 $26,645
MS-DRG 166--Cases reporting a procedure for the endoscopic 11 25.7 71,700
insertion of an endobronchial valve............................
MS-DRG 167--All cases........................................... 8,165 5.3 13,687
MS-DRG 167--Cases reporting a procedure for the endoscopic 4 10 28,847
insertion of an endobronchial valve............................
MS-DRG 168--All cases........................................... 2,430 2.8 9,645
----------------------------------------------------------------------------------------------------------------
We found a total of 16,050 cases in MS-DRG 166 with an average
length of stay of 10.6 days and average costs of $26,645. Of those
16,050 cases, we found 11 cases reporting a procedure for the
endoscopic insertion of an endobronchial valve with an average length
of stay of 25.7 days and average costs of $71,700. For MS-DRG 167, we
found a total of 8,165 cases with an average length of stay of 5.3 days
and average costs of $13,687. Of those 8,165 cases, we found 4 cases
reporting a procedure for the endoscopic insertion of an endobronchial
valve with an average length of stay of 10 days and average costs of
$28,847. For MS-DRG 168, we found a total of 2,430 cases with an
average length of stay of 2.8 days and average costs of $9,645. Of
those 2,430 cases, we did not find any cases reporting a procedure for
the endoscopic insertion of an endobronchial valve.
The results of our data analysis indicate that cases reporting a
procedure for the endoscopic insertion of an endobronchial valve in MS-
DRGs 163, 164, 165, 166, and 167 have a longer length of stay and
higher average costs when compared to all the cases in their assigned
MS-DRG. Because the data are based on surgical MS-DRGs 163, 164, 165,
166 and 167, and the procedure codes for endoscopic insertion of an
endobronchial valve are currently designated as non-O.R. procedures,
there was at least one other O.R. procedure reported on the claim
resulting in case assignment to one of those MS-DRGs. Our clinical
advisors indicated that because there was another O.R. procedure
reported, the insertion of the endobronchial valve procedure may or may
not have been
[[Page 19234]]
the main determinant of resource use for those cases. Therefore, we
conducted further analysis to evaluate cases for which no other O.R.
procedure was performed with the endoscopic insertion of an
endobronchial valve and case assignment resulted in a medical MS-DRG.
Our findings are shown in the following table.
Medical MS-DRGs With Insertion of Endobronchial Valve Procedures
----------------------------------------------------------------------------------------------------------------
Number of Average length
MS-DRG cases of stay Average costs
----------------------------------------------------------------------------------------------------------------
MS-DRG 069 (Transient Ischemia without Thrombolytic)............ 1 9 $26,002
MS-DRG 177 (Respiratory Infections and Inflammations with MCC).. 11 19.5 33,877
MS-DRG 178 (Respiratory Infections and Inflammations with CC)... 4 10.8 20,109
MS-DRG 180 (Respiratory Neoplasms with MCC)..................... 2 11.5 19,273
MS-DRG 181 (Respiratory Neoplasms with MCC)..................... 1 3 12,641
MS-DRG 186 (Pleural Effusion with MCC).......................... 1 8 23,609
MS-DRG 187 (Pleural Effusion with CC)........................... 1 18 49,214
MS-DRG 189 (Pulmonary Edema and Respiratory Failure)............ 2 13.5 65,431
MS-DRG 190 (Chronic Obstructive Pulmonary Disease with MCC)..... 2 9 39,925
MS-DRG 191 (Chronic Obstructive Pulmonary Disease with CC)...... 1 15 55,958
MS-DRG 192 (Chronic Obstructive Pulmonary Disease without CC/ 1 5 10,394
MCC)...........................................................
MS-DRG 193 (Simple Pneumonia and Pleurisy with MCC)............. 1 18 27,182
MS-DRG 197 (Interstitial Lung Disease with CC).................. 1 12 11,458
MS-DRG 199 (Pneumothorax with MCC).............................. 28 16.4 38,384
MS-DRG 200 (Pneumothorax with CC)............................... 11 8.3 20,764
MS-DRG 201 (Pneumothorax without CC/MCC)........................ 2 10 20,243
MS-DRG 205 (Other Respiratory System Diagnoses with MCC)........ 2 4.5 10,851
MS-DRG 207 (Respiratory System Diagnosis with Ventilation 4 20 67,299
Support >96 Hours or Peripheral Extracorporeal Membrane
Oxygenation (ECMO))............................................
MS-DRG 208 (Respiratory System Diagnosis with Ventilation 8 13.6 32,533
Support [lE]96 Hours or Peripheral Extracorporeal Membrane
Oxygenation (ECMO))............................................
MS-DRG 815 (Reticuloendothelial and Immunity Disorders with CC). 1 5 17,379
MS-DRG 871 (Septicemia or Severe Sepsis without Mechanical 3 15 39,706
Ventilation >96 Hours with MCC)................................
MS-DRG 919 (Complications of Treatment with MCC)................ 2 5 36,143
MS-DRG 920 (Complications of Treatment with CC)................. 1 5 14,923
-----------------------------------------------
Total....................................................... 91 13.7 33,377
----------------------------------------------------------------------------------------------------------------
The data indicate that there is a wide variation in the average
length of stay and average costs for cases reporting a procedure for
the endoscopic insertion of an endobronchial valve, with volume
generally low across MS-DRGs. As shown in the table, for several of the
medical MS-DRGs, there was only one case reporting a procedure for the
endoscopic insertion of an endobronchial valve. The highest volume of
cases reporting a procedure for the endoscopic insertion of an
endobronchial valve was found in MS-DRG 199 (Pneumothorax with MCC)
with a total of 28 cases with an average length of stay of 16.4 days
and average costs of $38,384. The highest average costs and longest
average length of stay for cases reporting a procedure for the
endoscopic insertion of an endobronchial valve was $67,299 in MS-DRG
207 (Respiratory System Diagnosis with Ventilator Support >96 Hours or
Peripheral Extracorporeal Membrane Oxygenation (ECMO)) where 4 cases
were found with an average length of stay of 20 days. Overall, there
was a total of 91 cases reporting the insertion of an endobronchial
valve procedure with an average length of stay of 13.7 days and average
costs of $33,377 across the medical MS-DRGs.
Our clinical advisors agree that the subset of patients who undergo
endoscopic insertion of an endobronchial procedure are complex and may
have multiple comorbidities such as severe underlying lung disease that
impact the hospital length of stay. They also believe that, as we begin
the process of refining how procedure codes may be classified under
ICD-10-PCS, including designation of a procedure as O.R. or non-O.R.,
we should take into consideration whether the procedure is driving
resource use for the admission. (We refer the reader to section
II.F.13.a. of the preamble of this proposed rule for the discussion of
our plans to conduct a comprehensive review of the ICD-10-PCS procedure
codes). Based on the claims data analysis, which show a wide variation
in average costs for cases reporting endoscopic insertion of an
endobronchial valve without an O.R. procedure, our clinical advisors
are not convinced that endoscopic insertion of an endobronchial valve
is a key contributing factor to the consumption of resources as
reflected in the data. They also believe, in review of the procedures
that are currently assigned to MS-DRGs 163, 164, 165, 166, 167, and
168, that further refinement of these MS-DRGs may be warranted. For
these reasons, at this time, our clinical advisors do not support
designating endoscopic insertion of an endobronchial valve as an O.R.
procedure, nor do they support assignment of these procedures to MS-
DRGs 163, 164, and 165 until additional analyses can be performed for
this subset of patients as part of the comprehensive procedure code
review.
For the reasons described above, we are not proposing to change the
current non-O.R. designation of the eight ICD-10-PCS procedure codes
that describe endoscopic insertion of an endobronchial valve. However,
because we agree that endoscopic insertion of an endobronchial valve
procedures are performed on clinically complex patients, we believe it
may be appropriate to consider designating these procedures as non-O.R.
affecting specific MS-DRGs for FY 2020. Therefore, we are requesting
public comment on designating these procedure codes as non-O.R.
procedures affecting the MS-DRG assignment, including the specific MS-
DRGs that cases reporting the endoscopic insertion
[[Page 19235]]
of an endobronchial valve should affect for FY 2020. As noted, it is
not clear based on the claims data to what degree the endoscopic
insertion of an endobronchial valve is a contributing factor for the
consumption of resources for these clinically complex patients and
given the potential refinement that may be needed for MS-DRGs 163, 164,
165, 166, 167, and 168, we are soliciting comment on whether cases
reporting the endoscopic insertion of an endobronchial valve should
affect any of these MS-DRGs or other MS-DRGs.
14. Proposed Changes to the MS-DRG Diagnosis Codes for FY 2020
a. Background of the CC List and the CC Exclusions List
Under the IPPS MS-DRG classification system, we have developed a
standard list of diagnoses that are considered CCs. Historically, we
developed this list using physician panels that classified each
diagnosis code based on whether the diagnosis, when present as a
secondary condition, would be considered a substantial complication or
comorbidity. A substantial complication or comorbidity was defined as a
condition that, because of its presence with a specific principal
diagnosis, would cause an increase in the length-of-stay by at least 1
day in at least 75 percent of the patients. However, depending on the
principal diagnosis of the patient, some diagnoses on the basic list of
complications and comorbidities may be excluded if they are closely
related to the principal diagnosis. In FY 2008, we evaluated each
diagnosis code to determine its impact on resource use and to determine
the most appropriate CC subclassification (non-CC, CC, or MCC)
assignment. We refer readers to sections II.D.2. and 3. of the preamble
of the FY 2008 IPPS final rule with comment period for a discussion of
the refinement of CCs in relation to the MS-DRGs we adopted for FY 2008
(72 FR 47152 through 47171).
b. Overview of Comprehensive CC/MCC Analysis
In the FY 2008 IPPS/LTCH PPS final rule (72 FR 47159), we described
our process for establishing three different levels of CC severity into
which we would subdivide the diagnosis codes. The categorization of
diagnoses as an MCC, a CC, or a non-CC was accomplished using an
iterative approach in which each diagnosis was evaluated to determine
the extent to which its presence as a secondary diagnosis resulted in
increased hospital resource use. We refer readers to the FY 2008 IPPS/
LTCH PPS final rule (72 FR 47159) for a complete discussion of our
approach. Since this comprehensive analysis was completed for FY 2008,
we have evaluated diagnosis codes individually when receiving requests
to change the severity level of specific diagnosis codes. However,
given the transition to ICD-10-CM and the significant changes that have
occurred to diagnosis codes since this review, we believe it is
necessary to conduct a comprehensive analysis once again. We have
completed this analysis and we are discussing our findings in this
proposed rule. We used the same methodology utilized in FY 2008 to
conduct this analysis, as described below.
For each secondary diagnosis, we measured the impact in resource
use for the following three subsets of patients:
(1) Patients with no other secondary diagnosis or with all other
secondary diagnoses that are non-CCs.
(2) Patients with at least one other secondary diagnosis that is a
CC but none that is an MCC.
(3) Patients with at least one other secondary diagnosis that is an
MCC.
Numerical resource impact values were assigned for each diagnosis
as follows:
------------------------------------------------------------------------
Value Meaning
------------------------------------------------------------------------
0................................ Significantly below expected value
for the non-CC subgroup.
1................................ Approximately equal to expected value
for the non-CC subgroup.
2................................ Approximately equal to expected value
for the CC subgroup.
3................................ Approximately equal to expected value
for the MCC subgroup.
4................................ Significantly above the expected
value for the MCC subgroup.
------------------------------------------------------------------------
Each diagnosis for which Medicare data were available was evaluated
to determine its impact on resource use and to determine the most
appropriate CC subclass (non-CC, CC, or MCC) assignment. In order to
make this determination, the average cost for each subset of cases was
compared to the expected cost for cases in that subset. The following
format was used to evaluate each diagnosis:
--------------------------------------------------------------------------------------------------------------------------------------------------------
--------------------------------------------------------------------------------------------------------------------------------------------------------
Code Diagnosis Cnt1 C1 Cnt2 C2 Cnt3 C3
--------------------------------------------------------------------------------------------------------------------------------------------------------
Count (Cnt) is the number of patients in each subset and C1, C2,
and C3 are a measure of the impact on resource use of patients in each
of the subsets. The C1, C2, and C3 values are a measure of the ratio of
average costs for patients with these conditions to the expected
average cost across all cases. The C1 value reflects a patient with no
other secondary diagnosis or with all other secondary diagnoses that
are non-CCs. The C2 value reflects a patient with at least one other
secondary diagnosis that is a CC but none that is a major CC. The C3
value reflects a patient with at least one other secondary diagnosis
that is a major CC. A value close to 1.0 in the C1 field would suggest
that the code produces the same expected value as a non-CC diagnosis.
That is, average costs for the case are similar to the expected average
costs for that subset and the diagnosis is not expected to increase
resource usage. A higher value in the C1 (or C2 and C3) field suggests
more resource usage is associated with the diagnosis and an increased
likelihood that it is more like a CC or major CC than a non-CC. Thus, a
value close to 2.0 suggests the condition is more like a CC than a non-
CC but not as significant in resource usage as an MCC. A value close to
3.0 suggests the condition is expected to consume resources more
similar to an MCC than a CC or non-CC. For example, a C1 value of 1.8
for a secondary diagnosis means that for the subset of patients who
have the secondary diagnosis and have either no other secondary
diagnosis present, or all the other secondary diagnoses present are
non-CCs, the impact on resource use of the secondary diagnoses is
greater than the expected value for a non-CC by an amount equal to 80
percent of the difference between the expected value of a CC and a non-
CC (that is, the impact on resource use of the secondary diagnosis is
closer to a CC than a non-CC).
These mathematical constructs are used as guides in conjunction
with the judgment of our clinical advisors to classify each secondary
diagnosis reviewed as an MCC, a CC, or a non-CC. Our clinical advisors
reviewed the resource use impact reports and suggested modifications to
the initial CC subclass assignments when clinically appropriate.
c. Proposed Changes to Severity Levels
(1) Summary of Proposed Changes
The diagnosis codes for which we are proposing a change in severity
level designation as a result of the analysis
[[Page 19236]]
described in this proposed rule are shown in Table 6P.1c. (which is
available via the internet on the CMS website at: https://www.cms.hhs.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/). Using the method described above to
perform our comprehensive CC/MCC analysis, our clinical advisors
recommended a change in the severity level designation for 1,492 ICD-
10-CM diagnosis codes. As shown in Table 6P.1c. associated with this
proposed rule, the proposed changes to severity level resulting from
our comprehensive analysis would move some diagnosis codes to a higher
severity level designation and other diagnosis codes to a lower
severity level designation, as indicated in the two columns which
display CMS' FY 2019 classification in column C and the proposed
changes for FY 2020 in column D.
The table below shows the Version 36 ICD-10 MS-DRG categorization
of diagnosis codes by severity level.
Current Categorization of CC Codes
[Version 36]
------------------------------------------------------------------------
Number of
codes
------------------------------------------------------------------------
MCC..................................................... 3,244
CC...................................................... 14,528
Non-CC.................................................. 54,160
---------------
Total............................................... 71,932
------------------------------------------------------------------------
The following table compares the Version 36 ICD-10 MS-DRG CC list
and the proposed Version 37 ICD-10 MS-DRG CC list. There are 17,772
diagnosis codes on the Version 36 MCC/CC lists. The proposed MCC/CC
severity level changes would reduce the number of diagnosis codes on
the MCC/CC lists to 16,790 (3,099 + 13,691). Based on the Version 36
MCC/CC lists, 81.5 percent of cases have at least one MCC/CC present,
using claims data from the September 2018 update of the FY 2018 MedPAR
file. Based on the proposed Version 37 MCC/CC lists, the percent of
cases having at least one MCC/CC present would be reduced to 76.6
percent.
Comparison of Current CC List and Proposed CC List
------------------------------------------------------------------------
Current CC Proposed CC
List List
------------------------------------------------------------------------
Codes designated as an MCC.............. 3,244 3,099
Percent of cases with one or more MCCs.. 41.0% 36.3%
Average charge of cases with one or more $16,439 $16,490
MCCs...................................
Codes designated as a CC................ 14,528 13,691
Percent of cases with one or more CCs... 40.5% 40.3%
Average charge of cases with one or more $10,332 $10,518
CCs....................................
Codes designated as non-CC.............. 54,160 55,142
Percent of cases with no CC............. 18.5% 23.4%
Average charge of cases with no CCs..... $9,885 $10,166
------------------------------------------------------------------------
Using the method described above to perform our comprehensive
analysis, we are proposing to modify the Version 36 CC subclass
assignments for 2.1 percent of the ICD-10-CM diagnosis codes, as
summarized in the table below.
Proposed MCC/CC Subclass Modifications
--------------------------------------------------------------------------------------------------------------------------------------------------------
Proposed Proposed Proposed
Version 36 Proposed version 37 version 37 Version 37
severity level version 37 change to MCC change to CC change to non-
Severity level--CC subclass number of severity level Percent change subclass, subclass, CC subclass,
codes number of number of number of number of
codes codes codes codes
--------------------------------------------------------------------------------------------------------------------------------------------------------
MCC..................................................... 3,244 3,099 -4.5 N/A 136 17
CC...................................................... 14,528 13,691 -5.8 8 N/A 1,148
Non-CC.................................................. 54,160 55,142 1.8 0 183 N/A
-----------------------------------------------------------------------------------------------
Total............................................... 71,932 71,932 N/A 8 319 1,166
--------------------------------------------------------------------------------------------------------------------------------------------------------
As a result of these proposed changes, of the 71,932 diagnosis
codes included in the analysis, the net result would be a decrease of
145 (3,244-3,099) codes designated as an MCC, a decrease of 837
(14,528-13,691) codes designated as a CC, and an increase of 982
(55,142-54,160) codes designated as a non-CC.
(2) Illustrations of Proposed Severity Level Changes
As noted above, based on our comprehensive CC/MCC analysis as
described previously in this section, we are proposing changes in the
severity level designations for 1,492 ICD-10-CM diagnosis codes, and
the specific proposed changes to severity level designations for those
diagnosis codes are shown in Table 6P.1.c. associated with this
proposed rule (which is available via the internet on the CMS website
at: https://www.cms.hhs.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/). Below we provide illustrative examples
of certain categories of codes for which we are proposing changes to
the severity level designations as a result of our comprehensive
analysis. As described above, these proposals are based on review of
the data as well as consideration of the clinical nature of each of the
secondary diagnoses and the severity level of clinically similar
diagnoses. The first set of codes, from the Neoplasms chapter,
encompasses more than half of all proposed severity level changes. The
additional examples are from a variety of body systems and conditions,
and they are illustrative of both proposed increases and proposed
decreases in severity level designation. We note that we are making
available a
[[Page 19237]]
supplementary file containing the data describing the impact on
resource use when reported as a secondary diagnosis for all 1,492 ICD-
10-CM diagnosis codes for which we are proposing a change in
designation via the internet on the CMS website at: https://www.cms.hhs.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/.
(a) Neoplasms Chapter Codes
Of the total number of ICD-10-CM diagnosis codes for which we are
proposing a change of severity level designation, 767 are from the
Neoplasms chapter of the ICD-10-CM classification (C00-D49) and are
currently designated as a CC. We note that the Neoplasms chapter
contains a total of 1,661 ICD-10-CM diagnosis codes. In Version 36 of
the MS-DRGs, none of the 1,661 neoplasm codes are designated as an MCC,
767 are designated as a CC, and 894 are designated as a non-CC. For all
767 codes currently designated as a CC, our clinical advisors
recommended changing the severity level designation from CC to non-CC.
The following table presents examples of some of the neoplasm codes for
which we are proposing a severity level change to non-CC, and their
impact on resource use when reported as a secondary diagnosis. As noted
previously, the data analysis for the remainder of these neoplasm codes
is included in the supplementary file that we are making available on
the CMS website.
Proposed Severity Level Changes for Neoplasm Codes as Secondary Diagnosis
--------------------------------------------------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3 Current CC subclass Proposed CC subclass
--------------------------------------------------------------------------------------------------------------------------------------------------------
C20 (Malignant neoplasm of rectum) 2,960 1.0485 7,561 2.2169 6,492 3.0790 CC...................... Non-CC.
C22.0 (Liver cell carcinoma)...... 1,672 1.2289 9,444 2.0638 12,503 3.0914 CC...................... Non-CC.
C25.0 (Malignant neoplasm of head 1,205 1.1357 3,834 2.1788 6,191 3.0229 CC...................... Non-CC.
of pancreas).
C64.1 (Malignant neoplasm of right 1,512 1.2276 4,463 2.1600 4,593 3.1158 CC...................... Non-CC.
kidney, except renal pelvis).
C64.2 (Malignant neoplasm of left 1,368 1.3407 4,517 2.1947 4,593 3.0947 CC...................... Non-CC.
kidney, except renal pelvis).
C78.01 (Secondary malignant 4,149 1.0417 14,946 2.0888 20,324 3.0043 CC...................... Non-CC.
neoplasm of right lung).
C78.02 (Secondary malignant 3,599 1.0078 13,456 2.0853 18,384 3.0024 CC...................... Non-CC.
neoplasm of left lung).
C79.31 (Secondary malignant 7,164 1.1895 22,989 2.1330 41,387 2.9116 CC...................... Non-CC.
neoplasm of brain).
C79.51 (Secondary malignant 26,095 1.3048 88,022 2.2020 99,670 3.0449 CC...................... Non-CC.
neoplasm of bone).
C90.00 (Multiple myeloma not 9,947 1.1588 34,155 2.2144 33,830 3.1281 CC...................... Non-CC.
having achieved remission).
--------------------------------------------------------------------------------------------------------------------------------------------------------
As described in section II.F.15.b. of the preamble of this proposed
rule, we examined the impact in resource use for three subsets of
patients in order to evaluate the severity level designations for each
secondary diagnosis. In the table above, the C1 values are generally
close to 1, C2 values are generally close to 2, and C3 values are
generally close to 3. As explained in section II.F.15.b. of the
preamble of this proposed rule, these values suggest that when a
neoplasm is reported as a secondary diagnosis, the resources involved
in caring for a patient with this condition are more aligned with a
non-CC severity level than a CC severity level. Our clinical advisors
reviewed these data and believe the resources involved in caring for a
patient with this condition are more aligned with a non-CC severity
level. Our clinical advisors noted that when a neoplasm is reported as
a secondary diagnosis, because it is not the condition that occasioned
the patient's admission to the hospital, it does not significantly
impact resource use. Our clinical advisors noted that if these patients
are admitted for treatment of the neoplasm, the neoplasm is the
principal diagnosis, and other complicating or comorbid conditions
reported as secondary diagnoses would determine the appropriate
severity level designation for each particular case. For example, if a
patient is admitted for resection of malignant neoplasm of the right
kidney, ICD-10-CM diagnosis code C64.1 (Malignant neoplasm of right
kidney, except renal pelvis) is reported as the principal diagnosis,
and any complicating conditions reported as secondary diagnoses during
the hospital stay would determine the appropriate severity level
designation for the case.
(b) Diseases of the Circulatory System Chapter Codes
In the Diseases of the Circulatory System chapter of the ICD-10-CM
diagnosis classification (I00-I99), based on the results of our
comprehensive review, we are proposing to change the severity level
designation for 13 ICD-10-CM diagnosis codes from categories I21 (Acute
myocardial infarction) and I22 (Subsequent ST elevation (STEMI) and
non-ST elevation (NSTEMI) myocardial infarction) from an MCC to a CC.
The following table contains the ICD-10-CM diagnosis codes for
which we are proposing a severity level change, and their impact on
resource use when reported as a secondary diagnosis.
[[Page 19238]]
Proposed Severity Level Changes for Myocardial Infarction Codes as Secondary Diagnosis
--------------------------------------------------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3 Current CC subclass Proposed CC subclass
--------------------------------------------------------------------------------------------------------------------------------------------------------
I21.01 (ST elevation (STEMI) 2 1.2010 17 2.9902 38 3.0195 MCC..................... CC.
myocardial infarction involving
left main coronary artery).
I21.02 (ST elevation (STEMI) 149 0.9326 322 1.6565 754 3.3157 MCC..................... CC.
myocardial infarction involving
left anterior descending coronary
artery).
I21.09 (ST elevation (STEMI) 583 1.2201 1,288 2.2225 3,744 3.1094 MCC..................... CC.
myocardial infarction involving
other coronary artery of anterior
wall).
I21.11 (ST elevation (STEMI) 175 1.8486 326 2.0867 581 3.1141 MCC..................... CC.
myocardial infarction involving
right coronary artery).
I21.19 (ST elevation (STEMI) 913 1.5054 1,940 2.2641 4,081 3.1996 MCC..................... CC.
myocardial infarction involving
other coronary artery of inferior
wall).
I21.21 (ST elevation (STEMI) 30 0.9445 56 2.4160 117 2.9965 MCC..................... CC.
myocardial infarction involving
left circumflex coronary artery).
I21.29 (ST elevation (STEMI) 162 1.0143 417 2.2401 1,048 3.3341 MCC..................... CC.
myocardial infarction involving
other sites).
I21.3 (ST elevation (STEMI) 1,271 1.6587 3,876 2.2420 10,168 3.2432 MCC..................... CC.
myocardial infarction of
unspecified site).
I22.0 (Subsequent ST elevation 10 0.9199 74 1.2558 165 2.6794 MCC..................... CC.
(STEMI) myocardial infarction of
anterior wall).
I22.1 (Subsequent ST elevation 4 0.0000 81 1.6022 143 3.3056 MCC..................... CC.
(STEMI) myocardial infarction of
inferior wall).
I22.2 (Subsequent non-ST elevation 94 2.1034 352 2.1291 1,916 3.0157 MCC..................... CC.
(NSTEMI) myocardial infarction).
I22.8 (Subsequent ST elevation 5 2.2963 18 2.0589 53 3.1306 MCC..................... CC.
(STEMI) myocardial infarction of
other sites).
I22.9 (Subsequent ST elevation 27 1.7140 87 1.8737 293 2.9627 MCC..................... CC.
(STEMI) myocardial infarction of
unspecified site).
--------------------------------------------------------------------------------------------------------------------------------------------------------
As shown in the table above, all of these myocardial infarction
codes are currently assigned as MCCs. As explained earlier, values
close to 2.0 in column C1 suggest that the condition is more like a CC
than a non-CC but not as significant in resource usage as an MCC. The
C1 values for the secondary diagnoses with the largest number of cases
in this subset in the table above, ICD-10-CM codes I21.3 and I21.19,
are closer to 2.0 than to 1.0, indicating that these secondary
diagnoses are more aligned with a CC than either a non-CC or an MCC.
Therefore, the data suggest that for patients for whom any of the
myocardial infarction codes listed in the table above is reported as a
secondary diagnosis, the resources involved in their care are not
aligned with those of an MCC. Our clinical advisors reviewed these data
and believe that the resources involved in caring for a patient with
this condition are aligned with a CC. Patients with a secondary
diagnosis of myocardial infarction may require additional diagnostic
imaging, monitoring, medications, and additional interventions, thereby
consuming resources that are consistent with CC status. Our clinical
advisors noted that while, for certain codes, the number of cases shown
in the data may not be sufficient to reliably indicate impact on
resource use as a secondary diagnosis, these codes are clinically
similar to other codes for which the data are sufficient to indicate
impact on resource use. Because our clinical advisors believe that it
is appropriate to ensure consistency across codes describing similar
diagnoses, we are proposing to reassign the severity level for all of
the codes in the table above from an MCC to a CC.
(c) Diseases of the Skin and Subcutaneous Tissue Chapter Codes
In the Diseases of the Skin and Subcutaneous Tissue chapter of the
ICD-10-CM diagnosis classification (L00-L99), based on the results of
our comprehensive review, we are proposing a change to the severity
level for 150 ICD-10-CM diagnosis codes describing pressure ulcers.
Pressure ulcers, which are also known as pressure injuries, involve
damage to the skin and soft tissue. They may result from prolonged
pressure over a bony prominence or result from a medical device. The
ICD-10-CM classification includes 150 diagnosis codes that describe
pressure ulcers across various anatomical regions and across the
various possible stages (stages 1 through 4, unspecified stage, and
unstageable). These codes are listed in Table 6P.1.d. associated with
this proposed rule (which is available via the internet on the CMS
website at: https://www.cms.hhs.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/). In the course of our
comprehensive review of the CC/MCC lists, our clinical advisors
reviewed the current categorization of pressure ulcers, which designate
all stage 3 and 4 pressure ulcers as MCCs, while stage 1, stage 2,
unspecified stage,
[[Page 19239]]
and unstageable pressure ulcers are currently designated as non-CCs.
Our clinical advisors reviewed data on the relative contribution to
the overall cost of hospital care for all stages of pressure ulcers
coded as secondary diagnoses, and found (1) that there was little
difference in the cost contribution regardless of stage, and (2) the
cost contributions (cost weights) of all stages supported a designation
of CC rather than MCC (for stage 3 and 4 ulcers), and CC rather than
non-CC (for stages 1, 2, unspecified, and unstageable). Our clinical
advisors noted that the apparent similar contribution of all pressure
ulcer stages can be explained by the fact that pressure ulcers occur in
patients with serious underlying illness, such as stroke, cancer,
dementia, and end-stage cardiac or pulmonary disease that can result in
multiple factors (frailty, immobility, paralysis, malnutrition, and
general debility) that predispose them to pressure ulcers. It is the
serious underlying illness and debilitated state that causes the
pressure ulcer that is the primary driver of resource use. Although a
pressure ulcer at any stage requires care and preventive measures that
make additional contributions to the overall cost of care, our clinical
advisors believe that the fact that the ulcer developed in the first
place is more important than the stage of the ulcer itself in
determining the impact on the costs of hospitalization. The presence of
a pressure ulcer may indicate an increase in resource use, but that
increase is similar regardless of the stage of the ulcer.
The following table contains illustrations of pressure ulcer codes
and their impact on resource use when reported as a secondary
diagnosis. We selected secondary diagnosis codes describing pressure
ulcer of the sacrum as examples because they account for almost half of
all instances of pressure ulcers reported as secondary diagnoses, but
note that the data for the codes describing pressure ulcer of other
body parts generally show a similar pattern. As noted previously, the
data analysis for the remainder of the pressure ulcer codes for which
we are proposing a change in severity level designation is included in
the supplementary file that we are making available on the CMS website.
Proposed Severity Level Changes for Pressure Ulcer Codes as Secondary Diagnosis
--------------------------------------------------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3 Current CC subclass Proposed CC subclass
--------------------------------------------------------------------------------------------------------------------------------------------------------
L89.150 (Pressure ulcer of sacral 605 2.003 6,247 2.560 24,047 3.254 Non-CC.................. CC.
region, unstageable).
L89.151 (Pressure ulcer of sacral 2,374 1.691 16,688 2.404 36,428 3.182 Non-CC.................. CC.
region, stage 1).
L89.152 (Pressure ulcer of sacral 4,238 1.737 35,608 2.497 95,832 3.274 Non-CC.................. CC.
region, stage 2).
L89.153 (Pressure ulcer of sacral 1,722 1.832 15,266 2.522 48,414 3.289 MCC..................... CC.
region, stage 3).
L89.154 (Pressure ulcer of sacral 1,237 1.755 14,306 2.438 56,619 3.196 MCC..................... CC.
region, stage 4).
L89.159 (Pressure ulcer of sacral 1,453 1.387 12,466 2.311 35,020 3.176 Non-CC.................. CC.
region, unspecified stage).
--------------------------------------------------------------------------------------------------------------------------------------------------------
As explained previously, a value in column C1 that is close to 2.0
suggests the condition is more like a CC than a non-CC but not as
significant in resource usage as an MCC. Given that the values in
column C1 in the table above are closer to 2.0 than to 1.0, the data
suggest that when pressure ulcers of the sacral region are reported as
a secondary diagnosis, the resources involved in caring for these
patients are more consistent with a CC than either a non-CC or an MCC.
Our clinical advisors reviewed these data and believe that it is
appropriate to ensure consistency across codes involving similar
diagnoses. Therefore, we are proposing to designate as CCs both the 50
ICD-10-CM diagnosis codes that are currently designated as MCCs and the
100 ICD-10-CM diagnosis codes currently designated as non-CCs.
We note that, under the Hospital-Acquired Condition (HAC) payment
provision established by section 5001(c) of the Deficit Reduction Act
(DRA) of 2005, hospitals no longer receive additional payment for cases
in which one of the selected conditions occurred but was not present on
admission (POA). That is, the case is paid as though the condition were
not present. The HAC-POA payment provision is applicable for secondary
diagnosis code reporting only, as the selected conditions are
designated as a CC or an MCC when reported as a secondary diagnosis.
For the DRA HAC-POA payment provision, a payment adjustment is only
applicable if there are no other CC/MCC conditions reported on the
claim. Currently, there are 14 HAC categories subject to the HAC-POA
payment provision, one of which is pressure ulcers. The pressure ulcer
HAC category (HAC 04) specifically includes diagnosis codes describing
a stage 3 or stage 4 pressure ulcer because they are designated as an
MCC, as noted earlier in this section. If the proposed severity level
designations for the pressure ulcer diagnosis codes are finalized, the
100 ICD-10-CM diagnosis codes describing pressure ulcers currently
designated as non-CCs would be subject to the HAC-POA payment provision
as CCs when reported as a secondary diagnosis and not POA, effective
beginning in FY 2020. The diagnosis codes describing a stage 3 or stage
4 pressure ulcer would continue to be subject to the HAC-POA payment
provision as CCs.
In addition, consistent with the proposed changes to the severity
level designation of the pressure ulcer codes, we are proposing to
revise the title of the HAC 04 category from ``Pressure Ulcer--Stages
III & IV'' to ``Pressure Ulcers''. We refer readers to the website at:
https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/HospitalAcqCond/ for additional information regarding the
HAC-POA payment provision under the DRA.
(d) Diseases of the Genitourinary System Chapter Codes
In the Diseases of the Genitourinary System chapter of the ICD-10-
CM diagnosis classification (N00-N99), based on the results of our
comprehensive analysis, we are proposing to change the severity level
designation for eight ICD-10-CM diagnosis codes. For these eight
[[Page 19240]]
diagnosis codes, based on their clinical judgment and for the reasons
described below, our clinical advisors recommended that we increase the
severity level designation from a CC to an MCC for one code, and from a
non-CC to a CC for seven codes. The following table contains the
Diseases of the Genitourinary System chapter codes that describe
conditions for which we are proposing a severity level designation
change, and their impact on resource use when reported as a secondary
diagnosis.
Proposed Severity Level Changes for Genitourinary Codes as Secondary Diagnosis
--------------------------------------------------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3 Current CC subclass Proposed CC subclass
--------------------------------------------------------------------------------------------------------------------------------------------------------
N10 (Acute pyelonephritis)........ 5,385 0.9639 20,476 1.9444 26,929 3.0413 Non-CC.................. CC.
N18.4 (Chronic kidney disease, 36,940 1.0919 219,482 2.0679 319,849 3.0840 Non-CC.................. CC.
stage 4 (severe)).
N18.5 (Chronic kidney disease, 1,158 1.0303 30,851 2.0841 34,733 3.1508 Non-CC.................. CC.
stage 5).
N18.6 (End stage renal disease)... 26,276 1.5755 578,587 2.3010 492,710 3.2761 CC...................... MCC.
N30.00 (Acute cystitis without 18,597 1.0576 53,820 1.9409 73,996 2.8976 Non-CC.................. CC.
hematuria).
N30.01 (Acute cystitis with 4,872 0.9503 16,949 1.8514 24,422 2.8070 Non-CC.................. CC.
hematuria).
N41.0 (Acute prostatitis)......... 845 0.9519 3,031 1.8163 2,135 3.0450 Non-CC.................. CC.
N76.4 (Abscess of vulva).......... 368 0.8284 1,276 2.0906 1,049 3.1341 Non-CC.................. CC.
--------------------------------------------------------------------------------------------------------------------------------------------------------
The C1, C2, and C3 values in the table above are generally close to
1.0, 2.0, and 3.0, respectively, which would indicate that these
conditions are more aligned with a non-CC than with either a CC or an
MCC. However, our clinical advisors believe that patients with a
secondary diagnosis of one of the genitourinary conditions in the table
above may consume additional resources, including but not limited to
monitoring for hypertension, diagnostic tests, and balancing
electrolytes. Patients with end-stage renal disease (ICD-10-CM code
N18.6) would typically require dialysis in addition to these resources,
which our clinical advisors believe is more aligned with an MCC.
Therefore, we are proposing to change the severity level designations
for the eight codes as shown in the table above.
e. Injury, Poisoning and Certain Other Consequences of External Causes
Chapter Codes
In subcategory S32.5 (Fracture of pubis) of the ICD-10-CM diagnosis
classification, based on our comprehensive analysis, we are proposing
to change the severity level designation from CC to non-CC for 19 ICD-
10-CM diagnosis codes that specify fractures of the pubic bone. The
following table contains the diagnosis codes for which we are proposing
a severity level designation change, and their impact on resource use
when reported as a secondary diagnosis.
Proposed Severity Level Changes, Pubis Fracture Codes as Secondary Diagnosis
--------------------------------------------------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3 Current CC subclass Proposed CC subclass
--------------------------------------------------------------------------------------------------------------------------------------------------------
S32.501A (Unspecified fracture of 393 1.0234 1,171 2.1215 847 3.0423 CC...................... Non-CC.
right pubis, initial encounter
for closed fracture).
S32.501K (Unspecified fracture of 1 1.5125 12 2.1144 2 1.8454 CC...................... Non-CC.
right pubis, subsequent encounter
for fracture with nonunion).
S32.502A (Unspecified fracture of 398 1.3072 1,152 2.0593 914 3.0028 CC...................... Non-CC.
left pubis, initial encounter for
closed fracture).
S32.502K (Unspecified fracture of 3 0.0000 7 2.8723 1 0.7401 CC...................... Non-CC.
left pubis, subsequent encounter
for fracture with nonunion).
S32.509A (Unspecified fracture of 49 1.1075 156 2.1066 154 3.1704 CC...................... Non-CC.
unspecified pubis, initial
encounter for closed fracture).
S32.509K (Unspecified fracture of 0 0.0000 1 3.4022 1 2.1306 CC...................... Non-CC.
unspecified pubis, subsequent
encounter for fracture with
nonunion).
S32.511A (Fracture of superior rim 743 1.1812 2,132 2.1519 1,504 2.8763 CC...................... Non-CC.
of right pubis, initial encounter
for closed fracture).
S32.511K (Fracture of superior rim 2 2.0354 5 0.0000 4 2.3425 CC...................... Non-CC.
of right pubis, subsequent
encounter for fracture with
nonunion).
[[Page 19241]]
S32.512A (Fracture of superior rim 760 1.5738 2,098 2.0828 1,590 2.9020 CC...................... Non-CC.
of left pubis, initial encounter
for closed fracture).
S32.512K (Fracture of superior rim 3 2.1915 3 2.4812 8 4.0000 CC...................... Non-CC.
of left pubis, subsequent
encounter for fracture with
nonunion).
S32.519A (Fracture of superior rim 15 2.6829 53 1.5795 35 2.9052 CC...................... Non-CC.
of unspecified pubis, initial
encounter for closed fracture).
S32.519K (Fracture of superior rim 0 0.000 0 0.000 0 0.000 CC...................... Non-CC.
of unspecified pubis, subsequent
encounter for fracture with
nonunion).
S32.591A (Other specified fracture 2,427 1.2524 6,513 2.0970 4,397 2.9930 CC...................... Non-CC.
of right pubis, initial encounter
for closed fracture).
S32.591K (Other specified fracture 7 2.7706 15 1.9772 5 0.8969 CC...................... Non-CC.
of right pubis, subsequent
encounter for fracture with
nonunion).
S32.592A (Other specified fracture 2,424 1.3691 6,604 2.0921 4,922 2.9428 CC...................... Non-CC.
of left pubis, initial encounter
for closed fracture).
S32.592K (Other specified fracture 4 0.6970 24 2.5574 10 3.0015 CC...................... Non-CC.
of left pubis, subsequent
encounter for fracture with
nonunion).
S32.599A (Other specified fracture 151 1.6748 457 2.0518 394 3.1844 CC...................... Non-CC.
of unspecified pubis, initial
encounter for closed fracture).
S32.599K (Other specified fracture 1 0.0000 0 0.0000 3 1.4709 CC...................... Non-CC.
of unspecified pubis, subsequent
encounter for fracture with
nonunion).
--------------------------------------------------------------------------------------------------------------------------------------------------------
The C1, C2, and C3 values in the table above are generally close to
1.0, 2.0, and 3.0, respectively, particularly for those codes for which
the highest number of cases were reported. This indicates that these
conditions are more aligned with a non-CC than with either a CC or an
MCC. Our clinical advisors reviewed these data, particularly with
respect to ICD-10-CM diagnosis codes S32.591A and S32.592A which
account for the majority of cases in this group, and believe the
resources involved in caring for a patient with these conditions are
more aligned with a non-CC. Our clinical advisors noted that, similar
to the proposed severity level designation changes in the Neoplasms
chapter of the ICD-10-CM diagnosis classification discussed above, if
patients are admitted for treatment of an acute or nonunion fracture of
the pubic bone, the fracture is the principal diagnosis, and other
complicating or comorbid conditions reported as secondary diagnoses
would determine the appropriate severity level for each particular
case. For example, if a patient is admitted for surgical treatment of
the nonunion of a right pubic fracture at the superior rim, ICD-10-CM
diagnosis code S32.511K (Fracture of superior rim of right pubis,
subsequent encounter for fracture with nonunion) is reported as the
principal diagnosis. Because our clinical advisors believe that it is
appropriate to ensure consistency across codes involving similar
diagnoses, we are proposing to reassign the severity level for all of
the codes in the table above from a CC to a non-CC.
In category S72 (Fracture of femur) of the ICD-10-CM
classification, based on our comprehensive analysis, we are proposing
to change the severity level designation from MCC to CC for 35 ICD-10-
CM diagnosis codes specifying fractures of the hip. The following table
contains the Injury, Poisoning and Certain Other Consequences of
External Causes chapter codes for which we are proposing a severity
level change, and their impact on resource use when reported as a
secondary diagnosis.
Proposed Severity Level Changes, Hip Fracture Codes as Secondary Diagnosis
--------------------------------------------------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3 Current CC subclass Proposed CC subclass
--------------------------------------------------------------------------------------------------------------------------------------------------------
S72.011A (Unspecified 145 2.1400 464 2.3419 700 2.9623 MCC..................... CC.
intracapsular fracture of right
femur, initial encounter for
closed fracture).
S72.012A (Unspecified 155 2.0099 455 2.2738 754 3.0423 MCC..................... CC.
intracapsular fracture of left
femur, initial encounter for
closed fracture).
[[Page 19242]]
S72.019A (Unspecified 1 0.9364 4 1.0008 10 2.7267 MCC..................... CC.
intracapsular fracture of
unspecified femur, initial
encounter for closed fracture).
S72.111A (Displaced fracture of 266 1.5110 605 2.2983 442 3.1874 MCC..................... CC.
greater trochanter of right
femur, initial encounter for
closed fracture).
S72.112A (Displaced fracture of 249 1.7779 573 2.4626 418 3.0108 MCC..................... CC.
greater trochanter of left femur,
initial encounter for closed
fracture).
S72.113A (Displaced fracture of 11 1.7739 21 2.9650 23 3.5762 MCC..................... CC.
greater trochanter of unspecified
femur, initial encounter for
closed fracture).
S72.114A (Nondisplaced fracture of 112 0.8826 339 2.1640 178 3.1028 MCC..................... CC.
greater trochanter of right
femur, initial encounter for
closed fracture).
S72.115A (Nondisplaced fracture of 118 1.3960 288 2.0607 202 2.8640 MCC..................... CC.
greater trochanter of left femur,
initial encounter for closed
fracture).
S72.116A (Nondisplaced fracture of 3 0.9472 8 1.3030 3 3.4270 MCC..................... CC.
greater trochanter of unspecified
femur, initial encounter for
closed fracture).
S72.121A (Displaced fracture of 22 2.0288 74 3.1110 49 3.1174 MCC..................... CC.
lesser trochanter of right femur,
initial encounter for closed
fracture).
S72.122A (Displaced fracture of 23 1.1648 75 2.9379 40 2.4430 MCC..................... CC.
lesser trochanter of left femur,
initial encounter for closed
fracture).
S72.123A (Displaced fracture of 0 0.0000 2 0.0000 6 2.2881 MCC..................... CC.
lesser trochanter of unspecified
femur, initial encounter for
closed fracture).
S72.124A (Nondisplaced fracture of 4 0.9792 19 2.4244 8 2.7792 MCC..................... CC.
lesser trochanter of right femur,
initial encounter for closed
fracture).
S72.125A (Nondisplaced fracture of 5 0.6759 13 1.2700 7 3.1292 MCC..................... CC.
lesser trochanter of left femur,
initial encounter for closed
fracture).
S72.126A (Nondisplaced fracture of 0 0.0000 0 0.0000 1 1.1159 MCC..................... CC.
lesser trochanter of unspecified
femur, initial encounter for
closed fracture).
S72.131A (Displaced apophyseal 1 3.4327 0 0.0000 2 4.0000 MCC..................... CC.
fracture of right femur, initial
encounter for closed fracture).
S72.132A (Displaced apophyseal 0 0.0000 1 2.6423 0 0.0000 MCC..................... CC.
fracture of left femur, initial
encounter for closed fracture).
S72.134A (Nondisplaced apophyseal 0 0.000 1 3.501 0 0.000 MCC..................... CC.
fracture of right femur, initial
encounter for closed fracture).
S72.135A (Nondisplaced apophyseal 0 0.000 0 0.000 0 0.000 MCC..................... CC.
fracture of left femur, initial
encounter for closed fracture).
S72.136A (Nondisplaced apophyseal 0 0.000 0 0.000 0 0.000 MCC..................... CC.
fracture of unspecified femur,
initial encounter for closed
fracture).
[[Page 19243]]
S72.141A (Displaced 289 2.2607 894 2.6329 1,293 3.1692 MCC..................... CC.
intertrochanteric fracture of
right femur, initial encounter
for closed fracture).
S72.142A (Displaced 347 2.2587 972 2.5641 1,405 3.1003 MCC..................... CC.
intertrochanteric fracture of
left femur, initial encounter for
closed fracture).
S72.143A (Displaced 10 2.3446 21 1.0169 35 3.3080 MCC..................... CC.
intertrochanteric fracture of
unspecified femur, initial
encounter for closed fracture).
S72.144A (Nondisplaced 44 1.7331 149 2.4637 168 3.1302 MCC..................... CC.
intertrochanteric fracture of
right femur, initial encounter
for closed fracture).
S72.145A (Nondisplaced 39 1.9170 112 2.8435 170 3.2612 MCC..................... CC.
intertrochanteric fracture of
left femur, initial encounter for
closed fracture).
S72.146A (Nondisplaced 0 0.0000 9 1.2250 2 0.0000 MCC..................... CC.
intertrochanteric fracture of
unspecified femur, initial
encounter for closed fracture).
S72.21XA (Displaced 57 1.7697 159 2.2460 205 3.1614 MCC..................... CC.
subtrochanteric fracture of right
femur, initial encounter for
closed fracture).
S72.22XA (Displaced 70 2.3685 160 2.6079 184 3.2178 MCC..................... CC.
subtrochanteric fracture of left
femur, initial encounter for
closed fracture).
S72.23XA (Displaced 0 0.0000 9 3.4708 6 3.3401 MCC..................... CC.
subtrochanteric fracture of
unspecified femur, initial
encounter for closed fracture).
S72.24XA (Nondisplaced 12 0.5442 22 2.7275 11 3.6028 MCC..................... CC.
subtrochanteric fracture of right
femur, initial encounter for
closed fracture).
S72.25XA (Nondisplaced 13 1.7115 25 2.1005 17 3.1686 MCC..................... CC.
subtrochanteric fracture of left
femur, initial encounter for
closed fracture).
S72.26XA (Nondisplaced 0 0.0000 1 2.0474 0 0.0000 MCC..................... CC.
subtrochanteric fracture of
unspecified femur, initial
encounter for closed fracture).
S72.301A (Unspecified fracture of 61 2.3462 156 3.0491 159 3.5567 MCC..................... CC.
shaft of right femur, initial
encounter for closed fracture).
S72.302A (Unspecified fracture of 71 2.6314 186 2.4838 157 3.4436 MCC..................... CC.
shaft of left femur, initial
encounter for closed fracture).
--------------------------------------------------------------------------------------------------------------------------------------------------------
As shown in the table above, all of these secondary diagnoses are
currently designated as MCCs. The C2 values of the codes most
frequently reported, ICD-10-CM codes S72.142A and S72.141A, are closer
to 3.0 than 2.0, which indicates that they are more clinically aligned
with a CC than an MCC. Therefore, the data suggest that when fracture
of the hip codes are reported as a secondary diagnosis, the resources
involved in caring for patients with these conditions are more aligned
with a CC than an MCC. Our clinical advisors reviewed these data and
believe the resources involved in caring for patients with these
conditions are more aligned with a CC. While we note that there is
little to no data for some of these ICD-10-CM codes as secondary
diagnoses, there is sufficient data for clinically similar secondary
diagnoses. Therefore, because our clinical advisors believe that it is
appropriate to ensure consistency across codes involving similar
diagnoses, we are proposing to reassign the severity level for all of
the codes in the table above from an MCC to a CC.
(f) Factors Influencing Health Status and Contact With Health Services
The last chapter of the ICD-10-CM classification specifies other
factors that influence a patient's health status or necessitate contact
with health care
[[Page 19244]]
providers (Z00-Z99). Of these ICD-10-CM codes, based on our
comprehensive review, we are proposing to change the severity level
designation from non-CC to CC for four codes specifying anti-microbial
drug resistance and one code specifying homelessness. Based on this
same review, we also are proposing to change the severity level
designation from CC to non-CC for 3 ICD-10-CM codes specifying adult
body mass index (BMI) ranges and 13 ICD-10-CM codes indicating that the
patient has previously undergone an organ transplant or cardiac device
implantation with no current complications (the code indicates status
only).
The following table contains the five codes for which we are
proposing a severity level change from non-CC to CC and their impact on
resource use when reported as a secondary diagnosis.
Proposed Severity Level Changes for Z Chapter Codes as Secondary Diagnosis
--------------------------------------------------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3 Current CC subclass Proposed CC subclass
--------------------------------------------------------------------------------------------------------------------------------------------------------
Z16.12 (Extended spectrum beta 3,082 2.1134 19,692 2.5995 25,544 3.1752 Non-CC.................. CC.
lactamase (ESBL) resistance).
Z16.21 (Resistance to vancomycin). 692 2.1507 6,733 2.8659 11,672 3.3365 Non-CC.................. CC.
Z16.24 (Resistance to multiple 2,970 1.5821 16,097 2.4086 20,738 3.1174 Non-CC.................. CC.
antibiotics).
Z16.39 (Resistance to other 448 1.2003 2,326 2.2555 2,494 3.1127 Non-CC.................. CC.
specified antimicrobial drug).
Z59.0 (Homelessness).............. 14,927 1.5964 41,328 2.3012 22,101 3.1256 Non-CC.................. CC.
--------------------------------------------------------------------------------------------------------------------------------------------------------
As indicated above, a value close to 2.0 in column C1 suggests that
the secondary diagnosis is more aligned with a CC than a non-CC.
Because the C1 values in the table above are generally close to 2, the
data suggest that when these five Z chapter diagnosis codes are
reported as a secondary diagnosis, the resources involved in caring for
a patient with other factors such as homelessness support increasing
the severity level from a non-CC to a CC. Our clinical advisors
reviewed these data and believe the resources involved in caring for
patients with these other reported factors are more aligned with a CC.
While we note that ICD-10-CM diagnosis code Z16.39 does not follow
this pattern, our clinical advisors believe that this code is
clinically similar to the other diagnoses in the table above describing
anti-microbial drug resistance. Therefore, because our clinical
advisors believe that it is appropriate to ensure consistency across
codes involving similar diagnoses, we are proposing to reassign the
severity level for all four of the codes specifying anti-microbial drug
resistance in the table above from a non-CC to a CC.
The following table contains the 14 BMI and transplant/cardiac
device status codes for which we are proposing a severity level
designation change from CC to non-CC, and their impact on resource use
when reported as a secondary diagnosis.
Proposed Severity Level Changes for Z Chapter BMI and Transplant/Cardiac Device Status Codes as Secondary Diagnosis
--------------------------------------------------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3 Current CC subclass Proposed CC subclass
--------------------------------------------------------------------------------------------------------------------------------------------------------
Z68.1 (Body mass index (BMI) 19.9 18,983 1.1170 244,156 2.2082 350,731 3.0733 CC...................... Non-CC.
or less, adult).
Z68.41 (Body mass index (BMI) 40.0- 139,420 1.1139 209,300 2.0752 213,929 3.0814 CC...................... Non-CC.
44.9, adult).
Z68.42 (Body mass index (BMI) 45.0- 60,408 1.1643 102,897 2.0783 109,928 3.0867 CC...................... Non-CC.
49.9, adult).
Z94.0 (Kidney transplant status).. 18,649 1.0277 70,484 2.0573 45,382 3.1032 CC...................... Non-CC.
Z94.1 (Heart transplant status)... 2,311 1.0649 8,138 2.2471 5,037 3.2653 CC...................... Non-CC.
Z94.2 (Lung transplant status).... 1,461 1.0886 5,032 2.1898 3,466 3.1285 CC...................... Non-CC.
Z94.3 (Heart and lungs transplant 20 0.8287 88 3.0647 59 3.1675 CC...................... Non-CC.
status).
Z94.4 (Liver transplant status)... 6,050 0.9811 17,556 2.0323 12,970 3.1688 CC...................... Non-CC.
Z94.81 (Bone marrow transplant 1,655 0.9778 5,447 2.0919 5,150 3.1918 CC...................... Non-CC.
status).
Z94.82 (Intestine transplant 119 1.5661 351 2.1844 230 3.2081 CC...................... Non-CC.
status).
Z94.83 (Pancreas transplant 1,789 1.2032 7,788 2.0739 4,536 3.1381 CC...................... Non-CC.
status).
Z94.84 (Stem cells transplant 3,083 1.1451 10,412 2.3041 8,835 3.2932 CC...................... Non-CC.
status).
Z95.811 (Presence of heart assist 1,053 1.6453 7,373 2.3089 5,974 3.1198 CC...................... Non-CC.
device).
Z95.812 (Presence of fully 45 2.0467 132 2.5603 142 2.4139 CC...................... Non-CC.
implantable artificial heart).
--------------------------------------------------------------------------------------------------------------------------------------------------------
[[Page 19245]]
The C1, C2, and C3 values in the table above are generally close to
1.0, 2.0, and 3.0, respectively. This indicates that these conditions
are more aligned with a non-CC than with either a CC or an MCC.
Therefore, the data suggest that when these BMI and transplant/cardiac
device status codes are reported as a secondary diagnosis, the
resources involved in caring for patients with these conditions
indicating health status are not aligned with those of a CC. Our
clinical advisors reviewed these data and believe the resources
involved in caring for patients with these conditions indicating health
status are more aligned with a non-CC. Our clinical advisors noted
that, in the absence of a diagnosis that represents a complication of
the patient's current status, the presence of a BMI within a stated
range or the fact that a patient has previously undergone a transplant
or cardiac device implant is not by itself a clinical indication of
increased severity of illness. Therefore, we are proposing to reassign
the severity level for all of the codes in the table above from a CC to
a non-CC.
(3) Results of Impact Analysis
Using claims data from the September 2018 update of the FY 2018
MedPAR file, we employed the following method to determine the impact
of changing severity level designation for the 1,492 ICD-10-CM
diagnosis codes. Edits and cost estimations used for relative weight
calculations were applied, resulting in 8,908,404 IPPS claims analyzed
for this impact evaluation of our proposed changes to severity levels.
We refer readers to section II.G. of the preamble of this proposed rule
for further information regarding the methodology for calculation of
the proposed relative weights.
First, we analyzed the 8,908,404 IPPS claims using the Version 36
ICD-10 MS-DRG GROUPER to determine the current distribution of severity
level designation. We identified 3,648,331 cases (41.0 percent)
reporting one or more secondary diagnosis codes assigned to the MCC
severity level, 3,612,600 cases (40.5 percent) reporting one or more
secondary diagnosis codes assigned to the CC severity level, and
1,647,473 cases (18.5 percent) not reporting a secondary diagnosis code
assigned to the MCC or CC severity level.
Next, we reprocessed the 8,908,404 claims using the proposed change
in severity level designation for the 1,492 ICD-10-CM diagnosis codes
to determine the impact on the distribution of severity level
designation. We identified 3,236,493 cases (36.3 percent) reporting one
or more secondary diagnosis codes that would be assigned to the MCC
severity level, 3,589,677 cases (40.3 percent) reporting one or more
secondary diagnosis codes that would be assigned to the CC severity
level, and 2,082,234 cases (23.4 percent) not reporting a secondary
diagnosis code that would be assigned to the MCC or CC severity level.
Below we provide a summary of the steps followed for the analysis
performed.
Step 1.--Analyzed 8,908,404 claims to determine the current
distribution of severity level designation.
Severity Level Distribution Before Proposed Changes--8,908,404 Claims
Analyzed
------------------------------------------------------------------------
------------------------------------------------------------------------
Number of cases reporting one or more 3,648,331 (41.0%)
secondary diagnosis codes assigned to the
MCC severity level.......................
Number of cases reporting one or more 3,612,600 (40.5%)
secondary diagnosis codes assigned to the
CC severity level........................
Number of cases reporting no secondary 1,647,473 (18.5%)
diagnosis codes assigned to the MCC or CC
severity level...........................
------------------------------------------------------------------------
Step 2.--Made proposed severity level changes to 1,492 ICD-10-CM
codes.
Step 2--Made proposed severity level changes to 1,492 ICD-10-CM codes.
------------------------------------------------------------------------
Proposed version 37 Number of
Current version 36 severity level severity level codes
------------------------------------------------------------------------
Non-CC............................ CC.................. 183
CC................................ Non-CC.............. 1,148
CC................................ MCC................. 8
MCC............................... Non-CC.............. 17
MCC............................... CC.................. 136
---------------
Total......................... .................... 1,492
------------------------------------------------------------------------
Step 3.--Reprocessed 8,908,404 claims to determine severity level
distribution after changes.
Severity Level Distribution after Proposed Changes--8,908,404 Claims
Analyzed
------------------------------------------------------------------------
------------------------------------------------------------------------
Number of cases reporting one or more 3,236,493 (36.3%)
secondary diagnosis codes assigned to the
MCC severity level.......................
Number of cases reporting one or more 3,589,677 (40.3%)
secondary diagnosis codes assigned to the
CC severity level........................
Number of cases reporting no secondary 2,082,234 (23.4%)
diagnosis codes assigned to the MCC or CC
severity level...........................
------------------------------------------------------------------------
The overall statistics by CC subgroup for the proposed Version 37
MS-DRGs are contained in the table below. Cases in the MCC subgroup
have average costs that are 62 percent higher than the average costs
for cases in the CC subgroup. The CC subgroup with the largest number
of cases is the CC subgroup with 40.3 percent of the cases.
[[Page 19246]]
Overall Statistics for Proposed MS-DRGs
----------------------------------------------------------------------------------------------------------------
Number of
CC subgroup cases Percent Average costs
----------------------------------------------------------------------------------------------------------------
Major........................................................... 3,236,493 36.3 $16,890
CC.............................................................. 3,589,677 40.3 10,518
Non-CC.......................................................... 2,082,234 23.4 10,166
----------------------------------------------------------------------------------------------------------------
The distribution of cases across the different types of CC
subgroups in the proposed Version 37 MS-DRGs is contained in the table
below. The table shows that 91 percent of the cases would be assigned
to base MS-DRGs with three CC subgroups, and only 9 percent of the
cases would be assigned to base MS-DRGs with no CC subgroups.
Distribution of Patient by Type of CC Subgroup in Proposed Version 37 MS-
DRGs
------------------------------------------------------------------------
CC subgroup Number Percent
------------------------------------------------------------------------
None.................................... 68 9
(MCC and CC), Non-CC.................... 84 11
MCC, (CC and Non-CC).................... 132 17
MCC, CC, and Non-CC..................... 477 63
-------------------------------
Total............................... 761 ..............
------------------------------------------------------------------------
We performed regression analysis to compare the variance in the MS-
DRGs with and without the proposed severity level designation changes
and thereby the impact of payment to cost ratios. The results of the
regression analysis showed a slight decrease in variance with the
proposed severity level designation changes, showing an R-squared of
35.9 percent after making the severity level changes, compared with an
R-squared of 35.6 percent in the current Version 36 ICD-10 MS-DRG
GROUPER. This indicates that the proposed severity level changes
increase the explanatory power of the GROUPER in capturing differences
in expected cost between the MS-DRGs and thus would improve the overall
accuracy of the IPPS payment system.
After considering the results of our data analysis, the clinical
judgment of our clinical advisors, and the overall aggregate impact of
these changes, we are proposing a change to the severity level
designations for 1,492 ICD-10-CM diagnosis codes as shown in Table
6P.1c. associated with this proposed rule (which is available via the
internet on the CMS website at: https://www.cms.hhs.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/.)
d. Requested Changes to Severity Levels
(1) Acute Right Heart Failure
We received a request to change the severity level for ICD-10-CM
diagnosis codes I50.811 (Acute right heart failure) and I50.813 (Acute
on chronic right heart failure) from a non-CC to an MCC. The requestor
stated that similar diagnosis codes in the classification are
designated as an MCC. We used the approach outlined earlier in this
section to evaluate this request. The following table shows the claims
data that were used to evaluate this request:
--------------------------------------------------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3 Current CC subclass Requested CC subclass
--------------------------------------------------------------------------------------------------------------------------------------------------------
I50.811 Acute right heart failure. 92 1.3290 470 2.5375 1,632 3.1907 non-CC.................. MCC.
I50.813 Acute on chronic right 183 1.4412 1,189 2.6036 3,099 3.2870 non-CC.................. MCC.
heart failure.
--------------------------------------------------------------------------------------------------------------------------------------------------------
For ICD-10-CM diagnosis code I50.811, the data suggest that the
resources involved in caring for a patient with this condition are 33
percent greater than expected when the patient has either no other
secondary diagnosis present, or all the other secondary diagnoses
present are non-CCs. The resources are 54 percent greater than expected
when reported in conjunction with another secondary diagnosis that is a
CC, and 19 percent greater than expected when reported in conjunction
with another secondary diagnosis code that is an MCC. Our clinical
advisors reviewed this request and agree that the resources involved in
caring for a patient with this condition are not aligned with those of
an MCC.
For ICD-10-CM diagnosis code I50.813, the data suggest that the
resources involved in caring for a patient with this condition are 44
percent greater than expected when the patient has either no other
secondary diagnosis present or all the other secondary diagnoses
present are non-CCs. The resources are 60 percent greater than expected
when reported in conjunction with another secondary diagnosis that is a
CC, and 28 percent greater than expected when reported in conjunction
with another secondary diagnosis code that is an MCC. Our clinical
advisors reviewed this request and agree that the resources involved in
caring for a patient with this condition are not aligned with those of
an MCC.
However, we note that although the data suggest that the resources
involved in caring for a patient with this condition are not aligned
with those of an MCC, the data suggest and our clinical advisors
believe that the resources appear to be aligned with
[[Page 19247]]
those of a CC. Therefore, we are soliciting public comment on whether a
CC severity level designation for ICD-10-CM diagnosis codes I50.811 and
I50.813 for FY 2020 is appropriate.
(2) Chronic Right Heart Failure
We received a request to change the severity level for ICD-10-CM
diagnosis code I50.812 (Chronic right heart failure) from a non-CC to a
CC. The requestor stated that this code warrants CC classification
because it indicates the presence and treatment of chronic heart
failure. We used the approach outlined earlier to evaluate this
request. The following table contains the data that we used to evaluate
this request:
--------------------------------------------------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3 Current CC subclass Requested CC subclass
--------------------------------------------------------------------------------------------------------------------------------------------------------
I50.812 Chronic right heart 179 1.5114 1,533 2.1146 1,758 3.0549 non-CC.................. CC.
failure.
--------------------------------------------------------------------------------------------------------------------------------------------------------
For ICD-10-CM diagnosis code I50.812, the data suggest that the
resources involved in caring for a patient with this condition are 51
percent greater than expected when the patient has either no other
secondary diagnosis present or all the other secondary diagnoses
present are non-CCs. The resources are 11 percent greater than expected
when reported in conjunction with another secondary diagnosis that is a
CC, and 5 percent greater than expected when reported in conjunction
with another secondary diagnosis code that is an MCC. Our clinical
advisors reviewed this request and agree that the resources involved in
caring for a patient with this condition are not aligned with those of
a CC. Therefore, we are not proposing a change to the severity level
for ICD-10-CM diagnosis code I50.812.
(3) Ascites in Alcoholic Liver Disease and Toxic Liver Disease
We received a request to change the severity level for ICD-10-CM
diagnosis codes K70.11 (Alcoholic hepatitis with ascites), K70.31
(Alcoholic cirrhosis with ascites), and K71.51 (Toxic liver disease
with chronic active hepatitis with ascites) from a non-CC to a CC. The
requestor stated that these codes warrant CC classification because
providers are not currently compensated for the ascites treatment. We
used the approach outlined earlier to evaluate this request. The
following table contains the data that we used to evaluate this
request.
--------------------------------------------------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3 Current CC subclass Requested CC subclass
--------------------------------------------------------------------------------------------------------------------------------------------------------
K70.11 Alcoholic hepatitis with 134 1.2952 1,940 2.3444 3,331 3.3635 non-CC.................. CC.
ascites.
K70.31 Alcoholic cirrhosis with 1,634 1.1129 18,675 2.2301 26,822 3.2479 non-CC.................. CC.
ascites.
K71.51 Toxic liver disease with 16 0.8913 218 2.1743 274 3.1418 non-CC.................. CC.
chronic active hepatitis with
ascites.
--------------------------------------------------------------------------------------------------------------------------------------------------------
For ICD-10-CM diagnosis code K70.11, the data suggest that the
resources involved in caring for a patient with this condition are 29
percent greater than expected when the patient has either no other
secondary diagnosis present or all the other secondary diagnoses
present are non-CCs. The resources are 34 percent greater than expected
when reported in conjunction with another secondary diagnosis that is a
CC, and 36 percent greater than expected when reported in conjunction
with another secondary diagnosis code that is an MCC. Our clinical
advisors reviewed this request and agree that the resources involved in
caring for a patient with this condition are not aligned with those of
a CC. Therefore, we are not proposing a change to the severity level
for ICD-10-CM diagnosis code K70.11.
For ICD-10-CM diagnosis code K70.31, the data suggest that the
resources involved in caring for a patient with this condition are 11
percent greater than expected when the patient has either no other
secondary diagnosis present or all the other secondary diagnoses
present are non-CCs. The resources are 23 percent greater than expected
when reported in conjunction with another secondary diagnosis that is a
CC, and 25 percent greater than expected when reported in conjunction
with another secondary diagnosis code that is an MCC. Our clinical
advisors reviewed this request and agree that the resources involved in
caring for a patient with this condition are not aligned with those of
a CC. Therefore, we are not proposing a change to the severity level
for ICD-10-CM diagnosis code K70.31.
For ICD-10-CM diagnosis code K71.51, the data suggest that the
resources involved in caring for a patient with this condition are 11
percent lower than expected when the patient has either no other
secondary diagnosis present, or all the other secondary diagnoses
present are non-CCs. The resources are 17 percent greater than expected
when reported in conjunction with another secondary diagnosis that is a
CC, and 14 percent greater than expected when reported in conjunction
with another secondary diagnosis code that is an MCC. Our clinical
advisors reviewed this request and agree that the resources involved in
caring for a patient with this condition are not aligned with those of
a CC. Therefore, we are not proposing a change to the severity level
for ICD-10-CM diagnosis code K71.51.
(4) Factitious Disorder Imposed on Self
We received a request to change the severity level for ICD-10-CM
diagnosis codes F68.11 (Factitious disorder imposed on self, with
predominantly psychological signs and symptoms) and F68.13 (Factitious
disorder imposed on self, with combined psychological and physical
signs and symptoms) from a
[[Page 19248]]
non-CC to a CC. The requestor stated that similar codes in the
classification are designated as a CC. We used the approach outlined
earlier to evaluate this request. The following table contains the data
that we used to evaluate this request.
--------------------------------------------------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3 Current CC subclass Requested CC subclass
--------------------------------------------------------------------------------------------------------------------------------------------------------
F68.11 Factitious disorder imposed 16 1.2040 59 0.9979 15 3.2395 non-CC.................. CC.
on self, with predominantly
psychological signs and symptoms.
F68.13 Factitious disorder imposed 4 1.6226 32 1.9840 11 4.0000 non-CC.................. CC.
on self, with combined
psychological and physical signs
and symptoms.
--------------------------------------------------------------------------------------------------------------------------------------------------------
For ICD-10-CM diagnosis code F68.11, the number of patients found
in the September 2018 update of the FY 2018 MedPAR data in each of the
subsets is 16, 59, and 15, and for ICD-10-CM diagnosis code F68.13, the
number of patients in each of the subsets is 4, 32, and 11. Our
clinical advisors reviewed this request and believe that due to the
small number of cases in the data, it is not possible to use
statistical methods to evaluate the impact on resource use of patients.
Our clinical advisors also do not believe there is a clinical basis to
change the severity level in the absence of data. Our clinical advisors
noted that if a patient was diagnosed with either one of these ICD-10-
CM diagnoses (ICM-10-CM diagnosis code F68.11 or F68.13), there would
more than likely be another diagnosis code reported that identifies the
psychological and/or physical symptoms the patient is experiencing that
may be a better indicator of resources utilized because these patients
often fabricate their illness and inflict injuries on themselves to
receive attention. For example, a patient may cut his or her finger,
resulting in a wound which requires repair. It is the cut and need for
repair that contribute to the resources consumed in caring for a
patient with this diagnosis. Therefore, we are not proposing a change
to the severity level for ICD-10-CM diagnosis codes F68.11 and F68.13
at this time.
(5) Nonunion and Malunion of Physeal Metatarsal Fractures
We received a request to change the severity level designations for
the following six ICD-10-CM diagnosis codes from a non-CC to a CC:
S99.101B (Unspecified physeal fracture of right metatarsal, initial
encounter for open fracture); S99.101K (Unspecified physeal fracture of
right metatarsal, subsequent encounter for fracture); S99.101P
(Unspecified physeal fracture of right metatarsal, subsequent encounter
for fracture with malunion); S99.132B (Salter-Harris Type III physeal
fracture of left metatarsal, initial encounter for open fracture),
S99.132K (Salter-Harris Type III physeal fracture of left metatarsal,
subsequent encounter for fracture with nonunion); and S99.132P (Salter-
Harris Type III physeal fracture of left metatarsal, subsequent
encounter for fracture with malunion with nonunion). The requestor
stated that similar codes for open fractures, nonunions, and malunions
of other sites currently are designated as CCs. However the requestor
did not provide the specific ICD-10-CM diagnosis codes that are
currently designated as CCs that the requestor believes are an
appropriate comparator. There are a considerable number of fractures,
nonunions, and malunions of other sites, some of which are designated
as CCs and others that are not. In particular, in evaluating this
request, we would want to review the appropriateness of designating
unspecified codes (that is, ICD-10-CM diagnosis codes S99.101B,
S99.101K, and S99.101P) as a CC, to avoid potentially discouraging more
detailed coding. In addition, none of the other ICD-10-CM diagnosis
codes describing Salter-Harris fractures (for example, ICD-10-CM
diagnosis codes in sub-subcategory S99.11- (Salter-Harris Type I
physeal fracture of metatarsal), S99.12- (Salter-Harris Type II physeal
fracture of metatarsal), S99.13- (Salter-Harris Type III physeal
fracture of metatarsal), and S99.14- (Salter-Harris Type IV physeal
fracture of metatarsal)) currently have a CC designation.
Given the lack of supporting information for this request and
because we believe this request may require further research and
analysis to evaluate the relevant category of fracture codes and fully
assess the claims data, we are unable to fully evaluate this request
for FY 2020. Therefore, at this time, we are not proposing changes to
the severity level designations for ICD-10-CM diagnosis codes S99.101B,
S99.101K, S99.101P, S99.132B, S99.132K, and S99.132P as the requestor
recommended.
(6) Other Encephalopathy
In the FY 2019 IPPS/LTCH PPS proposed rule (83 FR 20241), we
discussed a request that we had received to change the severity level
designation for ICD-10-CM diagnosis code G93.40 (Encephalopathy,
unspecified) from an MCC to a non-CC. We did not propose a change based
on the review of the claims data and input from our clinical advisors.
However, after a review of public comments in response to that
proposal, we finalized a change in the severity level designation for
ICD-10-CM diagnosis code G93.40 from an MCC to a CC (83 FR 41239).
We received a request to reconsider the change in the severity
level designation for ICD-10-CM diagnosis code G93.49 (Other
encephalopathy) from an MCC to a CC, as reflected in Table 6I.2--
Deletions to the MCC List and Table 6J.--Complete CC List that were
associated with the FY 2019 IPPS/LTCH PPS final rule, because the
requestor noted this diagnosis code was not discussed in the FY 2019
IPPS/LTCH PPS proposed or final rules along with the discussion of
related ICD-10-CM diagnosis code G93.40. The requestor stated that
diagnosis code G93.49 warrants an MCC classification to accurately
reflect severity of illness and resources contributing to an extended
length of stay for patients who have this condition.
Our clinical advisors reviewed the data for ICD-10-CM diagnosis
code G93.49 (Other encephalopathy) as set forth in the table below, and
noted that the C1 value is close to 2.0, which indicates that the
resource use is aligned with that of a CC, while the C2 value is about
halfway between 2.0 and 3.0, which is also consistent with the resource
use of a CC. They also compared the C1, C2, and C3 values of diagnosis
code G93.49 to those of diagnosis code G93.40, as also set forth in the
table below, and noted that the values were similar for both codes. Our
clinical advisors noted that similar to diagnosis code G93.40,
diagnosis code
[[Page 19249]]
G93.49 (Other encephalopathy) is poorly defined, not all
encephalopathies are MCCs, and the MCC status may create an incentive
for coding personnel to not pursue specificity of encephalopathy.
Therefore, they believe that these conditions are clinically similar
and should be assigned the same CC severity level status. Therefore, we
are not proposing any change to the severity level for ICD 10 CM
diagnosis code G93.49 (Other encephalopathy) for FY 2020.
----------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Cnt1 C1 Cnt2 C2 Cnt3 C3
----------------------------------------------------------------------------------------------------------------
G93.40 (Encephalopathy, unspecified).......... 32,023 1.812 161,991 2.494 294,088 3.289
G93.49 (Other encephalopathy)................. 4,258 1.758 23,203 2.536 40,836 3.349
----------------------------------------------------------------------------------------------------------------
(7) Obstetrics Chapter Codes
We received a request to change the severity level for 94 ICD-10-CM
diagnosis codes in the Obstetrics chapter of the ICD-10-CM diagnosis
classification that describe a variety of complications of pregnancy,
childbirth and the puerperium. The requestor stated that the
reclassification of the 94 obstetric diagnosis codes would more
appropriately reflect severity of illness and accurate MS-DRG grouping
after CMS' FY 2019 creation of new obstetric MS-DRGs subdivided by
severity level (with MCC, with CC, and without CC/MCC).
The 94 obstetrics codes associated with this request and their
current and requested severity level designation are shown in Table
6P.1e. associated with this proposed rule (which is available via the
internet on the CMS website at: https://www.cms.hhs.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/). We are
proposing to move some of these diagnosis codes to a higher severity
level and some diagnosis codes to a lower severity level. Our proposals
are shown in the table below.
Our clinical advisors indicated that the approach outlined
elsewhere in this section to evaluate requested changes to severity
levels, in which each diagnosis is evaluated using Medicare cost data
to determine the extent to which its presence as a secondary diagnosis
resulted in increased hospital resource use, could not be used to
evaluate this request because the number of obstetric patients in the
Medicare data was insufficient to perform evaluation using statistical
methods. Instead, our clinical advisors used their clinical judgment to
evaluate the requested changes to the severity levels for the 94
obstetrics diagnosis codes. Our clinical advisors concur with the
requestor that changes to the severity level for some of the obstetrics
diagnosis codes would more appropriately reflect severity of illness
and accurate MS-DRG grouping. Specifically, our clinical advisors
agreed with the requested change to severity from a non-CC to a CC for
10 of the diagnosis codes identified by the requestor because they
believe these conditions clinically warrant a CC designation. They
noted that 6 of the 10 diagnosis codes describe gestational diabetes
mellitus in pregnancy, gestational diabetes mellitus in childbirth, or
gestational diabetes mellitus in the puerperium requiring control,
either by insulin or oral hypoglycemic drugs and the condition would
require additional monitoring and resources in the inpatient setting.
They also noted that 2 of the 10 diagnosis codes describe maternal care
for other isoimmunization in the first trimester for single or multiple
gestations where the fetus is unspecified or fetus number 1 is
specified. They indicated that although there are additional diagnosis
codes describing maternal care for other isoimmunization in the first
trimester that uniquely identify fetus number 2 through fetus number 5,
as well as an ``other'' fetus beyond number 5, they do not believe
these other diagnosis codes have any additional impact on resource use
because treatment would be directed at the entire uterine cavity. They
further noted that 1 of the 10 diagnosis codes describes a conjoined
twin pregnancy in the third trimester and, while conjoined twins occur
rarely and carry a high risk of complications and mortality, they
believe the complexities are greatest in the third trimester. Lastly, 1
of the 10 diagnosis codes describes unspecified diabetes mellitus in
childbirth, and because the diagnosis codes describing unspecified
diabetes mellitus in pregnancy and unspecified diabetes mellitus in the
puerperium are designated as a CC, our clinical advisors agreed that
clinically, the condition occurring in childbirth warrants a CC
designation as well. Our clinical advisors also agreed with the
requested change to severity level from an MCC to a CC for 4 other
diagnosis codes identified by the requestor because, clinically, the CC
designation is consistent with the other diagnosis codes within those
diagnosis code families. For example, the diagnosis codes describing
preexisting type 1 diabetes mellitus in pregnancy, preexisting type 2
diabetes mellitus in pregnancy and unspecified preexisting diabetes
mellitus in pregnancy, regardless of trimester (first, second, third,
and unspecified) are all designated as CCs. Our clinical advisors
agreed that the diagnosis codes describing these same conditions ``in
childbirth'' also warrant a CC designation because the conditions do
not require additional resources or reflect a greater severity of
illness compared to the conditions when they occur ``in pregnancy''.
Therefore, we are proposing a change to the severity level for 14 ICD-
10-CM diagnosis codes as shown in the following table.
----------------------------------------------------------------------------------------------------------------
ICD-10-CM diagnosis code Current CC subclass Proposed CC subclass
----------------------------------------------------------------------------------------------------------------
O24.02 (Pre-existing type 1 diabetes mellitus, in MCC.......................... CC.
childbirth).
O24.12 (Pre-existing type 2 diabetes mellitus, in MCC.......................... CC.
childbirth).
O24.32 (Unspecified pre-existing diabetes mellitus MCC.......................... CC.
in childbirth).
O24.414 (Gestational diabetes mellitus in Non-CC....................... CC.
pregnancy, insulin controlled).
O24.415 (Gestational diabetes mellitus in Non-CC....................... CC.
pregnancy, controlled by oral hypoglycemic drugs).
O24.424 (Gestational diabetes mellitus in Non-CC....................... CC.
childbirth, insulin controlled).
O24.425 (Gestational diabetes mellitus in Non-CC....................... CC.
childbirth, controlled by oral hypoglycemic drugs).
O24.434 (Gestational diabetes mellitus in the Non-CC....................... CC.
puerperium, insulin controlled).
O24.435 (Gestational diabetes mellitus in Non-CC....................... CC.
puerperium, controlled by oral hypoglycemic drugs).
O24.82 (Other pre-existing diabetes mellitus in MCC.......................... CC.
childbirth).
O24.92 (Unspecified diabetes mellitus in Non-CC....................... CC.
childbirth).
[[Page 19250]]
O30.023 (Conjoined twin pregnancy, third trimester) Non-CC....................... CC.
O36.1910 (Maternal care for other isoimmunization, Non-CC....................... CC.
first trimester, not applicable or unspecified).
O36.1911 (Maternal care for other isoimmunization, Non-CC....................... CC.
first trimester, fetus 1).
----------------------------------------------------------------------------------------------------------------
Given the limited number of cases reporting ICD-10-CM obstetrical
codes in the Medicare claims data, we note that use of datasets other
than MedPAR cost data for future evaluation of severity level
designation for the ICD-10-CM diagnosis codes from the Obstetrics
chapter of the ICD-10-CM classification is under consideration.
e. Proposed Additions and Deletions to the Diagnosis Code Severity
Levels for FY 2020
The following tables identify the proposed additions and deletions
to the diagnosis code MCC severity levels list and the proposed
additions and deletions to the diagnosis code CC severity levels list
for FY 2020 and are available via the internet on the CMS website at:
https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/.
Table 6I.1--Proposed Additions to the MCC List--FY 2020;
Table 6I.2--Proposed Deletions to the MCC List--FY 2020;
Table 6J.1--Proposed Additions to the CC List--FY 2020; and
Table 6J.2--Proposed Deletions to the CC List--FY 2020.
f. Proposed CC Exclusions List for FY 2020
In the September 1, 1987 final notice (52 FR 33143) concerning
changes to the DRG classification system, we modified the GROUPER logic
so that certain diagnoses included on the standard list of CCs would
not be considered valid CCs in combination with a particular principal
diagnosis. We created the CC Exclusions List for the following reasons:
(1) To preclude coding of CCs for closely related conditions; (2) to
preclude duplicative or inconsistent coding from being treated as CCs;
and (3) to ensure that cases are appropriately classified between the
complicated and uncomplicated DRGs in a pair.
In the May 19, 1987 proposed notice (52 FR 18877) and the September
1, 1987 final notice (52 FR 33154), we explained that the excluded
secondary diagnoses were established using the following five
principles:
Chronic and acute manifestations of the same condition
should not be considered CCs for one another;
Specific and nonspecific (that is, not otherwise specified
(NOS)) diagnosis codes for the same condition should not be considered
CCs for one another;
Codes for the same condition that cannot coexist, such as
partial/total, unilateral/bilateral, obstructed/unobstructed, and
benign/malignant, should not be considered CCs for one another;
Codes for the same condition in anatomically proximal
sites should not be considered CCs for one another; and
Closely related conditions should not be considered CCs
for one another.
The creation of the CC Exclusions List was a major project
involving hundreds of codes. We have continued to review the remaining
CCs to identify additional exclusions and to remove diagnoses from the
master list that have been shown not to meet the definition of a CC. We
refer readers to the FY 2014 IPPS/LTCH PPS final rule (78 FR 50541
through 50544) for detailed information regarding revisions that were
made to the CC and CC Exclusion Lists under the ICD-9-CM MS-DRGs.
In this FY 2020 IPPS/LTCH PPS proposed rule, for FY 2020, we are
proposing changes to the ICD-10 MS-DRGs Version 37 CC Exclusion List.
Therefore, we have developed Table 6G.1.--Proposed Secondary Diagnosis
Order Additions to the CC Exclusions List--FY 2020; Table 6G.2.--
Proposed Principal Diagnosis Order Additions to the CC Exclusions
List--FY 2020; Table 6H.1.--Proposed Secondary Diagnosis Order
Deletions to the CC Exclusions List--FY 2020; and Table 6H.2.--Proposed
Principal Diagnosis Order Deletions to the CC Exclusions List--FY 2020.
For Table 6G.1, each secondary diagnosis code proposed for addition to
the CC Exclusion List is shown with an asterisk and the principal
diagnoses proposed to exclude the secondary diagnosis code are provided
in the indented column immediately following it. For Table 6G.2, each
of the principal diagnosis codes for which there is a CC exclusion is
shown with an asterisk and the conditions proposed for addition to the
CC Exclusion List that will not count as a CC are provided in an
indented column immediately following the affected principal diagnosis.
For Table 6H.1, each secondary diagnosis code proposed for deletion
from the CC Exclusion List is shown with an asterisk followed by the
principal diagnosis codes that currently exclude it. For Table 6H.2,
each of the principal diagnosis codes is shown with an asterisk and the
proposed deletions to the CC Exclusions List are provided in an
indented column immediately following the affected principal diagnosis.
Tables 6G.1., 6G.2., 6H.1., and 6H.2. associated with this proposed
rule are available via the internet on the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/.
15. Proposed Changes to the ICD-10-CM and ICD-10-PCS Coding Systems
To identify new, revised and deleted diagnosis and procedure codes,
for FY 2020, we have developed Table 6A.--New Diagnosis Codes, Table
6B.--New Procedure Codes, Table 6C.--Invalid Diagnosis Codes, Table
6D.--Invalid Procedure Codes, Table 6E.--Revised Diagnosis Code Titles,
and Table 6F.--Revised Procedure Code Titles for this proposed rule.
These tables are not published in the Addendum to this proposed
rule but are available via the internet on the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/ as described in section VI. of the
Addendum to this proposed rule. As discussed in section II.F.18. of the
preamble of this proposed rule, the code titles are adopted as part of
the ICD-10 (previously ICD-9-CM) Coordination and Maintenance Committee
process. Therefore, although we publish the code titles in the IPPS
proposed and final rules, they are not subject to comment in the
proposed or final rules.
We are proposing the MDC and MS-DRG assignments for the new
diagnosis and procedure codes as set forth in Table 6A.--New Diagnosis
Codes and Table 6B.--New Procedure Codes. In addition, the proposed
severity level designations for the new diagnosis codes are set forth
in Table 6A. and the proposed O.R. status for the new procedure codes
are set forth in Table 6B.
We are making available on the CMS website at https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/
[[Page 19251]]
the following tables associated with this proposed rule:
Table 6A.--New Diagnosis Codes--FY 2020;
Table 6B.--New Procedure Codes--FY 2020;
Table 6C.--Invalid Diagnosis Codes--FY 2020;
Table 6D.--Invalid Procedure Codes--FY 2020;
Table 6E.--Revised Diagnosis Code Titles--FY 2020;
Table 6F.--Revised Procedure Code Titles--FY 2020;
Table 6G.1.--Proposed Secondary Diagnosis Order Additions
to the CC Exclusions List--FY 2020;
Table 6G.2.--Proposed Principal Diagnosis Order Additions
to the CC Exclusions List--FY 2020;
Table 6H.1.--Proposed Secondary Diagnosis Order Deletions
to the CC Exclusions List--FY 2020;
Table 6H.2.--Proposed Principal Diagnosis Order Deletions
to the CC Exclusions List--FY 2020;
Table 6I.1.--Proposed Additions to the MCC List--FY 2020;
Table 6I.2.-Proposed Deletions to the MCC List--FY 2020;
Table 6J.1.--Proposed Additions to the CC List--FY 2020;
and
Table 6J.2.--Proposed Deletions to the CC List--FY 2020.
16. Proposed Changes to the Medicare Code Editor (MCE)
The Medicare Code Editor (MCE) is a software program that detects
and reports errors in the coding of Medicare claims data. Patient
diagnoses, procedure(s), and demographic information are entered into
the Medicare claims processing systems and are subjected to a series of
automated screens. The MCE screens are designed to identify cases that
require further review before classification into an MS-DRG.
As discussed in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41220),
we made available the FY 2019 ICD-10 MCE Version 36 manual file. The
link to this MCE manual file, along with the link to the mainframe and
computer software for the MCE Version 36 (and ICD-10 MS-DRGs) are
posted on the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/MS-DRG-Classifications-and-Software.html.
For this FY 2020 IPPS/LTCH PPS proposed rule, below we address the
MCE requests we received by the November 1, 2018 deadline. We also
discuss the proposals we are making based on our internal review and
analysis.
a. Age Conflict Edit: Maternity Diagnoses
In the MCE, the Age conflict edit exists to detect inconsistencies
between a patient's age and any diagnosis on the patient's record; for
example, a 5-year-old patient with benign prostatic hypertrophy or a
78-year-old patient coded with a delivery. In these cases, the
diagnosis is clinically and virtually impossible for a patient of the
stated age. Therefore, either the diagnosis or the age is presumed to
be incorrect. Currently, in the MCE, the following four age diagnosis
categories appear under the Age conflict edit and are listed in the
manual and written in the software program:
Perinatal/Newborn--Age of 0 years only; a subset of
diagnoses which will only occur during the perinatal or newborn period
of age 0 (for example, tetanus neonatorum, health examination for
newborn under 8 days old).
Pediatric--Age is 0-17 years inclusive (for example,
Reye's syndrome, routine child health exam).
Maternity--Age range is 12-55 years inclusive (for
example, diabetes in pregnancy, antepartum pulmonary complication).
Adult--Age range is 15-124 years inclusive (for example,
senile delirium, mature cataract).
Under the ICD-10 MCE, the maternity diagnoses category for the Age
conflict edit considers the age range of 12 to 55 years inclusive. For
that reason, the diagnosis codes on this Age conflict edit list would
be expected to apply to conditions or disorders specific to that age
group only.
We received a request to reconsider the age range associated with
the maternity diagnoses category for the Age conflict edit. According
to the requestor, pregnancies can and do occur prior to age 12 and
after age 55. The requestor suggested that a more appropriate age range
would be from age 9 to age 64 for the maternity diagnoses category.
We agree with the requestor that pregnancies can and do occur prior
to the age of 12 and after the age of 55. We also agree that the
suggested range, age 9 to age 64, is an appropriate age range.
Therefore, we are proposing to revise the maternity diagnoses category
for the Age conflict edit to consider the new age range of 9 to 64
years inclusive.
b. Sex Conflict Edit: Diagnoses for Females Only Edit
In the MCE, the Sex conflict edit detects inconsistencies between a
patient's sex and any diagnosis or procedure on the patient's record;
for example, a male patient with cervical cancer (diagnosis) or a
female patient with a prostatectomy (procedure). In both instances, the
indicated diagnosis or the procedure conflicts with the stated sex of
the patient. Therefore, the patient's diagnosis, procedure, or sex is
presumed to be incorrect.
As discussed in section II.F.15. of the preamble of this proposed
rule, Table 6A.--New Diagnosis Codes which is associated with this
proposed rule (and is available via the internet on the CMS website at:
https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/) lists the new diagnosis codes that have
been approved to date which will be effective with discharges on and
after October 1, 2019. ICD-10-CM diagnosis code N99.85 (Post
endometrial ablation syndrome) is a new code that describes a condition
consistent with the female sex. We are proposing to add this diagnosis
code to the Diagnoses for Females Only edit code list under the Sex
conflict edit.
c. Unacceptable Principal Diagnosis Edit
In the MCE, there are select codes that describe a circumstance
that influences an individual's health status but does not actually
describe a current illness or injury. There also are codes that are not
specific manifestations but may be due to an underlying cause. These
codes are considered unacceptable as a principal diagnosis. In limited
situations, there are a few codes on the MCE Unacceptable Principal
Diagnosis edit code list that are considered ``acceptable'' when a
specified secondary diagnosis is also coded and reported on the claim.
ICD-10-CM diagnosis codes I46.2 (Cardiac arrest due to underlying
cardiac condition) and I46.8 (Cardiac arrest due to other underlying
condition) are codes that clearly specify cardiac arrest as being due
to an underlying condition. Also, in the ICD-10-CM Tabular List, there
are instructional notes to ``Code first underlying cardiac condition''
at ICD-10-CM diagnosis code I46.2 and to ``Code first underlying
condition'' at ICD-10-CM diagnosis code I46.8. Therefore, we are
proposing to add ICD-10-CM diagnosis codes I46.2 and I46.8 to the
Unacceptable Principal Diagnosis Category edit code list.
As discussed in section II.F.15. of the preamble of this proposed
rule, Table 6A.--New Diagnosis Codes associated with this proposed rule
(which is available via the internet on the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/) lists the new diagnosis
[[Page 19252]]
codes that have been approved to date that will be effective with
discharges occurring on and after October 1, 2019.
We are proposing to add the new ICD-10-CM diagnosis codes listed in
the following table to the Unacceptable Principal Diagnosis Category
edit code list, as these codes are consistent with other ICD-10-CM
diagnosis codes currently included on the Unacceptable Principal
Diagnosis Category edit code list.
------------------------------------------------------------------------
ICD-10-CM code Code description
------------------------------------------------------------------------
T50.915A.................. Adverse effect of multiple unspecified
drugs, medicaments and biological
substances, initial encounter.
T50.915D.................. Adverse effect of multiple unspecified
drugs, medicaments and biological
substances, subsequent encounter.
T50.915S.................. Adverse effect of multiple unspecified
drugs, medicaments and biological
substances, sequela.
T50.916A.................. Underdosing of multiple unspecified drugs,
medicaments and biological substances,
initial encounter.
T50.916D.................. Underdosing of multiple unspecified drugs,
medicaments and biological substances,
subsequent encounter.
T50.916S.................. Underdosing of multiple unspecified drugs,
medicaments and biological substances,
sequela.
Z11.7..................... Encounter for testing for latent
tuberculosis infection.
Z22.7..................... Latent tuberculosis.
Z71.84.................... Encounter for health counseling related to
travel.
Z86.002................... Personal history of in-situ neoplasm of
other and unspecified genital organs.
Z86.003................... Personal history of in-situ neoplasm of oral
cavity, esophagus and stomach.
Z86.004................... Personal history of in-situ neoplasm of
other and unspecified digestive organs.
Z86.005................... Personal history of in-situ neoplasm of
middle ear and respiratory system.
Z86.006................... Personal history of melanoma in-situ.
------------------------------------------------------------------------
d. Non-Covered Procedure Edit
In the MCE, the Non-Covered Procedure edit identifies procedures
for which Medicare does not provide payment. Payment is not provided
due to specific criteria that are established in the National Coverage
Determination (NCD) process. We refer readers to the website at:
https://www.cms.gov/Medicare/Coverage/Determination Process/
howtorequestanNCD.html for additional information on this process. In
addition, there are procedures that would normally not be paid by
Medicare but, due to the presence of certain diagnoses, are paid.
As discussed in section II.F.15. of the preamble of this proposed
rule, Table 6D.--Invalid Procedure Codes associated with this proposed
rule (which is available via the internet on the CMS website at:
https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatient PPS/) lists the procedure codes that are no
longer effective as of October 1, 2019. Included in this table are the
following ICD-10-PCS procedure codes listed on the Non-Covered
Procedure edit code list.
------------------------------------------------------------------------
ICD-10-PCS code Code description
------------------------------------------------------------------------
037G3Z6................... Dilation of intracranial artery,
bifurcation, percutaneous approach.
037G4Z6................... Dilation of intracranial artery,
bifurcation, percutaneous endoscopic
approach.
------------------------------------------------------------------------
We are proposing to remove these codes from the Non-Covered
Procedure edit code list. In addition, as discussed in section
II.F.2.b. of the preamble of this proposed rule, a number of ICD-10-PCS
procedure codes describing bone marrow transplant procedures were the
subject of a proposal discussed at the March 5-6, 2019 ICD-10
Coordination and Maintenance Committee meeting, to be deleted effective
October 1, 2019. We are proposing that if the applicable proposal is
finalized, we would delete the subset of those ICD-10-PCS procedure
codes that are currently listed on the Non-Covered Procedure edit code
list as shown in the following table.
------------------------------------------------------------------------
ICD-10-PCS code Code description
------------------------------------------------------------------------
30250G0................... Transfusion of autologous bone marrow into
peripheral artery, open approach.
30250Y0................... Transfusion of autologous hematopoietic stem
cells into peripheral artery, open
approach.
30253G0................... Transfusion of autologous bone marrow into
peripheral artery, percutaneous approach.
30253Y0................... Transfusion of autologous hematopoietic stem
cells into peripheral artery, percutaneous
approach.
30260G0................... Transfusion of autologous bone marrow into
central artery, open approach.
30260Y0................... Transfusion of autologous hematopoietic stem
cells into central artery, open approach.
30263G0................... Transfusion of autologous bone marrow into
central artery, percutaneous approach.
30263Y0................... Transfusion of autologous hematopoietic stem
cells into central artery, percutaneous
approach.
------------------------------------------------------------------------
e. Future Enhancement
In the FY 2018 IPPS/LTCH PPS final rule (82 FR 38053 through
38054), we noted the importance of ensuring accuracy of the coded data
from the reporting, collection, processing, coverage, payment, and
analysis aspects. We have engaged a contractor to assist in the review
of the limited coverage and noncovered procedure edits in the MCE that
may also be present in other claims processing systems that are
utilized by our MACs. The MACs must adhere to criteria specified within
the National Coverage Determinations (NCDs) and may implement their own
edits in addition to what are already incorporated into the MCE,
resulting in duplicate edits. The objective of this review is to
identify where duplicate edits may exist and to determine what the
impact might be if these edits were to be removed from the MCE.
We have noted that the purpose of the MCE is to ensure that errors
and inconsistencies in the coded data are recognized during Medicare
claims processing. As we indicated in the FY 2019 IPPS/LTCH PPS final
rule (83 FR
[[Page 19253]]
41228), we are considering whether the inclusion of coverage edits in
the MCE necessarily aligns with that specific goal because the focus of
coverage edits is on whether or not a particular service is covered for
payment purposes and not whether it was coded correctly.
As we continue to evaluate the purpose and function of the MCE with
respect to ICD-10, we encourage public input for future discussion. As
we have discussed in prior rulemaking, we recognize a need to further
examine the current list of edits and the definitions of those edits.
We continue to encourage public comments on whether there are
additional concerns with the current edits, including specific edits or
language that should be removed or revised, edits that should be
combined, or new edits that should be added to assist in detecting
errors or inaccuracies in the coded data. Comments should be directed
to the MS-DRG Classification Change Mailbox located at:
[email protected] by November 1, 2019 for the FY
2021 rulemaking.
17. Proposed Changes to Surgical Hierarchies
Some inpatient stays entail multiple surgical procedures, each one
of which, occurring by itself, could result in assignment of the case
to a different MS-DRG within the MDC to which the principal diagnosis
is assigned. Therefore, it is necessary to have a decision rule within
the GROUPER by which these cases are assigned to a single MS-DRG. The
surgical hierarchy, an ordering of surgical classes from most resource-
intensive to least resource-intensive, performs that function.
Application of this hierarchy ensures that cases involving multiple
surgical procedures are assigned to the MS-DRG associated with the most
resource-intensive surgical class.
A surgical class can be composed of one or more MS-DRGs. For
example, in MDC 11, the surgical class ``kidney transplant'' consists
of a single MS-DRG (MS-DRG 652) and the class ``major bladder
procedures'' consists of three MS-DRGs (MS-DRGs 653, 654, and 655).
Consequently, in many cases, the surgical hierarchy has an impact on
more than one MS-DRG. The methodology for determining the most
resource-intensive surgical class involves weighting the average
resources for each MS-DRG by frequency to determine the weighted
average resources for each surgical class. For example, assume surgical
class A includes MS-DRGs 001 and 002 and surgical class B includes MS-
DRGs 003, 004, and 005. Assume also that the average costs of MS-DRG
001 are higher than that of MS-DRG 003, but the average costs of MS-
DRGs 004 and 005 are higher than the average costs of MS-DRG 002. To
determine whether surgical class A should be higher or lower than
surgical class B in the surgical hierarchy, we would weigh the average
costs of each MS-DRG in the class by frequency (that is, by the number
of cases in the MS-DRG) to determine average resource consumption for
the surgical class. The surgical classes would then be ordered from the
class with the highest average resource utilization to that with the
lowest, with the exception of ``other O.R. procedures'' as discussed in
this proposed rule.
This methodology may occasionally result in assignment of a case
involving multiple procedures to the lower-weighted MS-DRG (in the
highest, most resource-intensive surgical class) of the available
alternatives. However, given that the logic underlying the surgical
hierarchy provides that the GROUPER search for the procedure in the
most resource-intensive surgical class, in cases involving multiple
procedures, this result is sometimes unavoidable.
We note that, notwithstanding the foregoing discussion, there are a
few instances when a surgical class with a lower average cost is
ordered above a surgical class with a higher average cost. For example,
the ``other O.R. procedures'' surgical class is uniformly ordered last
in the surgical hierarchy of each MDC in which it occurs, regardless of
the fact that the average costs for the MS-DRG or MS-DRGs in that
surgical class may be higher than those for other surgical classes in
the MDC. The ``other O.R. procedures'' class is a group of procedures
that are only infrequently related to the diagnoses in the MDC, but are
still occasionally performed on patients with cases assigned to the MDC
with these diagnoses. Therefore, assignment to these surgical classes
should only occur if no other surgical class more closely related to
the diagnoses in the MDC is appropriate.
A second example occurs when the difference between the average
costs for two surgical classes is very small. We have found that small
differences generally do not warrant reordering of the hierarchy
because, as a result of reassigning cases on the basis of the hierarchy
change, the average costs are likely to shift such that the higher-
ordered surgical class has lower average costs than the class ordered
below it.
Based on the changes that we are proposing to make in this FY 2020
IPPS/LTCH PPS proposed rule, as discussed in section II.F.5. of this
preamble of this proposed rule, we are proposing to revise the surgical
hierarchy for MDC 5 (Diseases and Disorders of the Circulatory System)
as follows: In MDC 5, we are proposing to sequence proposed new MS-DRGs
319 and 320 (Other Endovascular Cardiac Valve Procedures with and
without MCC, respectively) above MS-DRGs 222, 223, 224, 225, 226, and
227 (Cardiac Defibrillator Implant with and without Cardiac
Catheterization with and without AMI/HF/Shock with and without MCC,
respectively) and below MS-DRGs 266 and 267 (Endovascular Cardiac Valve
Replacement with and without MCC, respectively). We also note that, as
discussed in section II.F.5.a. of this preamble of this proposed rule,
we are proposing to revise the titles for MS-DRGs 266 and 267 to
``Endovascular Cardiac Valve Replacement and Supplement Procedures with
MCC'' and ``Endovascular Cardiac Valve Replacement and Supplement
Procedures without MCC'', respectively.
Our proposal for Appendix D--MS-DRG Surgical Hierarchy by MDC and
MS-DRG of the ICD-10 MS-DRG Definitions Manual Version 37 is
illustrated in the following table.
Proposed Surgical Hierarchy: MDC 5
------------------------------------------------------------------------
------------------------------------------------------------------------
MS-DRG 215............................. Other Heart Assist System
Implant.
MS-DRGs 216-221........................ Cardiac Valve and Other Major
Cardiothoracic Procedures.
MS-DRGs 266 and 267.................... Endovascular Cardiac Valve
Procedures.
Proposed New MS-DRGs 319 and 320....... Other Endovascular Cardiac
Valve Procedures.
MS-DRGs 222-227........................ Cardiac Defibrillator Implant.
------------------------------------------------------------------------
[[Page 19254]]
As with other MS-DRG related issues, we encourage commenters to
submit requests to examine ICD-10 claims pertaining to the surgical
hierarchy via the CMS MS-DRG Classification Change Request Mailbox
located at: [email protected] by November 1, 2019
for consideration for FY 2021.
18. Maintenance of the ICD-10-CM and ICD-10-PCS Coding Systems
In September 1985, the ICD-9-CM Coordination and Maintenance
Committee was formed. This is a Federal interdepartmental committee,
co-chaired by the National Center for Health Statistics (NCHS), the
Centers for Disease Control and Prevention (CDC), and CMS, charged with
maintaining and updating the ICD-9-CM system. The final update to ICD-
9-CM codes was made on October 1, 2013. Thereafter, the name of the
Committee was changed to the ICD-10 Coordination and Maintenance
Committee, effective with the March 19-20, 2014 meeting. The ICD-10
Coordination and Maintenance Committee addresses updates to the ICD-10-
CM and ICD-10-PCS coding systems. The Committee is jointly responsible
for approving coding changes, and developing errata, addenda, and other
modifications to the coding systems to reflect newly developed
procedures and technologies and newly identified diseases. The
Committee is also responsible for promoting the use of Federal and non-
Federal educational programs and other communication techniques with a
view toward standardizing coding applications and upgrading the quality
of the classification system.
The official list of ICD-9-CM diagnosis and procedure codes by
fiscal year can be found on the CMS website at: https://cms.hhs.gov/Medicare/Coding/ICD9ProviderDiagnosticCodes/codes.html. The official
list of ICD-10-CM and ICD-10-PCS codes can be found on the CMS website
at: https://www.cms.gov/Medicare/Coding/ICD10/.
The NCHS has lead responsibility for the ICD-10-CM and ICD-9-CM
diagnosis codes included in the Tabular List and Alphabetic Index for
Diseases, while CMS has lead responsibility for the ICD-10-PCS and ICD-
9-CM procedure codes included in the Tabular List and Alphabetic Index
for Procedures.
The Committee encourages participation in the previously mentioned
process by health-related organizations. In this regard, the Committee
holds public meetings for discussion of educational issues and proposed
coding changes. These meetings provide an opportunity for
representatives of recognized organizations in the coding field, such
as the American Health Information Management Association (AHIMA), the
American Hospital Association (AHA), and various physician specialty
groups, as well as individual physicians, health information management
professionals, and other members of the public, to contribute ideas on
coding matters. After considering the opinions expressed at the public
meetings and in writing, the Committee formulates recommendations,
which then must be approved by the agencies.
The Committee presented proposals for coding changes for
implementation in FY 2020 at a public meeting held on September 11-12,
2018, and finalized the coding changes after consideration of comments
received at the meetings and in writing by November 13, 2018.
The Committee held its 2019 meeting on March 5-6, 2019. The
deadline for submitting comments on these code proposals is scheduled
for April 5, 2019. It was announced at this meeting that any new
diagnosis and procedure codes for which there was consensus of public
support and for which complete tabular and indexing changes would be
made by May 2019 would be included in the October 1, 2019 update to the
ICD-10-CM diagnosis and ICD-10-PCS procedure code sets. As discussed in
earlier sections of the preamble of this proposed rule, there are new,
revised, and deleted ICD-10-CM diagnosis codes and ICD-10-PCS procedure
codes that are captured in Table 6A.--New Diagnosis Codes, Table 6B.--
New Procedure Codes, Table 6C.--Invalid Diagnosis Codes, Table 6D.--
Invalid Procedure Codes, Table 6E.--Revised Diagnosis Code Titles, and
Table 6F.--Revised Procedure Code Titles for this proposed rule, which
are available via the internet on the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/. The code titles are adopted as part of
the ICD-10 (previously ICD-9-CM) Coordination and Maintenance Committee
process. Therefore, although we make the code titles available for the
IPPS proposed rule, they are not subject to comment in the proposed
rule. Because of the length of these tables, they are not published in
the Addendum to the proposed rule. Rather, they are available via the
internet as discussed in section VI. of the Addendum to this proposed
rule.
Live Webcast recordings of the discussions of the diagnosis and
procedure codes at the Committee's September 11-12, 2018 meeting can be
obtained from the CMS website at: https://cms.hhs.gov/Medicare/Coding/ICD9ProviderDiagnosticCodes/?redirect=/icd9ProviderDiagnosticCodes/03_meetings.asp. The live webcast
recordings of the discussions of the diagnosis and procedure codes at
the Committee's March 5-6, 2019 meeting can be obtained from the CMS
website at: https://www.cms.gov/Medicare/Coding/ICD10/C-and-M-Meeting-Materials.html.
The materials for the discussions relating to diagnosis codes at
the September 11-12 2018 meeting and March 5-6, 2019 meeting can be
found at: https://www.cdc.gov/nchs/icd/icd10cm_maintenance.html. These
websites also provide detailed information about the Committee,
including information on requesting a new code, attending a Committee
meeting, and timeline requirements and meeting dates.
We encourage commenters to address suggestions on coding issues
involving diagnosis codes to: Donna Pickett, Co-Chairperson, ICD-10
Coordination and Maintenance Committee, NCHS, Room 2402, 3311 Toledo
Road, Hyattsville, MD 20782. Comments may be sent by Email to:
[email protected].
Questions and comments concerning the procedure codes should be
submitted via Email to: ICDProcedure [email protected].
In the September 7, 2001 final rule implementing the IPPS new
technology add-on payments (66 FR 46906), we indicated we would attempt
to include proposals for procedure codes that would describe new
technology discussed and approved at the Spring meeting as part of the
code revisions effective the following October.
Section 503(a) of Public Law 108-173 included a requirement for
updating diagnosis and procedure codes twice a year instead of a single
update on October 1 of each year. This requirement was included as part
of the amendments to the Act relating to recognition of new technology
under the IPPS. Section 503(a) amended section 1886(d)(5)(K) of the Act
by adding a clause (vii) which states that the Secretary shall provide
for the addition of new diagnosis and procedure codes on April 1 of
each year, but the addition of such codes shall not require the
Secretary to adjust the payment (or diagnosis-related group
classification) until the fiscal year that begins after such date. This
requirement improves the recognition of new technologies under the IPPS
by providing information on these new technologies
[[Page 19255]]
at an earlier date. Data will be available 6 months earlier than would
be possible with updates occurring only once a year on October 1.
While section 1886(d)(5)(K)(vii) of the Act states that the
addition of new diagnosis and procedure codes on April 1 of each year
shall not require the Secretary to adjust the payment, or DRG
classification, under section 1886(d) of the Act until the fiscal year
that begins after such date, we have to update the DRG software and
other systems in order to recognize and accept the new codes. We also
publicize the code changes and the need for a mid-year systems update
by providers to identify the new codes. Hospitals also have to obtain
the new code books and encoder updates, and make other system changes
in order to identify and report the new codes.
The ICD-10 (previously the ICD-9-CM) Coordination and Maintenance
Committee holds its meetings in the spring and fall in order to update
the codes and the applicable payment and reporting systems by October 1
of each year. Items are placed on the agenda for the Committee meeting
if the request is received at least 3 months prior to the meeting. This
requirement allows time for staff to review and research the coding
issues and prepare material for discussion at the meeting. It also
allows time for the topic to be publicized in meeting announcements in
the Federal Register as well as on the CMS website. A complete addendum
describing details of all diagnosis and procedure coding changes, both
tabular and index, is published on the CMS and NCHS websites in June of
each year. Publishers of coding books and software use this information
to modify their products that are used by health care providers. This
5-month time period has proved to be necessary for hospitals and other
providers to update their systems.
A discussion of this timeline and the need for changes are included
in the December 4-5, 2005 ICD-9-CM Coordination and Maintenance
Committee Meeting minutes. The public agreed that there was a need to
hold the fall meetings earlier, in September or October, in order to
meet the new implementation dates. The public provided comment that
additional time would be needed to update hospital systems and obtain
new code books and coding software. There was considerable concern
expressed about the impact this April update would have on providers.
In the FY 2005 IPPS final rule, we implemented section
1886(d)(5)(K)(vii) of the Act, as added by section 503(a) of Public Law
108-173, by developing a mechanism for approving, in time for the April
update, diagnosis and procedure code revisions needed to describe new
technologies and medical services for purposes of the new technology
add-on payment process. We also established the following process for
making these determinations. Topics considered during the Fall ICD-10
(previously ICD-9-CM) Coordination and Maintenance Committee meeting
are considered for an April 1 update if a strong and convincing case is
made by the requestor at the Committee's public meeting. The request
must identify the reason why a new code is needed in April for purposes
of the new technology process. The participants at the meeting and
those reviewing the Committee meeting materials and live webcast are
provided the opportunity to comment on this expedited request. All
other topics are considered for the October 1 update. Participants at
the Committee meeting are encouraged to comment on all such requests.
There were not any requests approved for an expedited April l, 2019
implementation of a code at the September 11-12, 2018 Committee
meeting. Therefore, there were not any new codes for implementation on
April 1, 2019.
ICD-9-CM addendum and code title information is published on the
CMS website at: https://www.cms.hhs.gov/Medicare/Coding/ICD9ProviderDiagnosticCodes/?redirect=/icd9ProviderDiagnosticCodes/01overview.asp#TopofPage. ICD-10-CM and
ICD-10-PCS addendum and code title information is published on the CMS
website at: https://www.cms.gov/Medicare/Coding/ICD10/. CMS
also sends copies of all ICD-10-CM and ICD-10-PCS coding changes to its
Medicare contractors for use in updating their systems and providing
education to providers.
Information on ICD-10-CM diagnosis codes, along with the Official
ICD-10-CM Coding Guidelines, can also be found on the CDC website at:
https://www.cdc.gov/nchs/icd/icd10.htm. Additionally, information on
new, revised, and deleted ICD-10-CM diagnosis and ICD-10-PCS procedure
codes is provided to the AHA for publication in the Coding Clinic for
ICD-10. AHA also distributes coding update information to publishers
and software vendors.
The following chart shows the number of ICD-10-CM and ICD-10-PCS
codes and code changes since FY 2016 when ICD-10 was implemented.
Total Number of Codes and Changes in Total Number of Codes per Fiscal
Year ICD-10-CM and ICD-10-PCS Codes
------------------------------------------------------------------------
Fiscal year Number Change
------------------------------------------------------------------------
FY 2016:
ICD-10-CM......................................... 69,823 ........
ICD-10-PCS........................................ 71,974 ........
FY 2017:
ICD-10-CM......................................... 71,486 +1,663
ICD-10-PCS........................................ 75,789 +3,815
FY 2018:
ICD-10-CM......................................... 71,704 +218
ICD-10-PCS........................................ 78,705 +2,916
FY 2019:
ICD-10-CM......................................... 71,932 +228
ICD-10-PCS........................................ 78,881 +176
FY 2020 (Proposed):
ICD-10-CM......................................... 72,184 +252
ICD-10-PCS........................................ 77,221 -1,660
------------------------------------------------------------------------
As mentioned previously, the public is provided the opportunity to
comment on any requests for new diagnosis or procedure codes discussed
at the ICD-10 Coordination and Maintenance Committee meeting.
19. Replaced Devices Offered Without Cost or With a Credit
a. Background
In the FY 2008 IPPS final rule with comment period (72 FR 47246
through 47251), we discussed the topic of Medicare payment for devices
that are replaced without cost or where credit for a replaced device is
furnished to the hospital. We implemented a policy to reduce a
hospital's IPPS payment for certain MS-DRGs where the implantation of a
device that subsequently failed or was recalled determined the base MS-
DRG assignment. At that time, we specified that we will reduce a
hospital's IPPS payment for those MS-DRGs where the hospital received a
credit for a replaced device equal to 50 percent or more of the cost of
the device.
In the FY 2012 IPPS/LTCH PPS final rule (76 FR 51556 through
51557), we clarified this policy to state that the policy applies if
the hospital received a credit equal to 50 percent or more of the cost
of the replacement device and issued instructions to hospitals
accordingly.
b. Proposed Changes for FY 2020
As discussed in section II.F.5.a. of the preamble of this proposed
rule, for FY 2020, we are proposing to create new MS-DRGs 319 and 320
(Other Endovascular Cardiac Valve Procedures with and without MCC,
respectively) and to revise the title for MS-DRG 266 from
``Endovascular Cardiac Valve Replacement with MCC'' to
[[Page 19256]]
``Endovascular Cardiac Valve Replacement and Supplement Procedures with
MCC'' and the title for MS-DRG 267 from ``Endovascular Cardiac Valve
Replacement without MCC'' to ``Endovascular Cardiac Valve Replacement
and Supplement Procedures without MCC''.
As stated in the FY 2016 IPPS/LTCH PPS proposed rule (80 FR 24409),
we generally map new MS-DRGs onto the list when they are formed from
procedures previously assigned to MS-DRGs that are already on the list.
Currently, MS-DRGs 216 through 221 are on the list of MS-DRGs subject
to the policy for payment under the IPPS for replaced devices offered
without cost or with a credit as shown in the table below. A subset of
the procedures currently assigned to MS-DRGs 216 through 221 is being
proposed for assignment to proposed new MS-DRGs 319 and 320. Therefore,
we are proposing that if the applicable proposed MS-DRG changes are
finalized, we also would add proposed new MS-DRGs 319 and 320 to the
list of MS-DRGs subject to the policy for payment under the IPPS for
replaced devices offered without cost or with a credit and make
conforming changes to the titles of MS-DRGs 266 and 267 as reflected in
the table below. We also are proposing to continue to include the
existing MS-DRGs currently subject to the policy as also displayed in
the table below.
------------------------------------------------------------------------
MDC MS-DRG MS-DRG title
------------------------------------------------------------------------
Pre-MDC................... 001 Heart Transplant or Implant
of Heart Assist System with
MCC.
Pre-MDC................... 002 Heart Transplant or Implant
of Heart Assist System
without MCC.
1......................... 023 Craniotomy with Major Device
Implant or Acute Complex
CNS Principal Diagnosis
with MCC or Chemotherapy
Implant or Epilepsy with
Neurostimulator.
1......................... 024 Craniotomy with Major Device
Implant or Acute Complex
CNS Principal Diagnosis
without MCC.
1......................... 025 Craniotomy & Endovascular
Intracranial Procedures
with MCC.
1......................... 026 Craniotomy & Endovascular
Intracranial Procedures
with CC.
1......................... 027 Craniotomy & Endovascular
Intracranial Procedures
without CC/MCC.
1......................... 040 Peripheral, Cranial Nerve &
Other Nervous System
Procedures with MCC.
1......................... 041 Peripheral, Cranial Nerve &
Other Nervous System
Procedures with CC or
Peripheral Neurostimulator.
1......................... 042 Peripheral, Cranial Nerve &
Other Nervous System
Procedures without CC/MCC.
3......................... 129 Major Head & Neck Procedures
with CC/MCC or Major
Device.
3......................... 130 Major Head & Neck Procedures
without CC/MCC.
5......................... 215 Other Heart Assist System
Implant.
5......................... 216 Cardiac Valve & Other Major
Cardiothoracic Procedure
with Cardiac
Catheterization with MCC.
5......................... 217 Cardiac Valve & Other Major
Cardiothoracic Procedure
with Cardiac
Catheterization with CC.
5......................... 218 Cardiac Valve & Other Major
Cardiothoracic Procedure
with Cardiac
Catheterization without CC/
MCC.
5......................... 219 Cardiac Valve & Other Major
Cardiothoracic Procedure
without Cardiac
Catheterization with MCC.
5......................... 220 Cardiac Valve & Other Major
Cardiothoracic Procedure
without Cardiac
Catheterization with CC.
5......................... 221 Cardiac Valve & Other Major
Cardiothoracic Procedure
without Cardiac
Catheterization without CC/
MCC.
5......................... 222 Cardiac Defibrillator
Implant with Cardiac
Catheterization with AMI/
Heart Failure/Shock with
MCC.
5......................... 223 Cardiac Defibrillator
Implant with Cardiac
Catheterization with AMI/
Heart Failure/Shock without
MCC.
5......................... 224 Cardiac Defibrillator
Implant with Cardiac
Catheterization without AMI/
Heart Failure/Shock with
MCC.
5......................... 225 Cardiac Defibrillator
Implant with Cardiac
Catheterization without AMI/
Heart Failure/Shock without
MCC.
5......................... 226 Cardiac Defibrillator
Implant without Cardiac
Catheterization with MCC.
5......................... 227 Cardiac Defibrillator
Implant without Cardiac
Catheterization without
MCC.
5......................... 242 Permanent Cardiac Pacemaker
Implant with MCC.
5......................... 243 Permanent Cardiac Pacemaker
Implant with CC.
5......................... 244 Permanent Cardiac Pacemaker
Implant without CC/MCC.
5......................... 245 AICD Generator Procedures.
5......................... 258 Cardiac Pacemaker Device
Replacement with MCC.
5......................... 259 Cardiac Pacemaker Device
Replacement without MCC.
5......................... 260 Cardiac Pacemaker Revision
Except Device Replacement
with MCC.
5......................... 261 Cardiac Pacemaker Revision
Except Device Replacement
with CC.
5......................... 262 Cardiac Pacemaker Revision
Except Device Replacement
without CC/MCC.
5......................... 265 AICD Lead Procedures.
5......................... 266 Endovascular Cardiac Valve
Replacement and Supplement
Procedures with MCC.
5......................... 267 Endovascular Cardiac Valve
Replacement and Supplement
Procedures without MCC.
5......................... 268 Aortic and Heart Assist
Procedures Except Pulsation
Balloon with MCC.
5......................... 269 Aortic and Heart Assist
Procedures Except Pulsation
Balloon without MCC.
5......................... 270 Other Major Cardiovascular
Procedures with MCC.
5......................... 271 Other Major Cardiovascular
Procedures with CC.
5......................... 272 Other Major Cardiovascular
Procedures without CC/MCC.
5......................... 319 Other Endovascular Cardiac
Valve Procedures with MCC.
5......................... 320 Other Endovascular Cardiac
Valve Procedures without
MCC.
8......................... 461 Bilateral or Multiple Major
Joint Procedures of Lower
Extremity with MCC.
8......................... 462 Bilateral or Multiple Major
Joint Procedures of Lower
Extremity without MCC.
8......................... 466 Revision of Hip or Knee
Replacement with MCC.
8......................... 467 Revision of Hip or Knee
Replacement with CC.
8......................... 468 Revision of Hip or Knee
Replacement without CC/MCC.
8......................... 469 Major Hip and Knee Joint
Replacement or Reattachment
of Lower Extremity with MCC
or Total Ankle Replacement.
8......................... 470 Major Hip and Knee Joint
Replacement or Reattachment
of Lower Extremity without
MCC.
------------------------------------------------------------------------
The final list of MS-DRGs subject to the IPPS policy for replaced
devices offered without cost or with a credit will be included in the
FY 2020 IPPS/LTCH PPS final rule and also will be issued to
[[Page 19257]]
providers in the form of a Change Request (CR).
G. Recalibration of the Proposed FY 2020 MS-DRG Relative Weights
1. Data Sources for Developing the Proposed Relative Weights
In developing the proposed FY 2020 system of weights, we are
proposing to use two data sources: Claims data and cost report data. As
in previous years, the claims data source is the MedPAR file. This file
is based on fully coded diagnostic and procedure data for all Medicare
inpatient hospital bills. The FY 2018 MedPAR data used in this proposed
rule include discharges occurring on October 1, 2017, through September
30, 2018, based on bills received by CMS through December 31, 2018,
from all hospitals subject to the IPPS and short-term, acute care
hospitals in Maryland (which at that time were under a waiver from the
IPPS). The FY 2018 MedPAR file used in calculating the proposed
relative weights includes data for approximately 9,480,820 Medicare
discharges from IPPS providers. Discharges for Medicare beneficiaries
enrolled in a Medicare Advantage managed care plan are excluded from
this analysis. These discharges are excluded when the MedPAR ``GHO
Paid'' indicator field on the claim record is equal to ``1'' or when
the MedPAR DRG payment field, which represents the total payment for
the claim, is equal to the MedPAR ``Indirect Medical Education (IME)''
payment field, indicating that the claim was an ``IME only'' claim
submitted by a teaching hospital on behalf of a beneficiary enrolled in
a Medicare Advantage managed care plan. In addition, the December 31,
2018 update of the FY 2018 MedPAR file complies with version 5010 of
the X12 HIPAA Transaction and Code Set Standards, and includes a
variable called ``claim type.'' Claim type ``60'' indicates that the
claim was an inpatient claim paid as fee-for-service. Claim types
``61,'' ``62,'' ``63,'' and ``64'' relate to encounter claims, Medicare
Advantage IME claims, and HMO no-pay claims. Therefore, the calculation
of the proposed relative weights for FY 2020 also excludes claims with
claim type values not equal to ``60.'' The data exclude CAHs, including
hospitals that subsequently became CAHs after the period from which the
data were taken. We note that the proposed FY 2020 relative weights are
based on the ICD-10-CM diagnosis codes and ICD-10-PCS procedure codes
from the FY 2018 MedPAR claims data, grouped through the ICD-10 version
of the proposed FY 2020 GROUPER (Version 37).
The second data source used in the cost-based relative weighting
methodology is the Medicare cost report data files from the HCRIS.
Normally, we use the HCRIS dataset that is 3 years prior to the IPPS
fiscal year. Specifically, we used cost report data from the December
31, 2018 update of the FY 2017 HCRIS for calculating the proposed FY
2020 cost-based relative weights.
2. Methodology for Calculation of the Proposed Relative Weights
As we explain in section II.E.2. of the preamble of this proposed
rule, we calculated the proposed FY 2020 relative weights based on 19
CCRs, as we did for FY 2019. The methodology we are proposing to use to
calculate the FY 2020 MS-DRG cost-based relative weights based on
claims data in the FY 2018 MedPAR file and data from the FY 2017
Medicare cost reports is as follows:
To the extent possible, all the claims were regrouped
using the proposed FY 2020 MS-DRG classifications discussed in sections
II.B. and II.F. of the preamble of this proposed rule.
The transplant cases that were used to establish the
proposed relative weights for heart and heart-lung, liver and/or
intestinal, and lung transplants (MS-DRGs 001, 002, 005, 006, and 007,
respectively) were limited to those Medicare-approved transplant
centers that have cases in the FY 2018 MedPAR file. (Medicare coverage
for heart, heart-lung, liver and/or intestinal, and lung transplants is
limited to those facilities that have received approval from CMS as
transplant centers.)
Organ acquisition costs for kidney, heart, heart-lung,
liver, lung, pancreas, and intestinal (or multivisceral organs)
transplants continue to be paid on a reasonable cost basis. Because
these acquisition costs are paid separately from the prospective
payment rate, it is necessary to subtract the acquisition charges from
the total charges on each transplant bill that showed acquisition
charges before computing the average cost for each MS-DRG and before
eliminating statistical outliers.
Claims with total charges or total lengths of stay less
than or equal to zero were deleted. Claims that had an amount in the
total charge field that differed by more than $30.00 from the sum of
the routine day charges, intensive care charges, pharmacy charges,
implantable devices charges, supplies and equipment charges, therapy
services charges, operating room charges, cardiology charges,
laboratory charges, radiology charges, other service charges, labor and
delivery charges, inhalation therapy charges, emergency room charges,
blood and blood products charges, anesthesia charges, cardiac
catheterization charges, CT scan charges, and MRI charges were also
deleted.
At least 92.3 percent of the providers in the MedPAR file
had charges for 14 of the 19 cost centers. All claims of providers that
did not have charges greater than zero for at least 14 of the 19 cost
centers were deleted. In other words, a provider must have no more than
five blank cost centers. If a provider did not have charges greater
than zero in more than five cost centers, the claims for the provider
were deleted.
Statistical outliers were eliminated by removing all cases
that were beyond 3.0 standard deviations from the geometric mean of the
log distribution of both the total charges per case and the total
charges per day for each MS-DRG.
Effective October 1, 2008, because hospital inpatient
claims include a POA indicator field for each diagnosis present on the
claim, only for purposes of relative weight-setting, the POA indicator
field was reset to ``Y'' for ``Yes'' for all claims that otherwise have
an ``N'' (No) or a ``U'' (documentation insufficient to determine if
the condition was present at the time of inpatient admission) in the
POA field.
Under current payment policy, the presence of specific HAC codes,
as indicated by the POA field values, can generate a lower payment for
the claim. Specifically, if the particular condition is present on
admission (that is, a ``Y'' indicator is associated with the diagnosis
on the claim), it is not a HAC, and the hospital is paid for the higher
severity (and, therefore, the higher weighted MS-DRG). If the
particular condition is not present on admission (that is, an ``N''
indicator is associated with the diagnosis on the claim) and there are
no other complicating conditions, the DRG GROUPER assigns the claim to
a lower severity (and, therefore, the lower weighted MS-DRG) as a
penalty for allowing a Medicare inpatient to contract a HAC. While the
POA reporting meets policy goals of encouraging quality care and
generates program savings, it presents an issue for the relative
weight-setting process. Because cases identified as HACs are likely to
be more complex than similar cases that are not identified as HACs, the
charges associated with HAC cases are likely to be higher as well.
Therefore, if the higher charges of these HAC claims are grouped into
lower severity MS-DRGs prior to the relative
[[Page 19258]]
weight-setting process, the relative weights of these particular MS-
DRGs would become artificially inflated, potentially skewing the
relative weights. In addition, we want to protect the integrity of the
budget neutrality process by ensuring that, in estimating payments, no
increase to the standardized amount occurs as a result of lower overall
payments in a previous year that stem from using weights and case-mix
that are based on lower severity MS-DRG assignments. If this would
occur, the anticipated cost savings from the HAC policy would be lost.
To avoid these problems, we reset the POA indicator field to ``Y''
only for relative weight-setting purposes for all claims that otherwise
have an ``N'' or a ``U'' in the POA field. This resetting ``forced''
the more costly HAC claims into the higher severity MS-DRGs as
appropriate, and the relative weights calculated for each MS-DRG more
closely reflect the true costs of those cases.
In addition, in the FY 2013 IPPS/LTCH PPS final rule, for FY 2013
and subsequent fiscal years, we finalized a policy to treat hospitals
that participate in the Bundled Payments for Care Improvement (BPCI)
initiative the same as prior fiscal years for the IPPS payment modeling
and ratesetting process without regard to hospitals' participation
within these bundled payment models (77 FR 53341 through 53343).
Specifically, because acute care hospitals participating in the BPCI
Initiative still receive IPPS payments under section 1886(d) of the
Act, we include all applicable data from these subsection (d) hospitals
in our IPPS payment modeling and ratesetting calculations as if the
hospitals were not participating in those models under the BPCI
initiative. We refer readers to the FY 2013 IPPS/LTCH PPS final rule
for a complete discussion on our final policy for the treatment of
hospitals participating in the BPCI initiative in our ratesetting
process. For additional information on the BPCI initiative, we refer
readers to the CMS' Center for Medicare and Medicaid Innovation's
website at: https://innovation.cms.gov/initiatives/Bundled-Payments/ and to section IV.H.4. of the preamble of the FY 2013 IPPS/
LTCH PPS final rule (77 FR 53341 through 53343).
The participation of hospitals in the BPCI initiative concluded on
September 30, 2018. The participation of hospitals in the Bundled
Payments for Care Improvement (BPCI) Advanced model started on October
1, 2018. The BPCI Advanced model, tested under the authority of section
3021 of the Affordable Care Act (codified at section 1115A of the Act),
is comprised of a single payment and risk track, which bundles payments
for multiple services beneficiaries receive during a Clinical Episode.
Acute care hospitals may participate in BPCI Advanced in one of two
capacities: As a model Participant or as a downstream Episode
Initiator. Regardless of the capacity in which they participate in the
BPCI Advanced model, participating acute care hospitals will continue
to receive IPPS payments under section 1886(d) of the Act. Acute care
hospitals that are Participants also assume financial and quality
performance accountability for Clinical Episodes in the form of a
reconciliation payment. For additional information on the BPCI Advanced
model, we refer readers to the BPCI Advanced web page on the CMS Center
for Medicare and Medicaid Innovation's website at: https://innovation.cms.gov/initiatives/bpci-advanced/. Consistent with our
policy for FY 2019, and consistent with how we have treated hospitals
that participated in the BPCI Initiative, for FY 2020, we continue to
believe it is appropriate to include all applicable data from the
subsection (d) hospitals participating in the BPCI Advanced model in
our IPPS payment modeling and ratesetting calculations because, as
noted above, these hospitals are still receiving IPPS payments under
section 1886(d) of the Act.
The charges for each of the proposed 19 cost groups for each claim
were standardized to remove the effects of differences in proposed area
wage levels, IME and DSH payments, and for hospitals located in Alaska
and Hawaii, the applicable proposed cost-of-living adjustment. Because
hospital charges include charges for both operating and capital costs,
we standardized total charges to remove the effects of differences in
proposed geographic adjustment factors, cost-of-living adjustments, and
DSH payments under the capital IPPS as well. Charges were then summed
by MS-DRG for each of the proposed 19 cost groups so that each MS-DRG
had 19 standardized charge totals. Statistical outliers were then
removed. These charges were then adjusted to cost by applying the
proposed national average CCRs developed from the FY 2017 cost report
data.
The proposed 19 cost centers that we used in the proposed relative
weight calculation are shown in the following table. The table shows
the lines on the cost report and the corresponding revenue codes that
we used to create the proposed 19 national cost center CCRs. If
stakeholders have comments about the groupings in this table, we may
consider those comments as we finalize our policy.
We are inviting public comments on our proposals related to
recalibration of the proposed FY 2020 relative weights and the changes
in relative weights from FY 2019.
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3. Development of Proposed National Average CCRs
We developed the proposed national average CCRs as follows:
Using the FY 2017 cost report data, we removed CAHs, Indian Health
Service hospitals, all-inclusive rate hospitals, and cost reports that
represented time periods of less than 1 year (365 days). We included
hospitals located in Maryland because we include their charges in our
claims database. We then created CCRs for each provider for each cost
center (see prior table for line items used in the calculations) and
removed any CCRs that were greater
[[Page 19272]]
than 10 or less than 0.01. We normalized the departmental CCRs by
dividing the CCR for each department by the total CCR for the hospital
for the purpose of trimming the data. We then took the logs of the
normalized cost center CCRs and removed any cost center CCRs where the
log of the cost center CCR was greater or less than the mean log plus/
minus 3 times the standard deviation for the log of that cost center
CCR. Once the cost report data were trimmed, we calculated a Medicare-
specific CCR. The Medicare-specific CCR was determined by taking the
Medicare charges for each line item from Worksheet D-3 and deriving the
Medicare-specific costs by applying the hospital-specific departmental
CCRs to the Medicare-specific charges for each line item from Worksheet
D-3. Once each hospital's Medicare-specific costs were established, we
summed the total Medicare-specific costs and divided by the sum of the
total Medicare-specific charges to produce national average, charge-
weighted CCRs.
After we multiplied the total charges for each MS-DRG in each of
the proposed 19 cost centers by the corresponding national average CCR,
we summed the 19 ``costs'' across each proposed MS-DRG to produce a
total standardized cost for the proposed MS-DRG. The average
standardized cost for each proposed MS-DRG was then computed as the
total standardized cost for the proposed MS-DRG divided by the
transfer-adjusted case count for the proposed MS-DRG. The average cost
for each proposed MS-DRG was then divided by the national average
standardized cost per case to determine the proposed relative weight.
The proposed FY 2020 cost-based relative weights were then
normalized by a proposed adjustment factor of 1.788337 so that the
average case weight after recalibration was equal to the average case
weight before recalibration. The proposed normalization adjustment is
intended to ensure that recalibration by itself neither increases nor
decreases total payments under the IPPS, as required by section
1886(d)(4)(C)(iii) of the Act.
The proposed 19 national average CCRs for FY 2020 are as follows:
------------------------------------------------------------------------
Group CCR
------------------------------------------------------------------------
Routine Days............................................ 0.433
Intensive Days.......................................... 0.362
Drugs................................................... 0.191
Supplies & Equipment.................................... 0.301
Implantable Devices..................................... 0.308
Therapy Services........................................ 0.297
Laboratory.............................................. 0.109
Operating Room.......................................... 0.175
Cardiology.............................................. 0.099
Cardiac Catheterization................................. 0.106
Radiology............................................... 0.140
MRIs.................................................... 0.073
CT Scans................................................ 0.035
Emergency Room.......................................... 0.154
Blood and Blood Products................................ 0.282
Other Services.......................................... 0.344
Labor & Delivery........................................ 0.369
Inhalation Therapy...................................... 0.151
Anesthesia.............................................. 0.077
------------------------------------------------------------------------
Since FY 2009, the relative weights have been based on 100 percent
cost weights based on our MS-DRG grouping system.
When we recalibrated the DRG weights for previous years, we set a
threshold of 10 cases as the minimum number of cases required to
compute a reasonable weight. We are proposing to use that same case
threshold in recalibrating the proposed MS-DRG relative weights for FY
2020. Using data from the FY 2018 MedPAR file, there were 8 MS-DRGs
that contain fewer than 10 cases. For FY 2020, because we do not have
sufficient MedPAR data to set accurate and stable cost relative weights
for these low-volume MS-DRGs, we are proposing to compute relative
weights for the proposed low-volume MS-DRGs by adjusting their final FY
2019 relative weights by the percentage change in the average weight of
the cases in other MS-DRGs from FY 2019 to FY 2020. The crosswalk table
is shown below.
------------------------------------------------------------------------
Low-volume MS-DRG MS-DRG title Crosswalk to MS-DRG
------------------------------------------------------------------------
338...................... Appendectomy with Final FY 2019 relative
Complicated weight (adjusted by
Principal percent change in
Diagnosis with MCC. average weight of the
cases in other MS-
DRGs).
789...................... Neonates, Died or Final FY 2019 relative
Transferred to weight (adjusted by
Another Acute Care percent change in
Facility. average weight of the
cases in other MS-
DRGs).
790...................... Extreme Immaturity Final FY 2019 relative
or Respiratory weight (adjusted by
Distress Syndrome, percent change in
Neonate. average weight of the
cases in other MS-
DRGs).
791...................... Prematurity with Final FY 2019 relative
Major Problems. weight (adjusted by
percent change in
average weight of the
cases in other MS-
DRGs).
792...................... Prematurity without Final FY 2019 relative
Major Problems. weight (adjusted by
percent change in
average weight of the
cases in other MS-
DRGs).
793...................... Full-Term Neonate Final FY 2019 relative
with Major weight (adjusted by
Problems. percent change in
average weight of the
cases in other MS-
DRGs).
794...................... Neonate with Other Final FY 2019 relative
Significant weight (adjusted by
Problems. percent change in
average weight of the
cases in other MS-
DRGs).
795...................... Normal Newborn..... Final FY 2019 relative
weight (adjusted by
percent change in
average weight of the
cases in other MS-
DRGs).
------------------------------------------------------------------------
H. Proposed Add-On Payments for New Services and Technologies for FY
2020
1. Background
Sections 1886(d)(5)(K) and (L) of the Act establish a process of
identifying and ensuring adequate payment for new medical services and
technologies (sometimes collectively referred to in this section as
``new technologies'') under the IPPS. Section 1886(d)(5)(K)(vi) of the
Act specifies that a medical service or technology will be considered
new if it meets criteria established by the Secretary after notice and
opportunity for public comment. Section 1886(d)(5)(K)(ii)(I) of the Act
specifies that a new medical service or technology may be considered
for new technology add-on payment if, based on the estimated costs
incurred with respect to discharges involving such service or
technology, the DRG prospective payment rate otherwise applicable to
such discharges under this subsection is inadequate. We note that,
beginning with discharges occurring in FY 2008, CMS transitioned from
CMS-DRGs to MS-DRGs. The regulations at 42 CFR 412.87 implement these
provisions and specify three criteria for a new medical service or
technology to receive the additional payment: (1) The medical service
or technology must be new; (2) the medical service or technology must
be costly such that the
[[Page 19273]]
DRG rate otherwise applicable to discharges involving the medical
service or technology is determined to be inadequate; and (3) the
service or technology must demonstrate a substantial clinical
improvement over existing services or technologies. Below we highlight
some of the major statutory and regulatory provisions relevant to the
new technology add-on payment criteria, as well as other information.
For a complete discussion on the new technology add-on payment
criteria, we refer readers to the FY 2012 IPPS/LTCH PPS final rule (76
FR 51572 through 51574).
Under the first criterion, as reflected in Sec. 412.87(b)(2), a
specific medical service or technology will be considered ``new'' for
purposes of new medical service or technology add-on payments until
such time as Medicare data are available to fully reflect the cost of
the technology in the MS-DRG weights through recalibration. We note
that we do not consider a service or technology to be new if it is
substantially similar to one or more existing technologies. That is,
even if a medical product receives a new FDA approval or clearance, it
may not necessarily be considered ``new'' for purposes of new
technology add-on payments if it is ``substantially similar'' to
another medical product that was approved or cleared by FDA and has
been on the market for more than 2 to 3 years. In the FY 2010 IPPS/RY
2010 LTCH PPS final rule (74 FR 43813 through 43814), we established
criteria for evaluating whether a new technology is substantially
similar to an existing technology, specifically: (1) Whether a product
uses the same or a similar mechanism of action to achieve a therapeutic
outcome; (2) whether a product is assigned to the same or a different
MS-DRG; and (3) whether the new use of the technology involves the
treatment of the same or similar type of disease and the same or
similar patient population. If a technology meets all three of these
criteria, it would be considered substantially similar to an existing
technology and would not be considered ``new'' for purposes of new
technology add-on payments. For a detailed discussion of the criteria
for substantial similarity, we refer readers to the FY 2006 IPPS final
rule (70 FR 47351 through 47352), and the FY 2010 IPPS/LTCH PPS final
rule (74 FR 43813 through 43814).
Under the second criterion, Sec. 412.87(b)(3) further provides
that, to be eligible for the add-on payment for new medical services or
technologies, the MS-DRG prospective payment rate otherwise applicable
to discharges involving the new medical service or technology must be
assessed for adequacy. Under the cost criterion, consistent with the
formula specified in section 1886(d)(5)(K)(ii)(I) of the Act, to assess
the adequacy of payment for a new technology paid under the applicable
MS-DRG prospective payment rate, we evaluate whether the charges for
cases involving the new technology exceed certain threshold amounts.
The MS-DRG threshold amounts used in evaluating new technology add-on
payment applications for FY 2020 are presented in a data file that is
available, along with the other data files associated with the FY 2019
IPPS/LTCH PPS final rule and correction notice, on the CMS website at:
https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/FY2019-IPPS-Final-Rule-Home-Page-Items/FY2019-IPPS-Final-Rule-Data-Files.html?DLPage=1&DLEntries=10&DLSort=0&DLSortDir=ascending. As
finalized in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41275),
beginning with FY 2020, we include the thresholds applicable to the
next fiscal year (previously included in Table 10 of the annual IPPS/
LTCH PPS proposed and final rules) in the data files associated with
the prior fiscal year. Accordingly, the proposed thresholds for
applications for new technology add-on payments for FY 2021 are
presented in a data file that is available on the CMS website, along
with the other data files associated with this FY 2020 proposed rule,
by clicking on the FY 2020 IPPS Proposed Rule Home Page at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/.
In the September 7, 2001 final rule that established the new
technology add-on payment regulations (66 FR 46917), we discussed the
issue of whether the Health Insurance Portability and Accountability
Act (HIPAA) Privacy Rule at 45 CFR parts 160 and 164 applies to claims
information that providers submit with applications for new medical
service or technology add-on payments. We refer readers to the FY 2012
IPPS/LTCH PPS final rule (76 FR 51573) for complete information on this
issue.
Under the third criterion, Sec. 412.87(b)(1) of our existing
regulations provides that a new technology is an appropriate candidate
for an additional payment when it represents an advance that
substantially improves, relative to technologies previously available,
the diagnosis or treatment of Medicare beneficiaries. For example, a
new technology represents a substantial clinical improvement when it
reduces mortality, decreases the number of hospitalizations or
physician visits, or reduces recovery time compared to the technologies
previously available. (We refer readers to the September 7, 2001 final
rule for a more detailed discussion of this criterion (66 FR 46902). We
also refer readers to section II.H.8. of the preamble of this proposed
rule for a discussion of our proposed alternative inpatient new
technology add-on payment pathway for transformative new devices.)
The new medical service or technology add-on payment policy under
the IPPS provides additional payments for cases with relatively high
costs involving eligible new medical services or technologies, while
preserving some of the incentives inherent under an average-based
prospective payment system. The payment mechanism is based on the cost
to hospitals for the new medical service or technology. Under Sec.
412.88, if the costs of the discharge (determined by applying cost-to-
charge ratios (CCRs) as described in Sec. 412.84(h)) exceed the full
DRG payment (including payments for IME and DSH, but excluding outlier
payments), Medicare will make an add-on payment equal to the lesser of:
(1) 50 percent of the estimated costs of the new technology or medical
service (if the estimated costs for the case including the new
technology or medical service exceed Medicare's payment); or (2) 50
percent of the difference between the full DRG payment and the
hospital's estimated cost for the case. Unless the discharge qualifies
for an outlier payment, the additional Medicare payment is limited to
the full MS-DRG payment plus 50 percent of the estimated costs of the
new technology or medical service. We refer readers to section II.H.9.
of the preamble of this proposed rule for a discussion of our proposed
change to the calculation of the new technology add-on payment
beginning in FY 2020, including our proposed amendments to Sec. 412.88
of the regulations.
Section 503(d)(2) of Public Law 108-173 provides that there shall
be no reduction or adjustment in aggregate payments under the IPPS due
to add-on payments for new medical services and technologies.
Therefore, in accordance with section 503(d)(2) of Public Law 108-173,
add-on payments for new medical services or technologies for FY 2005
and later years have not been subjected to budget neutrality.
In the FY 2009 IPPS final rule (73 FR 48561 through 48563), we
modified our regulations at Sec. 412.87 to codify our longstanding
practice of how CMS evaluates the eligibility criteria for new
[[Page 19274]]
medical service or technology add-on payment applications. That is, we
first determine whether a medical service or technology meets the
newness criterion, and only if so, do we then make a determination as
to whether the technology meets the cost threshold and represents a
substantial clinical improvement over existing medical services or
technologies. We amended Sec. 412.87(c) to specify that all applicants
for new technology add-on payments must have FDA approval or clearance
by July 1 of the year prior to the beginning of the fiscal year for
which the application is being considered.
The Council on Technology and Innovation (CTI) at CMS oversees the
agency's cross-cutting priority on coordinating coverage, coding and
payment processes for Medicare with respect to new technologies and
procedures, including new drug therapies, as well as promoting the
exchange of information on new technologies and medical services
between CMS and other entities. The CTI, composed of senior CMS staff
and clinicians, was established under section 942(a) of Public Law 108-
173. The Council is co-chaired by the Director of the Center for
Clinical Standards and Quality (CCSQ) and the Director of the Center
for Medicare (CM), who is also designated as the CTI's Executive
Coordinator.
The specific processes for coverage, coding, and payment are
implemented by CM, CCSQ, and the local Medicare Administrative
Contractors (MACs) (in the case of local coverage and payment
decisions). The CTI supplements, rather than replaces, these processes
by working to assure that all of these activities reflect the agency-
wide priority to promote high-quality, innovative care. At the same
time, the CTI also works to streamline, accelerate, and improve
coordination of these processes to ensure that they remain up to date
as new issues arise. To achieve its goals, the CTI works to streamline
and create a more transparent coding and payment process, improve the
quality of medical decisions, and speed patient access to effective new
treatments. It is also dedicated to supporting better decisions by
patients and doctors in using Medicare-covered services through the
promotion of better evidence development, which is critical for
improving the quality of care for Medicare beneficiaries.
To improve the understanding of CMS' processes for coverage,
coding, and payment and how to access them, the CTI has developed an
``Innovator's Guide'' to these processes. The intent is to consolidate
this information, much of which is already available in a variety of
CMS documents and in various places on the CMS website, in a user
friendly format. This guide was published in 2010 and is available on
the CMS website at: https://www.cms.gov/Medicare/Coverage/CouncilonTechInnov/Downloads/Innovators-Guide-Master-7-23-15.pdf.
As we indicated in the FY 2009 IPPS final rule (73 FR 48554), we
invite any product developers or manufacturers of new medical services
or technologies to contact the agency early in the process of product
development if they have questions or concerns about the evidence that
would be needed later in the development process for the agency's
coverage decisions for Medicare.
The CTI aims to provide useful information on its activities and
initiatives to stakeholders, including Medicare beneficiaries,
advocates, medical product manufacturers, providers, and health policy
experts. Stakeholders with further questions about Medicare's coverage,
coding, and payment processes, or who want further guidance about how
they can navigate these processes, can contact the CTI at
[email protected].
We note that applicants for add-on payments for new medical
services or technologies for FY 2021 must submit a formal request,
including a full description of the clinical applications of the
medical service or technology and the results of any clinical
evaluations demonstrating that the new medical service or technology
represents a substantial clinical improvement, along with a significant
sample of data to demonstrate that the medical service or technology
meets the high-cost threshold. Complete application information, along
with final deadlines for submitting a full application, will be posted
as it becomes available on the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/newtech.html. To allow interested parties to identify the new medical
services or technologies under review before the publication of the
proposed rule for FY 2021, the CMS website also will post the tracking
forms completed by each applicant. We note that the burden associated
with this information collection requirement is the time and effort
required to collect and submit the data in the formal request for add-
on payments for new medical services and technologies to CMS. The
aforementioned burden is subject to the PRA; it is currently approved
under OMB control number 0938-1347, which expires on December 31, 2020.
2. Public Input Before Publication of a Notice of Proposed Rulemaking
on Add-On Payments
Section 1886(d)(5)(K)(viii) of the Act, as amended by section
503(b)(2) of Public Law 108-173, provides for a mechanism for public
input before publication of a notice of proposed rulemaking regarding
whether a medical service or technology represents a substantial
clinical improvement or advancement. The process for evaluating new
medical service and technology applications requires the Secretary to--
Provide, before publication of a proposed rule, for public
input regarding whether a new service or technology represents an
advance in medical technology that substantially improves the diagnosis
or treatment of Medicare beneficiaries;
Make public and periodically update a list of the services
and technologies for which applications for add-on payments are
pending;
Accept comments, recommendations, and data from the public
regarding whether a service or technology represents a substantial
clinical improvement; and
Provide, before publication of a proposed rule, for a
meeting at which organizations representing hospitals, physicians,
manufacturers, and any other interested party may present comments,
recommendations, and data regarding whether a new medical service or
technology represents a substantial clinical improvement to the
clinical staff of CMS.
In order to provide an opportunity for public input regarding add-
on payments for new medical services and technologies for FY 2020 prior
to publication of this FY 2020 IPPS/LTCH PPS proposed rule, we
published a notice in the Federal Register on October 5, 2018 (83 FR
50379), and held a town hall meeting at the CMS Headquarters Office in
Baltimore, MD, on December 4, 2018. In the announcement notice for the
meeting, we stated that the opinions and presentations provided during
the meeting would assist us in our evaluations of applications by
allowing public discussion of the substantial clinical improvement
criterion for each of the FY 2020 new medical service and technology
add-on payment applications before the publication of the FY 2020 IPPS/
LTCH PPS proposed rule.
Approximately 100 individuals registered to attend the town hall
meeting in person, while additional individuals listened over an open
[[Page 19275]]
telephone line. We also live-streamed the town hall meeting and posted
the morning and afternoon sessions of the town hall on the CMS YouTube
web page at: https://www.youtube.com/watch?v=4z1AhEuGHqQ and https://www.youtube.com/watch?v=m26Xj1EzbIY, respectively. We considered each
applicant's presentation made at the town hall meeting, as well as
written comments submitted on the applications that were received by
the due date of December 14, 2018, in our evaluation of the new
technology add-on payment applications for FY 2020 in this FY 2020
IPPS/LTCH PPS proposed rule.
In response to the published notice and the December 4, 2018 New
Technology Town Hall meeting, we received written comments regarding
the applications for FY 2020 new technology add-on payments. We note
that we do not summarize comments that are unrelated to the
``substantial clinical improvement'' criterion. As explained earlier
and in the Federal Register notice announcing the New Technology Town
Hall meeting (83 FR 50379 through 50381), the purpose of the meeting
was specifically to discuss the substantial clinical improvement
criterion in regard to pending new technology add-on payment
applications for FY 2020. Therefore, we are not summarizing those
written comments in this proposed rule that are unrelated to the
substantial clinical improvement criterion. In section II.H.5. of the
preamble of this FY 2020 IPPS/LTCH PPS proposed rule, we are
summarizing comments regarding individual applications, or, if
applicable, indicating that there were no comments received in response
to the New Technology Town Hall meeting notice, at the end of each
discussion of the individual applications.
Comment: One commenter expressed appreciation for CMS' statements
in the FY 2019 IPPS/LTCH PPS proposed rule (83 FR 20278 through 20279)
relating to the similarity between data that satisfy the FDA's
designations and data that satisfy the substantial clinical improvement
criterion under the new technology add-on payment policy. The commenter
stated that clarity was provided that will help future applicants
understand which types of data can serve as the foundation for
satisfying the substantial clinical improvement criterion. The
commenter also expressed its appreciation that CMS further clarified
that it accepts a wide range of data that would support the conclusion
that the technology represents a substantial clinical improvement. The
commenter explained that it interpreted CMS' statements to mean that
CMS appreciates and considers the patient's experience and point-of-
view in its determination of a technology's substantial clinical
improvement with respect to existing technologies, and stated that it
hopes the agency will confirm this rationale in upcoming rulemaking.
Response: We appreciate the commenter's support of our clarifying
statements in the FY 2019 IPPS/LTCH PPS proposed rule. Additionally, we
refer the commenter to the September 7, 2001 final rule for a more
detailed discussion of the substantial clinical improvement criterion
(66 FR 46902). We also refer readers to section II.H.8. of the preamble
of this proposed rule for a discussion of our proposed alternative
inpatient new technology add-on payment pathway for transformative new
devices, and sections II.H.6. and II.H.7. of the preamble of this
proposed rule for a discussion of and request for comment on potential
revisions to the new technology add-on payment substantial clinical
improvement criterion.
Comment: Another commenter stated that the criteria for priority
FDA review are very similar to the criteria to substantiate a
technology's substantial clinical improvement under the new technology
add-on payment policy and, therefore, devices used in the inpatient
setting that are determined to be eligible for expedited review and
approved by the FDA should automatically be considered as representing
a substantial clinical improvement with respect to existing
technologies, without further consideration by CMS.
Response: We refer readers to our response to this and similar
comments in the FY 2019 IPPS/LTCH PPS proposed rule (83 FR 20278
through 20279).
Comment: One commenter stated that an entity submitting an
application for new technology add-on payments should be entitled to
administrative review of an adverse determination by an official of the
Department of Health and Human Services other than an official of the
CMS. The commenter believed that this will provide a safeguard both for
the manufacturer submitting an application, as well as for
beneficiaries who would benefit from access to the innovative
technology that is the subject of the new technology add-on payment
application. The commenter further recommended that administrative
review of an adverse determination should not preclude resubmission of
a modified application at a later point in the future.
Response: As discussed previously, the public has an opportunity at
the New Technology Town Hall meeting to provide input regarding the
substantial clinical improvement criterion for each new technology add-
on payment application under review for the upcoming fiscal year. We
summarize each application in the IPPS/LTCH PPS proposed rule, and
consider the public comments received in response to the proposed rule
in determining whether to approve an application for new technology
add-on payments. Furthermore, we also accept additional supplemental
information on all new technology add-on payment applications
summarized in the proposed rule through the end of the comment period
for the annual IPPS/LTCH PPS proposed rule. We conduct a thorough
review of all applications and, as described above, allow a wide range
of data that would support the conclusion of a representation of
substantial clinical improvement. We also note that an applicant may
always resubmit an application for new technology add-on payments for a
subsequent year following a denial of an application submitted for a
prior fiscal year.
3. ICD-10-PCS Section ``X'' Codes for Certain New Medical Services and
Technologies
As discussed in the FY 2016 IPPS/LTCH PPS final rule (80 FR 49434),
the ICD-10-PCS includes a new section containing the new Section ``X''
codes, which began being used with discharges occurring on or after
October 1, 2015. Decisions regarding changes to ICD-10-PCS Section
``X'' codes will be handled in the same manner as the decisions for all
of the other ICD-10-PCS code changes. That is, proposals to create,
delete, or revise Section ``X'' codes under the ICD-10-PCS structure
will be referred to the ICD-10 Coordination and Maintenance Committee.
In addition, several of the new medical services and technologies that
have been, or may be, approved for new technology add-on payments may
now, and in the future, be assigned a Section ``X'' code within the
structure of the ICD-10-PCS. We posted ICD-10-PCS Guidelines on the CMS
website at: https://www.cms.gov/Medicare/Coding/ICD10/2016-ICD-10-PCS-and-GEMs.html, including guidelines for ICD-10-PCS Section ``X'' codes.
We encourage providers to view the material provided on ICD-10-PCS
Section ``X'' codes.
[[Page 19276]]
4. Proposed FY 2020 Status of Technologies Approved for FY 2019 New
Technology Add-On Payments
a. Defitelio[supreg] (Defibrotide)
Jazz Pharmaceuticals submitted an application for new technology
add-on payments for FY 2017 for defibrotide (Defitelio[supreg]), a
treatment for patients who have been diagnosed with hepatic veno-
occlusive disease (VOD) with evidence of multi-organ dysfunction. VOD,
also known as sinusoidal obstruction syndrome (SOS), is a potentially
life-threatening complication of hematopoietic stem cell
transplantation (HSCT), with an incidence rate of 8 percent to 15
percent. Diagnoses of VOD range in severity from what has been
classically defined as a disease limited to the liver (mild) and
reversible, to a severe syndrome associated with multi-organ
dysfunction or failure and death. Patients who have received treatment
involving HSCT who develop VOD with multi-organ failure face an
immediate risk of death, with a mortality rate of more than 80 percent
when only supportive care is used. The applicant asserted that
Defitelio[supreg] improves the survival rate of patients who have been
diagnosed with VOD with multi-organ failure by 23 percent.
Defitelio[supreg] received Orphan Drug Designation for the
treatment of VOD in 2003 and for the prevention of VOD in 2007. It has
been available to patients as an investigational drug through an
Expanded Access Program since 2006. The applicant's New Drug
Application (NDA) for Defitelio[supreg] received FDA approval on March
30, 2016. The applicant confirmed that Defitelio[supreg] was not
available on the U.S. market as of the FDA NDA approval date of March
30, 2016. According to the applicant, commercial packaging could not be
completed until the label for Defitelio[supreg] was finalized with FDA
approval, and that commercial shipments of Defitelio[supreg] to
hospitals and treatment centers began on April 4, 2016. Therefore, we
agreed that, based on this information, the newness period for
Defitelio[supreg] begins on April 4, 2016, the date of its first
commercial availability.
The applicant received approval to use unique ICD-10-PCS procedure
codes to describe the use of Defitelio[supreg], with an effective date
of October 1, 2016. The approved ICD-10-PCS procedure codes are:
XW03392 (Introduction of defibrotide sodium anticoagulant into
peripheral vein, percutaneous approach); and XW04392 (Introduction of
defibrotide sodium anticoagulant into central vein, percutaneous
approach). After evaluation of the newness, costs, and substantial
clinical improvement criteria for new technology add-on payments for
Defitelio[supreg] and consideration of the public comments we received
in response to the FY 2017 IPPS/LTCH PPS proposed rule, we approved
Defitelio[supreg] for new technology add-on payments for FY 2017 (81 FR
56906). With the new technology add-on payment application, the
applicant estimated that the average Medicare beneficiary would require
a dosage of 25 mg/kg/day for a minimum of 21 days of treatment. The
recommended dose is 6.25 mg/kg given as a 2-hour intravenous infusion
every 6 hours. Dosing should be based on a patient's baseline body
weight, which is assumed to be 70 kg for an average adult patient. All
vials contain 200 mg at a cost of $825 per vial. Therefore, we
determined that cases involving the use of the Defitelio[supreg]
technology would incur an average cost per case of $151,800 (70 kg
adult x 25 mg/kg/day x 21 days = 36,750 mg per patient/200 mg vial =
184 vials per patient x $825 per vial = $151,800). Under existing Sec.
412.88(a)(2), we limit new technology add-on payments to the lesser of
50 percent of the average cost of the technology or 50 percent of the
costs in excess of the MS-DRG payment for the case. As a result, the
maximum new technology add-on payment amount for a case involving the
use of Defitelio[supreg] is $75,900 for FY 2019.
Our policy is that a medical service or technology may continue to
be considered ``new'' for purposes of new technology add-on payments
within 2 or 3 years after the point at which data begin to become
available reflecting the inpatient hospital code assigned to the new
service or technology. Our practice has been to begin and end new
technology add-on payments on the basis of a fiscal year, and we have
generally followed a guideline that uses a 6-month window before and
after the start of the fiscal year to determine whether to extend the
new technology add-on payment for an additional fiscal year. In
general, we extend new technology add-on payments for an additional
year only if the 3-year anniversary date of the product's entry onto
the U.S. market occurs in the latter half of the fiscal year (70 FR
47362).
With regard to the newness criterion for Defitelio[supreg], we
considered the beginning of the newness period to commence on the first
day Defitelio[supreg] was commercially available (April 4, 2016).
Because the 3-year anniversary date of the entry of the
Defitelio[supreg] onto the U.S. market (April 4, 2019) will occur
during FY 2019, we are proposing to discontinue new technology add-on
payments for this technology for FY 2020. We are inviting public
comments on our proposal to discontinue new technology add-on payments
for Defitelio[supreg] for FY 2020.
b. Ustekinumab (Stelara[supreg])
Janssen Biotech submitted an application for new technology add-on
payments for the Stelara[supreg] induction therapy for FY 2018.
Stelara[supreg] received FDA approval on September 23, 2016 as an
intravenous (IV) infusion treatment for adult patients who have been
diagnosed with moderately to severely active Crohn's disease (CD) who
have failed or were intolerant to treatment using immunomodulators or
corticosteroids, but never failed a tumor necrosis factor (TNF)
blocker, or failed or were intolerant to treatment using one or more
TNF blockers. Stelara[supreg] IV is intended for induction--
subcutaneous prefilled syringes are intended for maintenance dosing.
Stelara[supreg] must be administered intravenously by a health care
professional in either an inpatient hospital setting or an outpatient
hospital setting.
Stelara[supreg] for IV infusion is packaged in single 130 mg vials.
Induction therapy consists of a single IV infusion dose using the
following weight-based dosing regimen: Patients weighing 55 kg or less
than (<) 55 kg are administered 260 mg of Stelara[supreg] (2 vials);
patients weighing more than (>) 55 kg, but 85 kg or less than (<) 85 kg
are administered 390 mg of Stelara[supreg] (3 vials); and patients
weighing more than (>) 85 kg are administered 520 mg of Stelara[supreg]
(4 vials). An average dose of Stelara[supreg] administered through IV
infusion is 390 mg (3 vials). Maintenance doses of Stelara[supreg] are
administered at 90 mg, subcutaneously, at 8-week intervals and may
occur in the outpatient hospital setting.
CD is an inflammatory bowel disease of unknown etiology,
characterized by transmural inflammation of the gastrointestinal (GI)
tract. Symptoms of CD may include fatigue, prolonged diarrhea with or
without bleeding, abdominal pain, weight loss and fever. CD can affect
any part of the GI tract including the mouth, esophagus, stomach, small
intestine, and large intestine. Most commonly used pharmacologic
treatments for CD include antibiotics, mesalamines, corticosteroids,
immunomodulators, tumor necrosis alpha (TNF[alpha]) inhibitors, and
anti-integrin agents. Surgery may be necessary for some patients who
have been diagnosed with CD in which conventional therapies have
failed. After evaluation of the newness, costs,
[[Page 19277]]
and substantial clinical improvement criteria for new technology add-on
payments for Stelara[supreg] and consideration of the public comments
we received in response to the FY 2018 IPPS/LTCH PPS proposed rule, we
approved Stelara[supreg] for new technology add-on payments for FY 2018
(82 FR 38129). Cases involving Stelara[supreg] that are eligible for
new technology add-on payments are identified by ICD-10-PCS procedure
code XW033F3 (Introduction of other New Technology therapeutic
substance into peripheral vein, percutaneous approach, new technology
group 3). With the new technology add-on payment application, the
applicant estimated that the average Medicare beneficiary would require
a dosage of 390 mg (3 vials) at a hospital acquisition cost of $1,600
per vial (for a total of $4,800). Under existing Sec. 412.88(a)(2), we
limit new technology add-on payments to the lesser of 50 percent of the
average cost of the technology or 50 percent of the costs in excess of
the MS-DRG payment for the case. As a result, the maximum new
technology add-on payment amount for a case involving the use of
Stelara[supreg] is $2,400 for FY 2019.
With regard to the newness criterion for Stelara[supreg], we
considered the beginning of the newness period to commence when
Stelara[supreg] received FDA approval as an IV infusion treatment for
Crohn's disease (CD) on September 23, 2016. Because the 3-year
anniversary date of the entry of Stelara[supreg] onto the U.S. market
(September 23, 2019) will occur during FY 2019, we are proposing to
discontinue new technology add-on payments for this technology for FY
2020. We are inviting public comments on our proposal to discontinue
new technology add-on payments for Stelara[supreg] for FY 2020.
c. Bezlotoxumab (ZINPLAVATM)
Merck & Co., Inc. submitted an application for new technology add-
on payments for ZINPLAVATM for FY 2018.
ZINPLAVATM is indicated as a treatment to reduce recurrence
of Clostridium difficile infection (CDI) in adult patients who are
receiving antibacterial drug treatment for a diagnosis of CDI and who
are at high risk for CDI recurrence. ZINPLAVATM is not
indicated for the treatment of the presenting episode of CDI and is not
an antibacterial drug. ZINPLAVATM should only be used in
conjunction with an antibacterial drug treatment for CDI.
Clostridium difficile (C-diff) is a disease-causing anaerobic,
spore forming bacterium that affects the gastrointestinal (GI) tract.
Some people carry the C-diff bacterium in their intestines, but never
develop symptoms of an infection. The difference between asymptomatic
colonization and disease is caused primarily by the production of an
enterotoxin (Toxin A) and/or a cytotoxin (Toxin B). The presence of
either or both toxins can lead to symptomatic CDI, which is defined as
the acute onset of diarrhea with a documented infection with toxigenic
C-diff. The GI tract contains millions of bacteria, commonly referred
to as ``normal flora'' or ``good bacteria,'' which play a role in
protecting the body from infection. Antibiotics can kill these good
bacteria and allow C-diff to multiply and release toxins that damage
the cells lining the intestinal wall, resulting in a CDI. CDI is a
leading cause of hospital-associated gastrointestinal illnesses.
Persons at increased risk for CDI include people who are currently on
or who have recently been treated with antibiotics, people who have
encountered current or recent hospitalization, people who are older
than 65 years, immunocompromised patients, and people who have recently
had a diagnosis of CDI. CDI symptoms include, but are not limited to,
diarrhea, abdominal pain, and fever. CDI symptoms range in severity
from mild (abdominal discomfort, loose stools) to severe (profuse,
watery diarrhea, severe abdominal pain, and high fevers). Severe CDI
can be life-threatening and, in rare cases, can cause bowel rupture,
sepsis and organ failure. CDI is responsible for 14,000 deaths per year
in the United States.
C-diff produces two virulent, pro-inflammatory toxins, Toxin A and
Toxin B, which target host colonic endothelial cells by binding to
endothelial cell surface receptors via combined repetitive oligopeptide
(CROP) domains. These toxins cause the release of inflammatory
cytokines leading to intestinal fluid secretion and intestinal
inflammation. The applicant asserted that ZINPLAVATM targets
Toxin B sites within the CROP domain rather than the C-diff organism
itself. According to the applicant, by targeting C-diff Toxin B,
ZINPLAVATM neutralizes Toxin B, prevents large intestine
endothelial cell inflammation, symptoms associated with CDI, and
reduces the recurrence of CDI. ZINPLAVATM received FDA
approval on October 21, 2016, as a treatment to reduce the recurrence
of CDI in adult patients receiving antibacterial drug treatment for CDI
and who are at high risk of CDI recurrence. As previously stated,
ZINPLAVATM is not indicated for the treatment of CDI.
ZINPLAVATM is not an antibacterial drug, and should only be
used in conjunction with an antibacterial drug treatment for CDI.
ZINPLAVATM became commercially available on February 10,
2017. Therefore, the newness period for ZINPLAVATM began on
February 10, 2017. The applicant submitted a request for a unique ICD-
10-PCS procedure code and was granted approval for the following
procedure codes: XW033A3 (Introduction of bezlotoxumab monoclonal
antibody, into peripheral vein, percutaneous approach, new technology
group 3) and XW043A3 (Introduction of bezlotoxumab monoclonal antibody,
into central vein, percutaneous approach, new technology group 3).
After evaluation of the newness, costs, and substantial clinical
improvement criteria for new technology add-on payments for
ZINPLAVATM and consideration of the public comments we
received in response to the FY 2018 IPPS/LTCH PPS proposed rule, we
approved ZINPLAVATM for new technology add-on payments for
FY 2018 (82 FR 38119). With the new technology add-on payment
application, the applicant estimated that the average Medicare
beneficiary would require a dosage of 10 mg/kg of ZINPLAVATM
administered as an IV infusion over 60 minutes as a single dose.
According to the applicant, the WAC for one dose is $3,800. Under
existing Sec. 412.88(a)(2), we limit new technology add-on payments to
the lesser of 50 percent of the average cost of the technology or 50
percent of the costs in excess of the MS-DRG payment for the case. As a
result, the maximum new technology add-on payment amount for a case
involving the use of ZINPLAVATM is $1,900 for FY 2019.
With regard to the newness criterion for ZINPLAVATM, we
considered the beginning of the newness period to commence on February
10, 2017. As discussed previously in this section, in general, we
extend new technology add-on payments for an additional year only if
the 3-year anniversary date of the product's entry onto the U.S. market
occurs in the latter half of the upcoming fiscal year. Because the 3-
year anniversary date of the entry of ZINPLAVATM onto the
U.S. market (February 10, 2020) will occur in the first half of FY
2020, we are proposing to discontinue new technology add-on payments
for this technology for FY 2020. We are inviting public comments on our
proposal to discontinue new technology add-on payments for
ZINPLAVATM for FY 2020.
[[Page 19278]]
d. KYMRIAH[supreg] (Tisagenlecleucel) and YESCARTA[supreg]
(Axicabtagene Ciloleucel)
Two manufacturers, Novartis Pharmaceuticals Corporation and Kite
Pharma, Inc., submitted separate applications for new technology add-on
payments for FY 2019 for KYMRIAH[supreg] (tisagenlecleucel) and
YESCARTA[supreg] (axicabtagene ciloleucel), respectively. Both of these
technologies are CD-19-directed T-cell immunotherapies used for the
purposes of treating patients with aggressive variants of non-Hodgkin
lymphoma (NHL).
On May 1, 2018, Novartis Pharmaceuticals Corporation received FDA
approval for KYMRIAH[supreg]'s second indication, the treatment of
adult patients with relapsed or refractory (r/r) large B-cell lymphoma
after two or more lines of systemic therapy including diffuse large B-
cell lymphoma (DLBCL) not otherwise specified, high grade B-cell
lymphoma and DLBCL arising from follicular lymphoma. On October 18,
2017, Kite Pharma, Inc. received FDA approval for the use of
YESCARTA[supreg] indicated for the treatment of adult patients with r/r
large B-cell lymphoma after two or more lines of systemic therapy,
including DLBCL not otherwise specified, primary mediastinal large B-
cell lymphoma, high grade B-cell lymphoma, and DLBCL arising from
follicular lymphoma.
Procedures involving the KYMRIAH[supreg] and YESCARTA[supreg]
therapies are both reported using the following ICD-10-PCS procedure
codes: XW033C3 (Introduction of engineered autologous chimeric antigen
receptor t-cell immunotherapy into peripheral vein, percutaneous
approach, new technology group 3); and XW043C3 (Introduction of
engineered autologous chimeric antigen receptor t-cell immunotherapy
into central vein, percutaneous approach, new technology group 3). In
the FY 2019 IPPS/LTCH PPS final rule, we finalized our proposal to
assign cases reporting these ICD-10-PCS procedure codes to Pre-MDC MS-
DRG 016 for FY 2019 and to revise the title of this MS-DRG to
Autologous Bone Marrow Transplant with CC/MCC or T-cell Immunotherapy.
We refer readers to section II.F.2.d. of the preamble of the FY 2019
IPPS/LTCH PPS final rule for a complete discussion of these final
policies (83 FR 41172 through 41174).
With respect to the newness criterion, according to both
applicants, KYMRIAH[supreg] and YESCARTA[supreg] are the first CAR T-
cell immunotherapies of their kind. As discussed in the FY 2019 IPPS/
LTCH PPS proposed and final rules, because potential cases representing
patients who may be eligible for treatment using KYMRIAH[supreg] and
YESCARTA[supreg] would group to the same MS-DRGs (because the same ICD-
10-CM diagnosis codes and ICD-10-PCS procedures codes are used to
report treatment using either KYMRIAH[supreg] or YESCARTA[supreg]), and
we believed that these technologies are intended to treat the same or
similar disease in the same or similar patient population, and are
purposed to achieve the same therapeutic outcome using the same or
similar mechanism of action, we believed these two technologies are
substantially similar to each other and that it was appropriate to
evaluate both technologies as one application for new technology add-on
payments under the IPPS. For these reasons, we stated that we intended
to make one determination regarding approval for new technology add-on
payments that would apply to both applications, and in accordance with
our policy, would use the earliest market availability date submitted
as the beginning of the newness period for both KYMRIAH[supreg] and
YESCARTA[supreg].
As summarized in the FY 2019 IPPS/LTCH PPS final rule, we received
comments from the applicants for KYMRIAH[supreg] and YESCARTA[supreg]
regarding whether KYMRIAH[supreg] and YESCARTA[supreg] were
substantially similar to each other. The applicant for YESCARTA[supreg]
stated that it believed each technology consists of notable differences
in the construction, as well as manufacturing processes and successes
that may lead to differences in activity. The applicant encouraged CMS
to evaluate YESCARTA[supreg] as a separate new technology add-on
payment application and approve separate new technology add-on payments
for YESCARTA[supreg], effective October 1, 2018, and to not move
forward with a single new technology add-on payment evaluation
determination that covers both CAR T-cell therapies, YESCARTA[supreg]
and KYMRIAH[supreg]. The applicant for KYMRIAH[supreg] indicated that,
based on FDA's approval, it agreed with CMS that KYMRIAH[supreg] is
substantially similar to YESCARTA[supreg], as defined by the new
technology add-on payment application evaluation criteria. We refer
readers to the FY 2019 IPPS/LTCH PPS final rule for a more detailed
summary of these and other public comments we received regarding
substantial similarity for KYMRIAH[supreg] and YESCARTA[supreg].
After consideration of the public comments we received and for the
reasons discussed in the FY 2019 IPPS/LTCH PPS final rule, we stated
that we believed that KYMRIAH[supreg] and YESCARTA[supreg] are
substantially similar to one another. We also noted that for FY 2019,
there was no payment impact regarding this determination of substantial
similarity because the cost of the technologies is the same. However,
we stated that we welcomed additional comments in future rulemaking
regarding whether KYMRIAH[supreg] and YESCARTA[supreg] are
substantially similar and intended to revisit this issue in the FY 2020
IPPS/LTCH PPS proposed rule. For the reasons discussed in the FY 2019
IPPS/LTCH PPS final rule, we continue to believe that KYMRIAH[supreg]
and YESCARTA[supreg] are substantially similar to each other. We note
that for FY 2020, the pricing for KYMRIAH[supreg] and YESCARTA[supreg]
remains the same and, therefore, for FY 2020, there would continue to
be no payment impact regarding the determination that the two
technologies are substantially similar to each other. Similar to last
year, we welcome public comments regarding whether KYMRIAH[supreg] and
YESCARTA[supreg] are substantially similar to each other. We refer
readers to the FY 2019 IPPS/LTCH PPS final rule for a complete
discussion on newness and substantial similarity regarding
KYMRIAH[supreg] and YESCARTA[supreg].
After evaluation of the newness, costs, and substantial clinical
improvement criteria for new technology add-on payments for
KYMRIAH[supreg] and YESCARTA[supreg] and consideration of the public
comments we received in response to the FY 2019 IPPS/LTCH PPS proposed
rule, we approved new technology add-on payments for KYMRIAH[supreg]
and YESCARTA[supreg] for FY 2019 (83 FR 41299). Cases involving
KYMRIAH[supreg] or YESCARTA[supreg] that are eligible for new
technology add-on payments are identified by ICD-10-PCS procedure codes
XW033C3 or XW043C3. The applicants for both KYMRIAH[supreg] and
YESCARTA[supreg] estimated that the average cost for an administered
dose of KYMRIAH[supreg] or YESCARTA[supreg] is $373,000. Under existing
Sec. 412.88(a)(2), we limit new technology add-on payments to the
lesser of 50 percent of the average cost of the technology or 50
percent of the costs in excess of the MS-DRG payment for the case. As a
result, for FY 2019, the maximum new technology add-on payment for a
case involving the use of KYMRIAH[supreg] or YESCARTA[supreg] is
$186,500.
As stated above, our policy is that a medical service or technology
may continue to be considered ``new'' for purposes of new technology
add-on payments within 2 or 3 years after the point at which data begin
to become available reflecting the inpatient hospital code assigned to
the new service or technology. With regard to the newness criterion for
KYMRIAH[supreg] and YESCARTA[supreg], as discussed in the FY
[[Page 19279]]
2019 IPPS/LTCH PPS final rule, according to the applicant for
YESCARTA[supreg], the first commercial shipment of YESCARTA[supreg] was
received by a certified treatment center on November 22, 2017. As
stated above, we use the earliest market availability date submitted as
the beginning of the newness period for both KYMRIAH[supreg] and
YESCARTA[supreg]. Therefore, we consider the beginning of the newness
period for both KYMRIAH[supreg] and YESCARTA[supreg] to commence
November 22, 2017. Because the 3-year anniversary date of the entry of
the technology onto the U.S. market (November 22, 2020) will occur
after FY 2020, we are proposing to continue new technology add-on
payments for KYMRIAH[supreg] and YESCARTA[supreg] for FY 2020. Under
the proposed change to the calculation of the new technology add-on
payment amount discussed in section II.H.9. of the preamble of this
proposed rule, we are proposing that the maximum new technology add-on
payment amount for a case involving the use of KYMRIAH[supreg] and
YESCARTA[supreg] would be increased to $242,450 for FY 2020; that is,
65 percent of the average cost of the technology. However, if we do not
finalize the proposed change to the calculation of the new technology
add-on payment amount, we are proposing that the maximum new technology
add-on payment for a case involving KYMRIAH[supreg] or YESCARTA[supreg]
would remain at $186,500 for FY 2020. We are inviting public comments
on our proposals to continue new technology add-on payments for
KYMRIAH[supreg] and YESCARTA[supreg] for FY 2020.
For the reasons discussed in section II.F.2.c. of this proposed
rule, we are proposing not to modify the current MS-DRG assignment for
cases reporting CAR T-cell therapies for FY 2020. Alternatively, we are
seeking public comments on payment alternatives for CAR T-cell
therapies. We also are inviting public comments on how these payment
alternatives would affect access to care, as well as how they affect
incentives to encourage lower drug prices, which is a high priority for
this Administration. As discussed in the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41172 through 41174), we are considering approaches and
authorities to encourage value-based care and lower drug prices. We are
soliciting public comments on how the effective dates of any potential
payment methodology alternatives, if any were to be adopted, may
intersect and affect future participation in any such alternative
approaches. Such payment alternatives could include adjusting the CCRs
used to calculate new technology add-on payments for cases involving
the use of KYMRIAH[supreg] and YESCARTA[supreg]. We note that we also
considered this payment alternative for FY 2019, as discussed in the FY
2019 IPPS/LTCH PPS final rule (83 FR 41172 through 41174), and are
revisiting this approach given the additional experience with CAR T-
cell therapy being provided in hospitals paid under the IPPS and in
IPPS-excluded cancer hospitals. We also are requesting public comments
on other payment alternatives for these cases, including eliminating
the use of CCRs in calculating the new technology add-on payments for
cases involving the use of KYMRIAH[supreg] and YESCARTA[supreg] by
making a uniform add-on payment that equals the proposed maximum add-on
payment, that is, 65 percent of the cost of the technology (in
accordance with the proposed increase in the calculation of the maximum
new technology add-on payment amount), which in this instance would be
$242,450; and/or using a higher percentage than the proposed 65 percent
to calculate the maximum new technology add-on payment amount. If we
were to finalize any such changes to the new technology add-on payment
for cases involving the use of KYMRIAH[supreg] and YESCARTA[supreg], we
would also revise our proposed amendments to Sec. 412.88 accordingly.
e. VYXEOSTM (Cytarabine and Daunorubicin Liposome for
Injection)
Jazz Pharmaceuticals, Inc. submitted an application for new
technology add-on payments for the VYXEOSTM technology for
FY 2019. VYXEOSTM was approved by FDA on August 3, 2017, for
the treatment of adults with newly diagnosed therapy-related acute
myeloid leukemia (t-AML) or AML with myelodysplasia-related changes
(AML-MRC).
Treatment of AML diagnoses usually consists of two phases;
remission induction and post-remission therapy. Phase one, remission
induction, is aimed at eliminating as many myeloblasts as possible. The
most common used remission induction regimens for AML diagnoses are the
``7+3'' regimens using an antineoplastic and an anthracycline.
Cytarabine and daunorubicin are two commonly used drugs for ``7+3''
remission induction therapy. Cytarabine is continuously administered
intravenously over the course of 7 days, while daunorubicin is
intermittently administered intravenously for the first 3 days. The
``7+3'' regimen typically achieves a 70 to 80 percent complete
remission (CR) rate in most patients under 60 years of age.
VYXEOSTM is a nano-scale liposomal formulation
containing a fixed combination of cytarabine and daunorubicin in a 5:1
molar ratio. This formulation was developed by the applicant using a
proprietary system known as CombiPlex. According to the applicant,
CombiPlex addresses several fundamental shortcomings of conventional
combination regimens, specifically the conventional ``7+3'' free drug
dosing, as well as the challenges inherent in combination drug
development, by identifying the most effective synergistic molar ratio
of the drugs being combined in vitro, and fixing this ratio in a nano-
scale drug delivery complex to maintain the optimized combination after
administration and ensuring exposure of this ratio to the tumor.
After evaluation of the newness, costs, and substantial clinical
improvement criteria for new technology add-on payments for
VYXEOSTM and consideration of the public comments we
received in response to the FY 2019 IPPS/LTCH PPS proposed rule, we
approved VYXEOSTM for new technology add-on payments for FY
2019 (83 FR 41304). Cases involving VYXEOSTM that are
eligible for new technology add-on payments are identified by ICD-10-
PCS procedure codes XW033B3 (Introduction of cytarabine and
caunorubicin liposome antineoplastic into peripheral vein, percutaneous
approach, new technology group 3) or XW043B3 (Introduction of
cytarabine and daunorubicin liposome antineoplastic into central vein,
percutaneous approach, new technology group 3). In its application, the
applicant estimated that the average cost of a single vial for
VYXEOSTM is $7,750 (daunorubicin 44 mg/m\2\ and cytarabine
100 mg/m\2\). As discussed in the FY 2019 IPPS/LTCH PPS final rule (83
FR 41305), we computed a maximum average of 9.4 vials used in the
inpatient hospital setting with the maximum average cost for
VYXEOSTM used in the inpatient hospital setting equaling
$72,850 ($7,750 cost per vial * 9.4 vials). Under existing Sec.
412.88(a)(2), we limit new technology add-on payments to the lesser of
50 percent of the average cost of the technology or 50 percent of the
costs in excess of the MS-DRG payment for the case. As a result, the
maximum new technology add-on payment for a case involving the use of
VYXEOSTM is $36,425 for FY 2019.
With regard to the newness criterion for VYXEOSTM, we
consider the beginning of the newness period to commence when
VYXEOSTM was approved by the FDA (August 3, 2017). As
discussed previously in this section,
[[Page 19280]]
in general, we extend new technology add-on payments for an additional
year only if the 3-year anniversary date of the product's entry onto
the U.S. market occurs in the latter half of the upcoming fiscal year.
Because the 3-year anniversary date of the entry of the
VYXEOSTM onto the U.S. market (August 3, 2020) will occur in
the second half of FY 2020, we are proposing to continue new technology
add-on payments for this technology for FY 2020. Under the proposed
change to the calculation of the new technology add-on payment amount
discussed in section II.H.9. of the preamble of this proposed rule, we
are proposing that the maximum new technology add-on payment amount for
a case involving the use of VYXEOSTM would be $47,353.50 for
FY 2020; that is, 65 percent of the average cost of the technology.
However, if we do not finalize the proposed change to the calculation
of the new technology add-on payment amount, we are proposing that the
maximum new technology add-on payment for a case involving
VYXEOSTM would remain at $36,425 for FY 2020. We are
inviting public comments on our proposals to continue new technology
add-on payments for VYXEOSTM for FY 2020.
f. VABOMERETM (Meropenem-Vaborbactam)
Melinta Therapeutics, Inc., submitted an application for new
technology add-on payments for VABOMERETM for FY 2019.
VABOMERETM is indicated for use in the treatment of adult
patients who have been diagnosed with complicated urinary tract
infections (cUTIs), including pyelonephritis, caused by designated
susceptible bacteria. VABOMERETM received FDA approval on
August 29, 2017.
After evaluation of the newness, costs, and substantial clinical
improvement criteria for new technology add-on payments for
VABOMERETM and consideration of the public comments we
received in response to the FY 2019 IPPS/LTCH PPS proposed rule, we
approved VABOMERETM for new technology add-on payments for
FY 2019 (83 FR 41311). We noted in the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41311) that the applicant did not request approval for the use
of a unique ICD-10-PCS procedure code for VABOMERETM for FY
2019 and that as a result, hospitals would be unable to uniquely
identify the use of VABOMERETM on an inpatient claim using
the typical coding of an ICD-10-PCS procedure code. We noted that in
the FY 2013 IPPS/LTCH PPS final rule (77 FR 53352), with regard to the
oral drug DIFICIDTM, we revised our policy to allow for the
use of an alternative code set to identify oral medications where no
inpatient procedure is associated for the purposes of new technology
add-on payments. We established the use of a NDC as the alternative
code set for this purpose and described our rationale for this
particular code set. This change was effective for payments for
discharges occurring on or after October 1, 2012. In the FY 2019 IPPS/
LTCH PPS final rule, we acknowledged that VABOMERETM is not
an oral drug and is administered by IV infusion, but it was the first
approved new technology aside from an oral drug with no uniquely
assigned inpatient procedure code. Therefore, we believed that the
circumstances with respect to the identification of eligible cases
using VABOMERETM are similar to those addressed in the FY
2013 IPPS/LTCH PPS final rule with regard to DIFICIDTM
because we did not have current ICD-10-PCS code(s) to uniquely identify
the use of VABOMERETM to make the new technology add-on
payment. We stated that because we have determined that
VABOMERETM has met all of the new technology add-on payment
criteria and cases involving the use of VABOMERETM would be
eligible for such payments for FY 2019, we needed to use an alternative
coding method to identify these cases and make the new technology add-
on payment for use of VABOMERETM in FY 2019. Therefore, for
the reasons discussed in the FY 2019 IPPS/LTCH PPS final rule and
similar to the policy in the FY 2013 IPPS/LTCH PPS final rule, cases
involving VABOMERETM that are eligible for new technology
add-on payments for FY 2019 are identified by National Drug Codes (NDC)
65293-0009-01 or 70842-0120-01 (VABOMERETM Meropenem-
Vaborbactam Vial).
According to the applicant, the cost of VABOMERETM is
$165 per vial. A patient receives two vials per dose and three doses
per day. Therefore, the per-day cost of VABOMERETM is $990
per patient. The duration of therapy, consistent with the Prescribing
Information, is up to 14 days. Therefore, the estimated cost of
VABOMERETM to the hospital, per patient, is $13,860. We
stated in the FY 2019 IPPS/LTCH PPS final rule that based on the
limited data from the product's launch, approximately 80 percent of
VABOMERETM's usage would be in the inpatient hospital
setting, and approximately 20 percent of VABOMERETM's usage
may take place outside of the inpatient hospital setting. Therefore,
the average number of days of VABOMERETM administration in
the inpatient hospital setting is estimated at 80 percent of 14 days,
or approximately 11.2 days. As a result, the total inpatient cost for
VABOMERETM is $11,088 ($990 * 11.2 days). Under existing
Sec. 412.88(a)(2), we limit new technology add-on payments to the
lesser of 50 percent of the average cost of the technology or 50
percent of the costs in excess of the MS-DRG payment for the case. As a
result, the maximum new technology add-on payment for a case involving
the use of VABOMERETM is $5,544 for FY 2019.
With regard to the newness criterion for VABOMERETM, we
consider the beginning of the newness period to commence when
VABOMERETM received FDA approval (August 29, 2017). As
discussed previously in this section, in general, we extend new
technology add-on payments for an additional year only if the 3-year
anniversary date of the product's entry onto the U.S. market occurs in
the latter half of the upcoming fiscal year. Because the 3-year
anniversary date of the entry of VABOMERETM onto the U.S.
market (August 29, 2020) will occur during the second half of FY 2020,
we are proposing to continue new technology add-on payments for this
technology for FY 2020. Under the proposed change to the calculation of
the new technology add-on payment amount discussed in section II.H.9.
of the preamble of this proposed rule, we are proposing that the
maximum new technology add-on payment amount for a case involving the
use of VABOMERETM would be $7,207.20 for FY 2020; that is,
65 percent of the average cost of the technology. However, if we do not
finalize the proposed change to the calculation of the new technology
add-on payment amount, we are proposing that the maximum new technology
add-on payment for a case involving VABOMERETM would remain
at $5,544 for FY 2020.
As noted above, because there was no ICD-10-PCS code(s) to uniquely
identify the use of VABOMERETM, we indicated in the FY 2019
IPPS/LTCH PPS final rule that FY 2019 cases involving the use of
VABOMERETM that are eligible for the FY 2019 new technology
add-on payments would be identified using an NDC code. Subsequent to
the issuance of that final rule, new ICD-10-PCS codes XW033N5
(Introduction of Meropenem-vaborbactam Anti-infective into Peripheral
Vein, Percutaneous Approach, New Technology Group 5) and XW043N5
(Introduction of Meropenem-vaborbactam Anti-infective
[[Page 19281]]
into Central Vein, Percutaneous Approach, New Technology Group 5) were
finalized to identify cases involving the use of VABOMERETM,
effective October 1, 2019, as shown in Table 6B--New Procedure Codes,
associated with this proposed rule and available via the internet on
the CMS website at: https://www.cms.hhs.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/. Therefore, for FY 2020,
we will use these two ICD-10-PCS codes (XW033N5 and XW043N5) to
identify cases involving the use of VABOMERETM that are
eligible for the new technology add-on payments.
While these newly approved ICD-10-PCS procedure codes can be used
to uniquely identify cases involving the use of VABOMERETM
for FY 2020, we are concerned that limiting new technology add-on
payments only to cases reporting these new ICD-10-PCS codes for FY 2020
could cause confusion because it is possible that some providers may
inadvertently continue to bill some claims with the NDC codes rather
than the new ICD-10-PCS codes. Therefore, for FY 2020, we are proposing
that in addition to using the new ICD-10-PCS codes to identify cases
involving the use of VABOMERETM, we would also continue to
use the NDC codes to identify cases and make the new technology add-on
payments. As a result, we are proposing that cases involving the use of
VABOMERETM that are eligible for new technology add-on
payments for FY 2020 would be identified by ICD-10-PCS codes XW033N5 or
XW043N5 or NDCs 65293-0009-01 or 70842-0120-01.
We are inviting public comments on our proposal to continue new
technology add-on payments for VABOMERETM for FY 2020 and
our proposals for identifying and making new technology add-on payments
for cases involving the use of VABOMERETM.
g. remed[emacr][supreg] System
Respicardia, Inc. submitted an application for new technology add-
on payments for the remed[emacr][supreg] System for FY 2019. According
to the applicant, the remed[emacr][supreg] System is indicated for use
as a transvenous phrenic nerve stimulator in the treatment of adult
patients who have been diagnosed with moderate to severe central sleep
apnea. The remed[emacr][supreg] System consists of an implantable pulse
generator, and a stimulation and sensing lead. The pulse generator is
placed under the skin, in either the right or left side of the chest,
and it functions to monitor the patient's respiratory signals. A
transvenous lead for unilateral stimulation of the phrenic nerve is
placed either in the left pericardiophrenic vein or the right
brachiocephalic vein, and a second lead to sense respiration is placed
in the azygos vein. Both leads, in combination with the pulse
generator, function to sense respiration and, when appropriate,
generate an electrical stimulation to the left or right phrenic nerve
to restore regular breathing patterns. On October 6, 2017, the
remed[emacr][supreg] System was approved by the FDA as an implantable
phrenic nerve stimulator indicated for the use in the treatment of
adult patients who have been diagnosed with moderate to severe CSA. The
device was available commercially upon FDA approval. Therefore, the
newness period for the remed[emacr][supreg] System is considered to
begin on October 6, 2017.
After evaluation of the newness, costs, and substantial clinical
improvement criteria for new technology add-on payments for the
remed[emacr][supreg] System and consideration of the public comments we
received in response to the FY 2019 IPPS/LTCH PPS proposed rule, we
approved the remed[emacr][supreg] System for new technology add-on
payments for FY 2019. Cases involving the use of the
remed[emacr][supreg] System that are eligible for new technology add-on
payments are identified by ICD-10-PCS procedures codes 0JH60DZ and
05H33MZ in combination with procedure code 05H03MZ (Insertion of
neurostimulator lead into right innominate vein, percutaneous approach)
or 05H43MZ (Insertion of neurostimulator lead into left innominate
vein, percutaneous approach). According to the application, the cost of
the remed[emacr][supreg] System is $34,500 per patient. Under existing
Sec. 412.88(a)(2), we limit new technology add-on payments to the
lesser of 50 percent of the average cost of the technology or 50
percent of the costs in excess of the MS-DRG payment for the case. As a
result, the maximum new technology add-on payment for a case involving
the use of the remed[emacr][supreg] System is $17,250 for FY 2019 (83
FR 41320).
With regard to the newness criterion for the remed[emacr][supreg]
System, we consider the beginning of the newness period to commence
when the remed[emacr][supreg] System was approved by the FDA on October
6, 2017. Because the 3-year anniversary date of the entry of the
remed[emacr][supreg] System onto the U.S. market (October 6, 2020) will
occur after FY 2020, we are proposing to continue new technology add-on
payments for this technology for FY 2020. Under the proposed change to
the calculation of the new technology add-on payment amount discussed
in section II.H.9. of the preamble of this proposed rule, we are
proposing that the maximum new technology add-on payment amount for a
case involving the use of the remed[emacr][supreg] System would be
$22,425 for FY 2020; that is, 65 percent of the average cost of the
technology. However, if we do not finalize the proposed change to the
calculation of the new technology add-on payment amount, we are
proposing that the maximum new technology add-on payment for a case
involving the remed[emacr][supreg] System would remain at $17,250 for
FY 2020. We are inviting public comments on our proposals to continue
new technology add-on payments for the remed[emacr][supreg] System for
FY 2020.
h. ZEMDRITM (Plazomicin)
Achaogen, Inc. submitted an application for new technology add-on
payments for ZEMDRITM (Plazomicin) for FY 2019. According to
the applicant, ZEMDRITM (Plazomicin) is a next-generation
aminoglycoside antibiotic, which has been found in vitro to have
enhanced activity against many multi-drug resistant (MDR) gram-negative
bacteria. The applicant received approval from the FDA on June 25,
2018, for use in the treatment of adults who have been diagnosed with
cUTIs, including pyelonephritis. After evaluation of the newness,
costs, and substantial clinical improvement criteria for new technology
add-on payments for ZEMDRITM and consideration of the public
comments we received in response to the FY 2019 IPPS/LTCH PPS proposed
rule, we approved ZEMDRITM for new technology add-on
payments for FY 2019 (83 FR 41334). Cases involving ZEMDRITM
that are eligible for new technology add-on payments are identified by
ICD-10-PCS procedure codes XW033G4 (Introduction of Plazomicin anti-
infective into peripheral vein, percutaneous approach, new technology
group 4) or XW043G4 (Introduction of Plazomicin anti-infective into
central vein, percutaneous approach, new technology group 4). In its
application, the applicant estimated that the average Medicare
beneficiary would require a dosage of 15 mg/kg administered as an IV
infusion as a single dose. According to the applicant, the WAC for one
dose is $330, and patients will typically require 3 vials for the
course of treatment with ZEMDRITM per day for an average
duration of 5.5 days. Therefore, the total cost of ZEMDRITM
per patient is $5,445. Under existing Sec. 412.88(a)(2), we limit new
technology add-on payments to the
[[Page 19282]]
lesser of 50 percent of the average cost of the technology or 50
percent of the costs in excess of the MS-DRG payment for the case. As a
result, the maximum new technology add-on payment for a case involving
the use of ZEMDRITM is $2,722.50 for FY 2019. With regard to
the newness criterion for ZEMDRITM, we consider the
beginning of the newness period to commence when ZEMDRITM
was approved by the FDA on June 25, 2018. Because the 3-year
anniversary date of the entry of ZEMDRITM onto the U.S.
market (June 25, 2021) will occur after FY 2020, we are proposing to
continue new technology add-on payments for this technology for FY
2020. Under the proposed change to the calculation of the new
technology add-on payment amount discussed in section II.H.9. of the
preamble of this proposed rule, we are proposing that the maximum new
technology add-on payment amount for a case involving the use of
ZEMDRITM would be $3,539.25 for FY 2020; that is, 65 percent
of the average cost of the technology. However, if we do not finalize
the proposed change to the calculation of the new technology add-on
payment amount, we are proposing that the maximum new technology add-on
payment for a case involving ZEMDRITM would remain at
$2,722.50 for FY 2020. We are inviting public comments on our proposals
to continue new technology add-on payments for ZEMDRITM for
FY 2020.
i. GIAPREZATM
The La Jolla Pharmaceutical Company submitted an application for
new technology add-on payments for GIAPREZATM for FY 2019.
GIAPREZATM, a synthetic human angiotensin II, is
administered through intravenous infusion to raise blood pressure in
adult patients who have been diagnosed with septic or other
distributive shock.
GIAPREZATM was granted a Priority Review designation
under FDA's expedited program and received FDA approval on December 21,
2017, for the use in the treatment of adults who have been diagnosed
with septic or other distributive shock as an intravenous infusion to
increase blood pressure. After evaluation of the newness, costs, and
substantial clinical improvement criteria for new technology add-on
payments for GIAPREZATM and consideration of the public
comments we received in response to the FY 2019 IPPS/LTCH PPS proposed
rule, we approved GIAPREZATM for new technology add-on
payments for FY 2019 (83 FR 41342). Cases involving
GIAPREZATM that are eligible for new technology add-on
payments are identified by ICD-10-PCS procedure codes XW033H4
(Introduction of synthetic human angiotensin II into peripheral vein,
percutaneous approach, new technology, group 4) or XW043H4
(Introduction of synthetic human angiotensin II into central vein,
percutaneous approach, new technology group 4). In its application, the
applicant estimated that the average Medicare beneficiary would require
a dosage of 20 ng/kg/min administered as an IV infusion over 48 hours,
which would require 2 vials. The applicant explained that the WAC for
one vial is $1,500, with each episode-of-care costing $3,000 per
patient. Under existing Sec. 412.88(a)(2), we limit new technology
add-on payments to the lesser of 50 percent of the average cost of the
technology or 50 percent of the costs in excess of the MS-DRG payment
for the case. As a result, the maximum new technology add-on payment
for a case involving the use of GIAPREZATM is $1,500 for FY
2019.
With regard to the newness criterion for GIAPREZATM, we
consider the beginning of the newness period to commence when
GIAPREZATM was approved by the FDA (December 21, 2017).
Because the 3-year anniversary date of the entry of
GIAPREZATM onto the U.S. market (December 21, 2020) would
occur after FY 2020, we are proposing to continue new technology add-on
payments for this technology for FY 2020. Under the proposed change to
the calculation of the new technology add-on payment discussed in
section II.H.9. of the preamble of this proposed rule, we are proposing
that the maximum new technology add-on payment amount for a case
involving the use of GIAPREZATM would be $1,950 for FY 2020;
that is, 65 percent of the average cost of the technology. However, if
we do not finalize the proposed change to the calculation of the new
technology add-on payment amount, we are proposing that the maximum new
technology add-on payment for a case involving GIAPREZATM
would remain at $1,500 for FY 2020. We are inviting public comments on
our proposals to continue new technology add-on payments for
GIAPREZATM for FY 2020.
j. Cerebral Protection System (Sentinel[supreg] Cerebral Protection
System)
Claret Medical, Inc. submitted an application for new technology
add-on payments for the Cerebral Protection System (Sentinel[supreg]
Cerebral Protection System) for FY 2019. According to the applicant,
the Sentinel Cerebral Protection System is indicated for the use as an
embolic protection (EP) device to capture and remove thrombus and
debris while performing transcatheter aortic valve replacement (TAVR)
procedures. The device is percutaneously delivered via the right radial
artery and is removed upon completion of the TAVR procedure. The De
Novo request for the Sentinel[supreg] Cerebral Protection System was
granted by FDA on June 1, 2017 (DEN160043).
After evaluation of the newness, costs, and substantial clinical
improvement criteria for new technology add-on payments for the
Sentinel[supreg] Cerebral Protection System and consideration of the
public comments we received in response to the FY 2019 IPPS/LTCH PPS
proposed rule, we approved the Sentinel[supreg] Cerebral Protection
System for new technology add-on payments for FY 2019 (83 FR 41348).
Cases involving the Sentinel[supreg] Cerebral Protection System that
are eligible for new technology add-on payments are identified by ICD-
10-PCS code X2A5312 (Cerebral embolic filtration, dual filter in
innominate artery and left common carotid artery, percutaneous
approach). In its application, the applicant estimated that the cost of
the Sentinel[supreg] Cerebral Protection System is $2,800. Under
existing Sec. 412.88(a)(2), we limit new technology add-on payments to
the lesser of 50 percent of the average cost of the technology or 50
percent of the costs in excess of the MS-DRG payment for the case. As a
result, the maximum new technology add-on payment for a case involving
the use of the Sentinel[supreg] Cerebral Protection System is $1,400
for FY 2019.
With regard to the newness criterion for the Sentinel[supreg]
Cerebral Protection System, we consider the beginning of the newness
period to commence when the FDA granted the De Novo request for the
Sentinel[supreg] Cerebral Protection System (June 1, 2017). As
discussed previously in this section, in general, we extend new
technology add-on payments for an additional year only if the 3-year
anniversary date of the product's entry onto the U.S. market occurs in
the latter half of the upcoming fiscal year. Because the 3-year
anniversary date of the entry of the Sentinel[supreg] Cerebral
Protection System onto the U.S. market (June 1, 2020) will occur in the
second half of FY 2020, we are proposing to continue new technology
add-on payments for this technology for FY 2020. Under the proposed
change to the calculation of the new technology add-on payment amount
discussed in section II.H.9. of the preamble of this proposed rule, we
are proposing that the maximum new technology add-on payment amount for
[[Page 19283]]
a case involving the use of the Sentinel[supreg] Cerebral Protection
System would be $1,820 for FY 2020; that is, 65 percent of the average
cost of the technology. However, if we do not finalize the proposed
change to the calculation of the new technology add-on payment amount,
we are proposing that the maximum new technology add-on payment for a
case involving the Sentinel[supreg] Cerebral Protection System would
remain at $1,400 for FY 2020. We are inviting public comments on our
proposals to continue new technology add-on payments for the
Sentinel[supreg] Cerebral Protection System for FY 2020.
k. The AQUABEAM System (Aquablation)
PROCEPT BioRobotics Corporation submitted an application for new
technology add-on payments for the AQUABEAM System (Aquablation) for FY
2019. According to the applicant, the AQUABEAM System is indicated for
the use in the treatment of patients experiencing lower urinary tract
symptoms caused by a diagnosis of benign prostatic hyperplasia (BPH).
The AQUABEAM System consists of three main components: A console with
two high-pressure pumps, a conformal surgical planning unit with trans-
rectal ultrasound imaging, and a single-use robotic hand-piece. The
applicant reported that the AQUABEAM System provides the operating
surgeon a multi-dimensional view, using both ultrasound image guidance
and endoscopic visualization, to clearly identify the prostatic adenoma
and plan the surgical resection area. Based on the planning inputs from
the surgeon, the system's robot delivers Aquablation, an autonomous
waterjet ablation therapy that enables targeted, controlled, heat-free
and immediate removal of prostate tissue used for the purpose of
treating lower urinary tract symptoms caused by a diagnosis of BPH. The
combination of surgical mapping and robotically-controlled resection of
the prostate is designed to offer predictable and reproducible
outcomes, independent of prostate size, prostate shape or surgeon
experience.
The FDA granted the AQUABEAM System's De Novo request on December
21, 2017, for use in the resection and removal of prostate tissue in
males suffering from lower urinary tract symptoms (LUTS) due to benign
prostatic hyperplasia. The applicant stated that the AQUABEAM System
was made available on the U.S. market immediately after the FDA granted
the De Novo request.
After evaluation of the newness, costs, and substantial clinical
improvement criteria for new technology add-on payments for the
AQUABEAM System and consideration of the public comments we received in
response to the FY 2019 IPPS/LTCH PPS proposed rule, we approved the
AQUABEAM System for new technology add-on payments for FY 2019 (83 FR
41355). Cases involving the AQUABEAM System that are eligible for new
technology add-on payments are identified by ICD-10-PCS code XV508A4
(Destruction of prostate using robotic waterjet ablation, via natural
or artificial opening endoscopic, new technology group 4). The
applicant estimated that the average Medicare beneficiary would require
the transurethral procedure of one AQUABEAM System per patient.
According to the application, the cost of the AQUABEAM System is $2,500
per procedure. Under existing Sec. 412.88(a)(2), we limit new
technology add-on payments to the lesser of 50 percent of the average
cost of the technology or 50 percent of the costs in excess of the MS-
DRG payment for the case. As a result, the maximum new technology add-
on payment for a case involving the use of the AQUABEAM System's
Aquablation System is $1,250 for FY 2019.
With regard to the newness criterion for the AQUABEAM System, we
consider the beginning of the newness period to commence on the date
the FDA granted the De Novo request (December 21, 2017). As noted above
and in the FY 2019 rulemaking, the applicant stated that the AQUABEAM
System was made available on the U.S. market immediately after the FDA
granted the De Novo request.
We note that in the FY 2019 IPPS/LTCH PPS final rule, we
inadvertently misstated the newness period beginning date as April 19,
2018 (83 FR 41351). As discussed in the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41350), in its public comment in response to the FY 2019
IPPS/LTCH PPS proposed rule, the applicant explained that, while the
AQUABEAM System received approval from the FDA for its De Novo request
on December 21, 2017, local non-coverage determinations in the Medicare
population resulted in the first case being delayed until April 19,
2018. Therefore, the applicant believed that the newness period should
begin on April 19, 2018, instead of the date FDA granted the De Novo
request. In the final rule, we responded that with regard to the
beginning of the technology's newness period, as discussed in the FY
2005 IPPS final rule (69 FR 49003), the timeframe that a new technology
can be eligible to receive new technology add-on payments begins when
data begin to become available. While local non-coverage determinations
may limit the use of a technology in different regions in the country,
a technology may be available in regions where no local non-coverage
decision existed (with data beginning to become available). We also
explained that under our historical policy we do not consider how
frequently the medical service or technology has been used in the
Medicare population in our determination of newness (as discussed in
the FY 2006 IPPS final rule (70 FR 47349)). Consistent with this
response, and as indicated in the proposed rule and elsewhere in the
final rule, we believe the beginning of the newness period to commence
on the first day the AQUABEAM System was commercially available
(December 21, 2017). As noted, the later statement that the newness
period beginning date for the AQUABEAM System is April 19, 2018 was an
inadvertent error. As we indicated in the FY 2019 IPPS/LTCH PPS final
rule, we welcome further information from the applicant for
consideration regarding the beginning of the newness period.
Because the 3-year anniversary date of the entry of the AQUABEAM
System onto the U.S. market (December 21, 2020) will occur after FY
2020, we are proposing to continue new technology add-on payments for
this technology for FY 2020. Under the proposed change to the
calculation of the new technology add on payment amount discussed in
section II.H.9. of the preamble of this proposed rule, we are proposing
that the maximum new technology add-on payment amount for a case
involving the use of the AQUABEAM System would be $1,625 for FY 2020;
that is, 65 percent of the average cost of the technology. However, if
we do not finalize the proposed change to the calculation of the new
technology add-on payment amount, we are proposing that the maximum new
technology add-on payment for a case involving the AQUABEAM System
would remain at $1,250 for FY 2020. We are inviting public comments on
our proposals to continue new technology add-on payments for the
AQUABEAM System for FY 2020.
l. AndexXaTM (Andexanet alfa)
Portola Pharmaceuticals, Inc. (Portola) submitted an application
for new technology add-on payments for FY 2019 for the use of
AndexXaTM (Andexanet alfa).
AndexXaTM received FDA approval on May 3, 2018, and is
indicated for use in the treatment of patients who are
[[Page 19284]]
receiving treatment with rivaroxaban and apixaban, when reversal of
anticoagulation is needed due to life-threatening or uncontrolled
bleeding.
After evaluation of the newness, costs, and substantial clinical
improvement criteria for new technology add-on payments for
AndexXaTM and consideration of the public comments we
received in response to the FY 2019 IPPS/LTCH PPS proposed rule, we
approved AndexXaTM for new technology add-on payments for FY
2019 (83 FR 41362). Cases involving the use of AndexXaTM
that are eligible for new technology add-on payments are identified by
ICD-10-PCS procedure codes XW03372 (Introduction of Andexanet alfa,
Factor Xa inhibitor reversal agent into peripheral vein, percutaneous
approach, new technology group 2) or XW04372 (Introduction of Andexanet
alfa, Factor Xa inhibitor reversal agent into central vein,
percutaneous approach, new technology group 2). The applicant explained
that the WAC for 1 vial is $2,750, with the use of an average of 10
vials for the low dose and 18 vials for the high dose. The applicant
noted that per the clinical trial data, 90 percent of cases were
administered a low dose and 10 percent of cases were administered the
high dose. The weighted average between the low and high dose is an
average of 10.22727 vials. Therefore, the cost of a standard dosage of
AndexXaTM is $28,125 ($2,750 x 10.22727). Under existing
Sec. 412.88(a)(2), we limit new technology add-on payments to the
lesser of 50 percent of the average cost of the technology or 50
percent of the costs in excess of the MS-DRG payment for the case. As a
result, the maximum new technology add-on payment for a case involving
the use of AndexXaTM is $14,062.50 for FY 2019.
With regard to the newness criterion for AndexXaTM, we
consider the beginning of the newness period to commence when
AndexXaTM received FDA approval (May 3, 2018). Because the
3-year anniversary date of the entry of AndexXaTM onto the
U.S. market (May 3, 2021) will occur after FY 2020, we are proposing to
continue new technology add-on payments for this technology for FY
2020. Under the proposed change to the calculation of the new
technology add-on payment amount discussed in section II.H.9. of the
preamble of this proposed rule, we are proposing that the maximum new
technology add-on payment amount for a case involving the use of
AndexXaTM would be $18,281.25 for FY 2020; that is, 65
percent of the average cost of the technology. However, if we do not
finalize the proposed change to the calculation of the new technology
add-on payment amount, we are proposing that the maximum new technology
add-on payment for a case involving AndexXaTM would remain
at $14,062.50 for FY 2020. We are inviting public comments on our
proposals to continue new technology add-on payments for
AndexXaTM for FY 2020.
5. Proposed FY 2020 Applications for New Technology Add-On Payments
We received 18 applications for new technology add-on payments for
FY 2020. In accordance with the regulations under Sec. 412.87(c),
applicants for new technology add-on payments must have FDA approval or
clearance by July 1 of the year prior to the beginning of the fiscal
year for which the application is being considered. One applicant
withdrew its application prior to the issuance of this proposed rule. A
discussion of the 17 remaining applications is presented below.
a. AZEDRA[supreg] (Ultratrace[supreg] iobenguane Iodine-131) Solution
Progenics Pharmaceuticals, Inc. submitted an application for new
technology add-on payments for AZEDRA[supreg] (Ultratrace[supreg]
iobenguane Iodine-131) for FY 2020. (We note that Progenics
Pharmaceuticals, Inc. previously submitted an application for new
technology add-on payments for AZEDRA[supreg] for FY 2019, which was
withdrawn prior to the issuance of the FY 2019 IPPS/LTCH PPS final
rule.) AZEDRA[supreg] is a drug solution formulated for intravenous
(IV) use in the treatment of patients who have been diagnosed with
obenguane avid malignant and/or recurrent and/or unresectable
pheochromocytoma and paraganglioma. AZEDRA[supreg] contains a small
molecule ligand consisting of meta-iodobenzylguanidine (MIBG) and
\131\Iodine (\131\I) (hereafter referred to as ``\131\I-MIBG''). The
applicant noted that iobenguane Iodine-131 is also known as \131\I-
MIBG.
The applicant reported that pheochromocytomas and paragangliomas
are rare tumors with an incidence of approximately 2 to 8 people per
million per year.1 2 Both tumors are catecholamine-secreting
neuroendocrine tumors, with pheochromocytomas being the more common of
the two and comprising 80 to 85 percent of cases. While 10 percent of
pheochromocytomas are malignant, whereby ``malignant'' is defined by
the World Health Organization (WHO) as ``the presence of distant
metastases,'' paragangliomas have a malignancy frequency of 25
percent.3 4 Approximately one-half of malignant tumors are
pronounced at diagnosis, while other malignant tumors develop slowly
within 5 years.\5\ Pheochromocytomas and paragangliomas tend to be
indistinguishable at the cellular level and frequently at the clinical
level. For example catecholamine-secreting paragangliomas often present
clinically like pheochromocytomas with hypertension, episodic headache,
sweating, tremor, and forceful palpitations.\6\ Although
pheochromocytomas and paragangliomas can share overlapping
histopathology, epidemiology, and molecular pathobiology
characteristics, there are differences between these two neuroendocrine
tumors in clinical behavior, aggressiveness and metastatic potential,
biochemical findings and association with inherited genetic syndrome
differences, highlighting the importance of distinguishing between the
presence of malignant pheochromocytoma and the presence of malignant
paraganglioma. At this time, there is no curative treatment for
malignant pheochromocytomas and paragangliomas. Successful management
of these malignancies requires a multidisciplinary approach of
decreasing tumor burden, controlling endocrine activity, and treating
debilitating symptoms. According to the applicant, decreasing
metastatic tumor burden would address the leading cause of mortality in
this patient population, where the 5-year survival rate is 50 percent
for patients with untreated malignant pheochromocytomas and
paragangliomas.\7\ The applicant stated that controlling catecholamine
[[Page 19285]]
hypersecretion (for example, severe paroxysmal or sustained
hypertension, palpitations and arrhythmias) would also mean decreasing
morbidity associated with hypertension (for example, risk of stroke,
myocardial infarction and renal failure), and begin to address the 30-
percent cardiovascular mortality rate associated with malignant
pheochromocytomas and paragangliomas.
---------------------------------------------------------------------------
\1\ Beard, C.M., Sheps, S.G., Kurland, L.T., Carney, J.A., Lie,
J.T., ``Occurrence of pheochromocytoma in Rochester, Minnesota'',
pp. 1950-1979.
\2\ Stenstr[ouml]m, G., Sv[auml]rdsudd, K., ``Pheochromocytoma
in Sweden 1958-1981. An analysis of the National Cancer Registry
Data,'' Acta Medica Scandinavica, 1986, vol. 220(3), pp. 225-232.
\3\ Fishbein, Lauren, ``Pheochromocytoma and Paraganglioma,''
Hematology/Oncology Clinics 30, no. 1, 2016, pp. 135-150.
\4\ Lloyd, R.V., Osamura, R.Y., Kl[ouml]ppel, G., & Rosai, J.
(2017). World Health Organization (WHO) Classification of Tumours of
Endocrine Organs. Lyon, France: International Agency for Research on
Center (IARC).
\5\ Kantorovich, Vitaly, and Karel Pacak. ``Pheochromocytoma and
paraganglioma.'' Progress in Brain Research., 2010, vol. 182, pp.
343-373.
\6\ Carty, SE, Young, W.F., Elfky, A., ``Paraganglioma and
pheochromocytoma: Management of malignant disease,'' UpToDate.
Available at: https://www.uptodate.com/contents/paraganglioma-and-pheochromocytoma-management-of-malignant-disease.
\7\ Kantorovich, Vitaly, and Karel Pacak. ``Pheochromocytoma and
paraganglioma.'' Progress in Brain Research., 2010, vol. 182, pp.
343-373.
---------------------------------------------------------------------------
The applicant reported that, prior to the introduction of
AZEDRA[supreg], controlling catecholamine activity in pheochromocytomas
and paragangliomas was medically achieved with administration of
combined alpha and beta-adrenergic blockade, and surgically with tumor
tissue reduction. Because there is no curative treatment for malignant
pheochromocytomas and paragangliomas, resecting both primary and
metastatic lesions whenever possible to decrease tumor burden \8\
provides a methodology for controlling catecholamine activity and
lowering cardiovascular mortality risk. Besides surgical removal of
tumor tissue for lowering tumor burden, there are other treatment
options that depend upon tumor type (that is, pheochromocytoma tumors
versus paraganglioma tumors), anatomic location, and the number and
size of the metastatic tumors. These treatment options include: (1)
Radiation therapy; (2) nonsurgical local ablative therapy with
radiofrequency ablation, cryoablation, and percutaneous ethanol
injection; (3) transarterial chemoembolization for liver metastases;
and (4) radionuclide therapy using metaiodobenzylguanidine (MIBG) or
somatostatin. Regardless of the method to reduce local tumor burden,
periprocedural medical care is needed to prevent massive catecholamine
secretion and hypertensive crisis.\9\
---------------------------------------------------------------------------
\8\ Noda, T., Nagano, H., Miyamoto, A., et al., ``Successful
outcome after resection of liver metastasis arising from an
extraadrenal retroperitoneal paraganglioma that appeared 9 years
after surgical excision of the primary lesion,'' Int J Clin Oncol,
2009, vol. 14, pp. 473.
\9\ Carty, SE, Young, W.F., Elfky, A., ``Paraganglioma and
pheochromocytoma: Management of malignant disease,'' UpToDate.
Available at: https://www.uptodate.com/contents/paraganglioma-and-pheochromocytoma-management-of-malignant-disease.
---------------------------------------------------------------------------
The applicant stated that AZEDRA[supreg] specifically targets
neuroendocrine tumors arising from chromaffin cells of the adrenal
medulla (in the case of pheochromocytomas) and from neuroendocrine
cells of the extra-adrenal autonomic paraganglia (in the case of
paragangliomas).\10\ According to the applicant, AZEDRA[supreg] is a
more consistent form of 131I-MIBG compared to compounded
formulations of 131I-MIBG that are not approved by the FDA.
AZEDRA[supreg] (iobenguane I 131) (AZEDRA) was approved by the FDA on
July 30, 2018, and according to the applicant, is the first and only
drug indicated for the treatment of adult and pediatric patients 12
years and older who have been diagnosed with iobenguane scan positive,
unresectable, locally advanced or metastatic pheochromocytoma or
paraganglioma who require systemic anticancer therapy. Among local
tumor tissue reduction options, use of external beam radiation therapy
(EBRT) at doses greater than 40 Gy can provide local pheochromocytoma
and paraganglioma tumor control and relief of symptoms for tumors at a
variety of sites, including the soft tissues of the skull base and
neck, abdomen, and thorax, as well as painful bone metastases.\11\
However, the applicant stated that EBRT irradiated tissues are
unresponsive to subsequent treatment with 131I-MIBG
radionuclide.\12\ MIBG was initially used for the imaging of
paragangliomas and pheochromocytomas because of its similarity to
noradrenaline, which is taken up by chromaffin cells. Conventional MIBG
used in imaging expanded to off-label use in patients who had been
diagnosed with malignant pheochromocytomas and paragangliomas. Because
131I-MIBG is sequestered within pheochromocytoma and
paraganglioma tumors, subsequent malignant cell death occurs from
radioactivity. Approximately 50 percent of tumors are eligible for
treatment involving 131I-MIBG therapy based on having MIBG
uptake with diagnostic imaging. According to the applicant, despite
uptake by tumors, studies have also found that 131I-MIBG
therapy has been limited by total radiation dose, hematologic side
effects, and hypertension. While the pathophysiology of total radiation
dose and hematologic side effects are more readily understandable,
hypertension is believed to be precipitated by large quantities of non-
iodinated MIBG or ``cold'' MIBG being introduced along with radioactive
\131\I-MIBG therapy.\13\ The ``cold'' MIBG blocks synaptic reuptake of
norepinephrine, which can lead to tachycardia and paroxysmal
hypertension within the first 24 hours, the majority of which occur
within 30 minutes of administration and can be dose-limiting.\14\
---------------------------------------------------------------------------
\10\ Ibid.
\11\ Ibid.
\12\ Fitzgerald, P.A., Goldsby, R.E., Huberty, J.P., et al.,
``Malignant pheochromocytomas and paragangliomas: a phase II study
of therapy with high-dose 131I-metaiodobenzylguanidine (131I-
MIBG),'' Ann N Y Acad Sci, 2006, vol. 1073, pp. 465.
\13\ Loh, K.C., Fitzgerald, P.A., Matthay, K.K., Yeo, P.P.,
Price, DC, ``The treatment of malignant pheochromocytoma with
iodine-131 metaiodobenzylguanidine (\131\I-MIBG): a comprehensive
review of 116 reported patients,'' J Endocrinol Invest, 1997, vol.
20(11), pp. 648-658.
\14\ Gonias, S, et al., ``Phase II Study of High-Dose [\131\I
]Metaiodobenzylguanidine Therapy for Patients With Metastatic
Pheochromocytoma and Paraganglioma,'' J of Clin Onc, July 27, 2009.
---------------------------------------------------------------------------
The applicant asserted that its new proprietary manufacturing
process called Ultratrace[supreg] allows AZEDRA[supreg] to be
manufactured without the inclusion of unlabeled or ``cold'' MIBG in the
final formulation. The applicant also noted that targeted radionuclide
MIBG therapy to reduce tumor burden is one of two treatments that have
been studied the most. The other treatment is cytotoxic chemotherapy
and, specifically, Carboplatin, Vincristine, and Dacarbazine (CVD). The
applicant stated that cytotoxic chemotherapy is an option for patients
who experience symptoms with rapidly progressive, non-resectable, high
tumor burden, and that cytotoxic chemotherapy is another option for a
large number of metastatic bone lesions.\15\ According to the
applicant, CVD was believed to have an effect on malignant
pheochromocytomas and paragangliomas due to the embryonic origin being
similar to neuroblastomas. The response rates to CVD have been variable
between 25 percent and 50 percent.16 17 These patients
experience side effects consistent with chemotherapeutic treatment with
CVD, with the added concern of the precipitation of hormonal
complications such as hypertensive crisis, thereby requiring close
monitoring during cytotoxic chemotherapy.\18\ According to the
applicant, use of CVD relative to other tumor burden reduction options
is not
[[Page 19286]]
an ideal treatment because of nearly 100 percent recurrence rates, and
the need for chemotherapy cycles to be continually readministered at
the risk of increased systemic toxicities and eventual development of
resistance. Finally, there is a subgroup of patients that are
asymptomatic and have slower progressing tumors where frequent follow-
up is an option for care.\19\ Therefore, the applicant believed that
AZEDRA[supreg] offers cytotoxic radioactive therapy for the indicated
population that avoids harmful side effects that typically result from
use of low-specific activity products.
---------------------------------------------------------------------------
\15\ Carty, SE, Young, W.F., Elfky, A., ``Paraganglioma and
pheochromocytoma: Management of malignant disease,'' UpToDate.
Available at: https://www.uptodate.com/contents/paraganglioma-and-pheochromocytoma-management-of-malignant-disease.
\16\ Niemeijer, N.D., Alblas, G., Hulsteijn, L.T., Dekkers, O.M.
and Corssmit, E.P. M., ``Chemotherapy with cyclophosphamide,
vincristine and dacarbazine for malignant paraganglioma and
pheochromocytoma: systematic review and meta[hyphen]analysis,''
Clinical endocrinology, 2014, vol 81(5), pp. 642-651.
\17\ Ayala-Ramirez, Montserrat, et al., ``Clinical Benefits of
Systemic Chemotherapy for Patients with Metastatic Pheochromocytomas
or Sympathetic Extra-Adrenal Paragangliomas: Insights from the
Largest Single Institutional Experience,'' Cancer, 2012, vol.
118(11), pp. 2804-2812.
\18\ Wu, L.T., Dicpinigaitis, P., Bruckner, H., et al.,
``Hypertensive crises induced by treatment of malignant
pheochromocytoma with a combination of cyclophosphamide,
vincristine, and dacarbazine,'' Med Pediatr Oncol, 1994, vol. 22(6),
pp. 389-392.
\19\ Carty, SE, Young, W.F., Elfky, A., ``Paraganglioma and
pheochromocytoma: Management of malignant disease,'' UpToDate.
Available at: https://www.uptodate.com/contents/paraganglioma-and-pheochromocytoma-management-of-malignant-disease.
---------------------------------------------------------------------------
The applicant reported that the recommended AZEDRA[supreg] dosage
and frequency for patients receiving treatment involving \131\I-MIBG
therapy for a diagnosis of avid malignant and/or recurrent and/or
unresectable pheochromocytoma and paraganglioma tumors is:
Dosimetric Dosing--5 to 6 micro curies (mCi) (185 to 222
MBq) for a patient weighing more than or equal to 50 kg, and 0.1 mCi/kg
(3.7 MBq/kg) for patients weighing less than 50 kg. Each recommended
dosimetric dose is administered as an IV injection.
Therapeutic Dosing--500 mCi (18.5 GBq) for patients
weighing more than 62.5 kg, and 8 mCi/kg (296 MBq/kg) for patients
weighing less than or equal to 62.5 kg. Therapeutic doses are
administered by IV infusion, in ~50 mL over a period of ~30 minutes
(100 mL/hour), administered approximately 90 days apart.
With respect to the newness criterion, the applicant indicated that
FDA granted Orphan Drug designation for AZEDRA[supreg] on January 18,
2006, followed by Fast Track designation on March 8, 2006, and
Breakthrough Therapy designation on July 26, 2015. The applicant's New
Drug Application (NDA) proceeded on a rolling basis, and was completed
on November 2, 2017. AZEDRA[supreg] was approved by the FDA on July 30,
2018, for the treatment of adult and pediatric patients 12 years and
older who have been diagnosed with iobenguane scan positive,
unresectable, locally advanced or metastatic pheochromocytoma or
paraganglioma who require systemic anticancer therapy through a New
Drug Approval (NDA) filed under Section 505(b)(1) of the Federal Food,
Drug and Cosmetic Act and 21 CFR 314.50. Currently, there are no
approved ICD-10-PCS procedure codes to uniquely identify procedures
involving the administration of AZEDRA[supreg]. We note that the
applicant submitted a request for approval for a unique ICD-10-PCS code
for the administration of AZEDRA[supreg] beginning in FY 2020.
As discussed earlier, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would not be considered ``new''
for purposes of new technology add-on payments.
With regard to the first criterion, whether a product uses the same
or similar mechanism of action, the applicant stated that while
AZEDRA[supreg] and low-specific activity conventional I-131 MIBG both
target the same transporter sites on the tumor cell surface, the
therapies' safety and efficacy outcomes are different. These
differences in outcomes are because AZEDRA[supreg] is manufactured
using the proprietary Ultratrace[supreg] technology, which maximizes
the molecules that carry the tumoricidal component (I-131 MIBG) and
minimizes the extraneous unlabeled component (MIBG, free ligands),
which could cause cardiovascular side effects. Therefore, according to
the applicant, AZEDRA[supreg] is designed to increase efficacy and
decrease safety risks, whereas conventional I-131 MIBG uses existing
technologies and results in a product that overwhelms the normal
reuptake system with excess free ligands, which leads to safety issues
as well as decreasing the probability of the \131\I-MIBG binding to the
tumor cells.
With regard to the second criterion, whether a product is assigned
to the same or a different MS-DRG, the applicant noted that there are
no specific MS-DRGs for the assignment of cases involving the treatment
of patients who have been diagnosed with pheochromocytoma and
paraganglioma. We believe that potential cases representing patients
who may be eligible for treatment involving the administration of
AZEDRA[supreg] would be assigned to the same MS-DRGs as cases
representing patients who receive treatment for a diagnosis of
iobenguane avid malignant and/or recurrent and/or unresectable
pheochromocytoma and paraganglioma. We also refer readers to the cost
criterion discussion below, which includes the applicant's list of the
MS-DRGs to which potential cases involving treatment with the
administration of AZEDRA[supreg] most likely would map.
With regard to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, according to the
applicant, AZEDRA[supreg] is the only FDA-approved drug indicated for
use in the treatment of patients who have been diagnosed with malignant
pheochromocytoma and paraganglioma tumors that avidly take up \131\I-
MIBG and are recurrent and/or unresectable. The applicant stated that
these patients face serious mortality and morbidity risks if left
untreated, as well as potentially suffer from side effects if treated
by available off-label therapies.
The applicant also contended that AZEDRA[supreg] can be
distinguished from other currently available treatments because it
potentially provides the following advantages:
AZEDRA[supreg] will have a very limited impact on normal
norepinephrine reuptake due to the negligible amount of unlabeled MIBG
present in the dose. Therefore, AZEDRA[supreg] is expected to pose a
much lower risk of acute drug-induced hypertension.
There is minimal unlabeled MIBG to compete for the
norepinephrine transporter binding sites in the tumor, resulting in
more effective delivery of radioactivity.
Current off-label therapeutic use of \131\I is compounded
by individual pharmacies with varied quality and conformance standards.
Because of its higher specific activity (the activity of a
given radioisotope per unit mass), AZEDRA[supreg] infusion times are
significantly shorter than conventional \131\I administrations.
Therefore, with these potential advantages, the applicant
maintained that AZEDRA[supreg] represents an option for the treatment
of patients who have been diagnosed with malignant and/or recurrent
and/or unresectable pheochromocytoma and paraganglioma tumors, where
there is a clear, unmet medical need.
For the reasons cited earlier, the applicant believed that
AZEDRA[supreg] is not substantially similar to other currently
available therapies and/or technologies and meets the ``newness''
criterion. We are inviting public comments on whether AZEDRA[supreg] is
substantially similar to other currently available therapies and/or
technologies and meets the ``newness'' criterion.
With regard to the cost criterion, the applicant conducted an
analysis using FY 2015 MedPAR data to demonstrate that AZEDRA[supreg]
meets the cost criterion.
The applicant searched for potential cases representing patients
who may be eligible for treatment involving AZEDRA[supreg] that had one
of the following ICD-9-CM diagnosis codes (which the applicant believed
is indicative of
[[Page 19287]]
diagnosis appropriate for treatment involving AZEDRA[supreg]): 194.0
(Malignant neoplasm of adrenal gland), 194.6 (Malignant neoplasm of
aortic body and other paraganglia), 209.29 (Malignant carcinoid tumor
of other sites), 209.30 (Malignant poorly differentiated neuroendocrine
carcinoma, any site), 227.0 (Benign neoplasm of adrenal gland), 237.3
(Neoplasm of uncertain behavior of paraganglia)--in combination with
one of the following ICD-9-CM procedure codes describing the
administration of a radiopharmaceutical: 00.15 (High-dose infusion
interleukin-2); 92.20 (Infusion of liquid brachytherapy radioisotope);
92.23 (Radioisotopic teleradiotherapy); 92.27 (Implantation or
insertion of radioactive elements); 92.28 (Injection or instillation of
radioisotopes). The applicant reported that the potential cases used
for this analysis mapped to MS-DRGs 054 and 055 (Nervous System
Neoplasms with and without MCC, respectively), MS-DRG 271 (Other Major
Cardiovascular Procedures with CC), MS-DRG 436 (Malignancy of
Hepatobiliary System or Pancreas with CC), MS-DRG 827
(Myeloproliferative Disorders or Poorly Differentiated Neoplasms with
Major O.R. Procedure with CC), and MS-DRG 843 (Other Myeloproliferative
Disorders or Poorly Differentiated Neoplastic Diagnosis with MCC). Due
to patient privacy concerns, because the number of cases under each MS-
DRG was less than 11 in total, the applicant assumed an equal
distribution between these 6 MS-DRGs. Based on the FY 2019 IPPS/LTCH
PPS final rule correction notice data file thresholds, the average
case-weighted threshold amount was $60,136. Using the identified cases,
the applicant determined that the average unstandardized charge per
case ranged from $21,958 to $152,238 for the 6 evaluated MS-DRGs. After
removing charges estimated to be associated with precursor agents, the
applicant used a 3-year inflation factor of 1.1436 (a yearly inflation
factor of 1.04574 applied over 3 years), based on the FY 2018 IPPS/LTCH
PPS final rule (82 FR 38527), to inflate the charges from FY 2015 to FY
2018. The applicant provided an estimated average of $151,000 per
therapeutic dose per patient, based on the wholesale acquisition cost
of the drug and the average dosage amount for most patients, with a
total cost per patient estimated to be approximately $980,000. After
including the cost of the technology, the applicant determined an
inflated average case-weighted standardized charge per case of
$1,078,631.
We are concerned with the limited number of cases the applicant
analyzed. However, we acknowledge the difficulty in obtaining cost data
for such a rare condition. We are inviting public comments on whether
the AZEDRA[supreg] technology meets the cost criterion.
With regard to substantial clinical improvement, the applicant
maintained that the use of AZEDRA[supreg] has been shown to reduce the
incidence of hypertensive episodes and use of antihypertensive
medications, reduce tumor size, improve blood pressure control, and
reduce secretion of tumor biomarkers. In addition, the applicant
asserted that AZEDRA[supreg] provides a treatment option for those
outlined in its indication patient population. The applicant asserted
that AZEDRA[supreg] meets the substantial clinical improvement
criterion based on the results from two clinical studies: (1) MIP-IB12
(IB12): A Phase I Study of Iobenguane (MIBG) I-131 in Patients With
Malignant Pheochromocytoma/Paraganglioma; \20\ and (2) MIP-IB12B
(IB12B): A Study Evaluating Ultratrace[supreg] Iobenguane I-131 in
Patients With Malignant Relapsed/Refractory Pheochromocytoma/
Paraganglioma. The applicant explained that the IB12B study is similar
to the IB12 study in that both studies evaluated two open-label,
single-arm studies. The applicant reported that both studies included
patients who had been diagnosed with malignant and/or recurrent and/or
unresectable pheochromocytoma and paraganglioma tumors, and both
studies assessed objective tumor response, biochemical tumor response,
overall survival rates, occurrence of hypertensive crisis, and the
long-term benefit of AZEDRA[supreg] treatment relative to the need for
antihypertensives. However, according to the applicant, the study
designs differed in dose regimens (1 dose administered to patients in
the IB12 study, and 2 doses administered to patients in the IB12B
study) and primary study endpoints. Differences in the designs of the
studies prevented direct comparison of study endpoints and pooling of
the data. In addition, the applicant stated that results from safety
data from the IB12 study and the IB12B study were pooled and used to
support substantial clinical improvement assertions. We note that
neither the IB12 study nor the IB12B study compared the effects of the
use of AZEDRA[supreg] to any of the other treatment options to decrease
tumor burden (for example, cytotoxic chemotherapy, radiation therapy,
and surgical debulking).
---------------------------------------------------------------------------
\20\ Noto, Richard B., et. al., ``Phase 1 Study of High-
Specific-Activity I-131 MIBG for Metastatic and/or Recurrent
Pheochromocytoma or Paraganglioma (IB12 Phase 1 Study),'' J Clin
Endocrinol Metab, vol. 103(1), pp. 213-220.
---------------------------------------------------------------------------
Regarding the data results from the IB12 study, the applicant
asserted that, based on the reported safety and tolerability, and
primary endpoint of radiological response at 12 months, high-specific-
activity I-131 MIBG may be an effective alternative therapeutic option
for patients who have been diagnosed with iobenguane-avid, metastatic
and/or recurrent pheochromocytoma and paraganglioma tumors for whom
there are no other approved therapies and for those patients who have
failed available treatment options. In addition, the applicant used the
exploratory finding of decreased or discontinuation of anti-
hypertensive medications relative to baseline medications as evidence
that AZEDRA[supreg] has clinical benefit and positive impact on the
long-term effects of hypertension induced norepinephrine producing
malignant pheochromocytoma and paraganglioma tumors. We understand that
the applicant used antihypertensive medications as a proxy to assess
the long-term effects of hypertension such as renal, myocardial, and
cerebral end organ damage. The applicant reported that it studied 15 of
the original IB12 study's 21-patient cohort, and found 33 percent (n=5)
had decreased or discontinuation of antihypertensive medications during
the 12 months of follow-up. However, the applicant did not provide
additional data on the incidence of renal insufficiency/failure,
myocardial ischemic/infarction events, or transient ischemic attacks or
strokes. Therefore, it is unclear to us if these five patients also had
decreased urine metanephrines, changed their diet, lost significant
weight, or if other underlying comorbidities that influence
hypertension were resolved, making it difficult to understand the
significance of this exploratory finding.
Regarding the applicant's assertion that the use of AZEDRA[supreg]
is safer and more effective than alternative therapies, we note that
the IB12 study was a dose-escalating study and did not compare current
therapies with the use of AZEDRA[supreg]. We also note the following:
(1) The average age of the 21 enrolled patients in the IB12 study was
50.4 years old (a range of 30 to 72 years old); (2) the gender
distribution was 61.9 percent (n=13) male and 38.1 percent (n=8)
female; and (3) 76.2 percent (n=16) were white, 14.3 percent (n=3) were
black or African American, and 9.5 percent (n=2) were Asian. We
[[Page 19288]]
agree with the study's conductor \21\ that the size of the study is a
limitation, and with a younger, predominately white, male patient
population, generalization of study results to a more diverse
population may be difficult. The applicant reported that one other
aspect of the patient population indicated that all 21 patients
received prior anti-cancer therapy for treatment of malignant
pheochromocytoma and paraganglioma tumors, which included the
following: 57.1 percent (n=12) received radiation therapy including
external beam radiation and conventional MIBG; 28.6 percent (n=6)
received cytotoxic chemotherapy (for example, CVD and other
chemotherapeutic agents); and 14.3 percent (n=3) received
Octreotide.\22\ Although this study's patient population illustrates a
population that has failed some of the currently available therapy
options, which may potentially support a finding of substantial
clinical improvement for those with no other treatment options, we are
unclear which patients benefited from treatment involving
AZEDRA[supreg], especially in view of the finding of a Fitzgerald, et
al. study cited earlier \23\ that concluded tissues previously
irradiated by EBRT were found to be unresponsive to subsequent
treatment with \131\I-MIBG radionuclide. It was not clear in the
application how previously EBRT-treated patients who failed EBRT fared
with the Response Evaluation Criteria in Solid Tumors (RECIST) scores,
biotumor marker results, and reduction in antihypertensive medications.
We also lacked information to draw the same correlation between
previously CVD-treated patients and their RECIST scores, biotumor
marker results, and reduction in antihypertensive medications.
---------------------------------------------------------------------------
\21\ Noto, Richard B., et al., ``Phase 1 Study of High-Specific-
Activity I-131 MIBG for Metastatic and/or Recurrent Pheochromocytoma
or Paraganglioma (IB12 Phase 1 Study),'' J Clin Endocrinol Metab,
vol. 103(1), pp. 213-220.
\22\ Ibid.
\23\ Fitzgerald, P.A., Goldsby, R.E., Huberty, J.P., et al.,
``Malignant pheochromocytomas and paragangliomas: a phase II study
of therapy with high-dose 131I-metaiodobenzylguanidine (131I-
MIBG).'' Ann N Y Acad Sci, 2006, vol. 1073, pp. 465.
---------------------------------------------------------------------------
The applicant asserted that the use of AZEDRA[supreg] reduces tumor
size and reduces the secretion of tumor biomarkers, thereby providing
important clinical benefits to patients. The IB12 study assessed the
overall best tumor response based on RECIST.\24\ Tumor biomarker
response was assessed as complete or partial response for serum
chromogranin A and total metanephrines in 80 percent and 64 percent of
patients, respectively. The applicant noted that both the overall best
tumor response based on RECIST and tumor biomarker response favorable
results are at doses higher than 500 mCi. We noticed that tumor burden
improvement, as measured by RECIST criteria, showed that none of the 21
patients achieved a complete response. In addition, although 4 patients
showed partial response, these 4 patients also experienced dose-
limiting toxicity with hematological events, and all 4 patients
received administered doses greater than 18.5 GBq (500 mCi). We also
note that, regardless of total administered activity (for example,
greater than or less than 18.5 GBq (500 mCi)), 61.9 percent (n=13) of
the 21 patients enrolled in the study had stable disease and 14.3
percent (n=2) of the 14 patients who received greater than administered
doses of 18.5 GBq (500 mCi) had progressive disease. Finally, we also
noticed that, for most tumor biomarkers, there were no dose
relationship trends. While we appreciate the applicant's contention
that there is no other FDA-approved drug therapy for patients who have
been diagnosed with \131\I-MIBG avid malignant and/or recurrent and/or
unresectable pheochromocytoma and paraganglioma tumors, we have
questions as to whether the overall tumor best response and overall
best tumor biomarker data results from the IB12 study support a finding
that the use of the AZEDRA[supreg] technology represents a substantial
clinical improvement.
---------------------------------------------------------------------------
\24\ Therasse, P., Arbuck, S.G., Eisenhauer, J.W., Kaplan, R.S.,
Rubinsten, L., Verweij, J., Van Blabbeke, M., Van Oosterom, A.T.,
Christian, M.D., and Gwyther, S.G., ``New guidelines to evaluate the
response to treatment in solid tumors,'' J Natl Cancer Inst, 2000,
vol. 92(3), pp. 205-16. Available at: https://www.eortc.be/Services/Doc/RECIST.pdf.
---------------------------------------------------------------------------
Finally, regarding the applicant's assertion that, based on the
IB12 study data, AZEDRA[supreg] provides a safe alternative therapy for
those patients who have failed other currently available treatment
therapies, we note that none of the patients experienced hypertensive
crisis, and that 76 percent (n=16) of the 21 patients enrolled in the
study experienced Grade III or IV adverse events. Although the
applicant indicated the adverse events were related to the study drug,
the applicant also noted that there was no statistically significant
difference between the greater than or less than 18.5 GBq administered
doses; both groups had adverse events rates greater than 75 percent.
Specifically, 5 of 7 patients (76 percent) who received less than or
equal to 18.5 GBq administered doses, and 11 of 14 patients (79
percent) who received greater than 18.5 GBq administered doses
experienced Grade III or IV adverse advents. The most common (greater
than or equal to 10 percent) Grade III and IV adverse events were
neutropenia, leukopenia, thrombocytopenia, nausea, and vomiting. We
also note that: (1) There were 5 deaths during the study that occurred
from approximately 2.5 months up to 22 months after treatment and there
was no detailed data regarding the 5 deaths, especially related to the
total activity received during the study; (2) there was no information
about which patients received prior radiation therapy with EBRT and/or
conventional MIBG relative to those who experienced Grade III or IV
adverse events; and (3) the total lifetime radiation dose was not
provided by the applicant. We are inviting public comments on whether
the safety data profile from the IB12 study supports a finding that the
use of AZEDRA[supreg] represents a substantial clinical improvement for
patients who received treatment with \131\I-MIBG for a diagnosis of
avid malignant and/or recurrent and/or unresectable pheochromocytoma
and paraganglioma tumors, given the risks for Grade III or IV adverse
events.
The applicant provided study data results from the IB12B study
(MIP-IB12B), an open-label, prospective 5-year follow-up, single-arm,
multi-center, Phase II pivotal study to evaluate the safety and
efficacy of the use of AZEDRA[supreg] for the treatment of patients who
have been diagnosed with malignant and/or recurrent pheochromocytoma
and paraganglioma tumors to support the assertion of substantial
clinical improvement. The applicant reported that the IB12B's primary
endpoint is the proportion of patients with a reduction (including
discontinuation) of all anti-hypertensive medication by at least 50
percent for at least 6 months. Seventy-four patients who received at
least 1 dosimetric dose of AZEDRA[supreg] were evaluated for safety and
68 patients who received at least 1 therapeutic dose of AZEDRA[supreg],
each at 500 mCi (or 8 mCi/kg for patients weighing less than or equal
to 62.5 kg), were assessed for specific clinical outcomes. The
applicant asserted that results from this prospective study met the
primary endpoint (reduction or discontinuation of anti-hypertensive
medications), as well as demonstrated strong supportive evidence from
key secondary endpoints (overall tumor response, tumor biomarker
response, and overall survival rates) that confers important clinical
relevance to patients
[[Page 19289]]
who have been diagnosed with malignant pheochromocytoma and
paraganglioma tumors. The applicant also indicated that the use of
AZEDRA[supreg] was shown to be generally well tolerated at doses
administered at 8 mCi/kg. We note that the data results from the IB12B
study did not have a comparator arm, making it difficult to interpret
the clinical outcome data relative to other currently available
therapies.
As discussed for the IB12 study, the applicant reported that
antihypertension treatment was a proxy for effectiveness of the use of
AZEDRA[supreg] on norepinephrine induced hypertension producing tumors.
In the IB12B study, 25 percent (17/68) of patients met the primary
endpoint of having a greater than 50 percent reduction in anti-
hypertensive agents for at least 6 months. The applicant further
indicated that an additional 16 patients showed a greater than 50
percent reduction in anti-hypertensive agents for less than 6 months,
and by pooling data results from these 33 patients the applicant
concluded that 49 percent (33/68) of patients achieved a greater than
50 percent reduction at any time during the study's 12-month follow-up
period. The study's primary endpoint data also revealed that 11 percent
of the 88 patients who received a therapeutic dose of AZEDRA[supreg]
experienced a worsening of preexisting hypertension defined as an
increase in systolic blood pressure to >=160 mmHg with an increase of
20 mmHg or an increase in diastolic blood pressure >= 00 mmHg with an
increase of 10 mmHg. All changes in blood pressure occurred within the
first 24 hours post infusion. The applicant further compared its data
results from the IB12B study regarding antihypertension medication and
the frequency of post-infusion hypertension with published studies on
MIBG and CVD therapy. The applicant noted a retrospective analysis of
CVD therapy of 52 patients who had been diagnosed with metastatic
pheochromocytoma and paraganglioma tumors that found only 15 percent of
CVD-treated patients achieved a 50-percent reduction in anti-
hypertensive agents. The applicant also compared its data results for
post-infusion hypertension with literature reporting on MIBG and found
14 and 19 percent (depending on the study) of patients receiving MIBG
experience hypertension within 24 hours of infusion. Comparatively, the
applicant stated that the use of AZEDRA[supreg] had no acute events of
hypertension following infusion. We are inviting public comments on
whether these data results regarding hypertension support a finding
that the use of the AZEDRA[supreg] technology represents a substantial
clinical improvement, and if anti-hypertensive medication reduction is
an adequate proxy for improvement in renal, cerebral, and myocardial
end organ damage.
Regarding reduction in tumor burden (as defined by RECIST scores),
the applicant indicated that at the conclusion of the IB12B study's 12-
month follow-up period, 23.4 percent (n=15) of the 68 patients showed a
partial response, 68.8 percent (n=44) of the 68 patients achieved
stable disease, and 4.7 percent (n=3) of the 68 patients showed
progressive disease. None of the patients showed completed response.
The applicant maintained that achieving stable disease is important for
patients who have been treated for malignant pheochromocytoma and
paraganglioma tumors because this is a progressive disease without a
cure at this time. The applicant also indicated that literature shows
that stable disease is maintained in approximately 47 percent of
treatment na[iuml]ve patients who have been diagnosed with metastatic
pheochromocytoma and paraganglioma tumors at 1 year due to the indolent
nature of the disease.\25\ In the IB12B study, the data results equated
to 23 percent of patients achieving partial response and 69 percent of
patients achieving stable disease. According to the applicant, this
compares favorably to treatment with both conventional radiolabeled
MIBG and CVD chemotherapy.
---------------------------------------------------------------------------
\25\ Hescot, S., Leboulleux, S., Amar, L., Vezzosi, D., Borget,
I., Bournaud-Salinas, C., de la Fouchardiere, C., Lib[eacute], R.,
Do Cao, C., Niccoli, P., Tabarin, A., ``One-year progression-free
survival of therapy-naive patients with malignant pheochromocytoma
and paraganglioma,'' The J Clin Endocrinol Metab, 2013, vol. 98(10),
pp. 4006-4012.
---------------------------------------------------------------------------
The applicant stated that the data results demonstrated effective
tumor response rates. The applicant reported that the IB12 and IB12B
study data showed overall tumor response rates of 80 percent and 92
percent, respectively. In addition, the applicant contended that the
study data across both trials show that patients demonstrated improved
blood pressure control, reductions in tumor biomarker secretion, and
strong evidence in overall survival rates. The overall median time to
death from the first dose was 36.7 months in all treated patients.
Patients who received 2 therapeutic doses had an overall median
survival rate of 48.7 months, compared to 17.5 months for patients who
only received a single dose. We note that the IB12B study reported 12-
month Kaplan-Meier estimate of survival of 91 percent, while the drug
dosing study IB12 reported overall subject survival of 86 percent at 12
months, 62 percent at 24 months, 38 percent at 36 months, and 4.8
percent at 48 months. We also note that only 45 of 68 patients who
received at least 1 therapeutic dose completed the 12-month efficacy
phase.
The applicant indicated that comparison of the IB12B study data
regarding overall survival rate with historical data is difficult due
to the differences in the retrospective nature of the published
clinical studies and heterogeneous patient characteristics, especially
when overall survival is calculated from the time of initial diagnosis.
We agree with the applicant regarding the difficulties in comparing the
results of the published clinical studies, and also believe that the
differences in these studies may make it more difficult to evaluate
whether the use of the AZEDRA[supreg] technology improves overall
survival rates relative to other therapies.
We acknowledge the challenges with constructing robust clinical
studies due to the extremely rare occurrence of patients who have been
diagnosed with pheochromocytoma and paraganglioma tumors. However, we
are concerned that because the data for both of these studies is mainly
based upon retrospective studies and small, heterogeneous patient
cohorts, it is difficult to draw precise conclusions regarding
efficacy. Only very limited nonpublished data from two, single-arm,
noncomparative studies are available to evaluate the safety and
effectiveness of AZEDRA[supreg], leading to a comparison of outcomes
with historical controls.
We are inviting public comments on whether the use of the
AZEDRA[supreg] technology meets the substantial clinical improvement
criterion, including with respect to the specific concerns we have
raised. We did not receive any written comments in response to the New
Technology Town Hall meeting notice published in the Federal Register
regarding the substantial clinical improvement criterion for
AZEDRA[supreg] or at the New Technology Town Hall meeting.
b. CABLIVI[supreg] (caplacizumab-yhdp)
The Sanofi Company submitted an application for new technology add-
on payments for CABLIVI[supreg] (caplacizumab-yhdp) for FY 2020. The
applicant described CABLIVI[supreg] as a humanized bivalent nanobody
consisting of two identical building blocks joined by a tri alanine
linker, which is administered through intravenous and subcutaneous
[[Page 19290]]
injection to inhibit microclot formation in adult patients who have
been diagnosed with acquired thrombotic thrombocytopenic purpura
(aTTP). The applicant stated that aTTP is a life-threatening, immune-
mediated thrombotic microangiopathy characterized by severe
thrombocytopenia, hemolytic anemia, and organ ischemia with an
estimated 3 to 11 cases per million per year in the U.K. and
U.S.26 27 28 Further, the applicant stated that aTTP is an
ultra-orphan disease caused by inhibitory autoantibodies to von
Willebrand Factor-cleaving protease (vWFCP) also known as ``a
disintegrin and metalloprotease with thrombospondin type 1 motif,
member 13 (ADAMTS13),'' resulting in a severe deficiency in WFCP. The
applicant further explained that von Willebrand Factor (vWF) is a key
protein in hemostasis and is an adhesive, multimeric plasma
glycoprotein with a pivotal role in the recruitment of platelets to
sites of vascular injury. According to the applicant, more than 90
percent of circulating vWF is expressed by endothelial cells and
secreted into the systemic circulation as ultra-large von Willebrand
Factor (ULvWF) multimers. The applicant stated that decreased ADAMTS13
activity leads to an accumulation of ULvWF multimers, which bind to
platelets and induce platelet aggregation. According to the applicant,
the consumption of platelets in these microthrombi causes severe
thrombocytopenia, tissue ischemia and organ dysfunction (commonly
involving the brain, heart, and kidneys) and may result in acute
thromboembolic events such as stroke, myocardial infarction, venous
thrombosis, and early death. The applicant indicated that the
aforementioned tissue and organ damage resulting from the ischemia
leads to increased levels of lactate dehydrogenase (LDH), troponins,
and creatinine (organ damage markers) and that faster normalization of
these organ damage markers and platelet counts is believed to be linked
with faster resolution of the ongoing microthrombotic process and the
associated tissue ischemia. According to the applicant, in diagnoses of
aTTP there is no consensual, validated surrogate marker that defines
the subpopulation at greatest risk of death or significant morbidity.
Therefore, the applicant stated that all patients who have been
diagnosed with aTTP should be considered severe cases and treated in
order to prevent death and significant morbidity.
---------------------------------------------------------------------------
\26\ Scully, M., et al., ``Regional UK TTP registry: correlation
with laboratory ADAMTS 13 analysis and clinical Features,'' Br. J.
Haematol., 2008, vol. 142(5), pp. 819-26.
\27\ Reese, J.A., et al., ``Children and adults with thrombotic
thrombocytopenic purpura associated with severe, acquired Adamts13
deficiency: comparison of incidence, demographic and clinical
features,'' Pediatr. Blood Cancer, 2013, vol. 60(10), pp. 1676-82.
\28\ Terrell, D.R., et al., ``The incidence of thrombotic
thrombocytopenic purpura-hemolytic uremic syndrome: all patients,
idiopathic patients, and patients with severe ADAMTS-13
deficiency,'' J. Thromb. Haemost., 2005, vol. 3(7), pp. 1432-6.
---------------------------------------------------------------------------
The applicant explained that the two standard-of-care (SOC)
treatment options for a diagnosis of aTTP are plasma exchange (PE), in
which a patient's blood plasma is removed through apheresis and is
replaced with donor plasma, and immunosuppression (for example,
corticosteroids and increasingly also rituximab), which is often
administered as adjunct to plasma exchange in the treatment for a
diagnosis of aTTP.29 30 According to the applicant, despite
the current SOC treatment options, acute aTTP episodes are still
associated with a mortality rate of up to 20 percent, which generally
occurs within the first weeks of diagnosis. The applicant asserted
that, although the 20-percent mortality rate reflects substantial
improvement because of PE treatment, in spite of greater understanding
of disease pathogenesis and the use of newer immunosuppressants, the
mortality rate has not been further
improved.31 32 33 34 35 36 The applicant also noted that
another important limitation of the currently available therapies (PE
and immunosuppression) is the delayed onset of effect of days to weeks
of these therapies because such therapies do not directly address the
pathophysiological platelet aggregation that leads to the formation of
microthrombi, which is ultimately associated with death or with the
severe outcomes reported with diagnoses of aTTP. The applicant
explained that despite current treatment, exacerbation and relapse
occur and frequently lead to hospitalization and the need to restart
daily PE treatment and optimize immunosuppression. In addition, the
applicant noted that patients may experience exacerbations after
discontinuing plasma exchange treatment due to continuing formation of
microthrombi as a result of unresolved underlying autoimmune disease,
and patients remain at risk of thrombotic complications or early death
until the episode is completely resolved.\37\
---------------------------------------------------------------------------
\29\ Scully, M., et al., ``Guidelines on the diagnosis and
management of thrombotic thrombocytopenic purpura and other
thrombotic microangiopathies,'' Br. J. Haematol., 2012, vol. 158(3),
pp. 323-35.
\30\ George, J.N., ``Corticosteroids and rituximab as adjunctive
treatments for thrombotic thrombocytopenic Purpura,'' Am. J.
Hematol., 2012, vol. 87 Suppl 1, pp. S88-91.
\31\ Form for Notification of a Compassionate Use Programme to
the Paul-Ehrlich-Institut.
\32\ Benhamou, Y., et al., ``Cardiac troponin-I on diagnosis
predicts early death and refractoriness in acquired thrombotic
thrombocytopenic purpura. Experience of the French Thrombotic
Microangiopathies Reference Center,'' J. Thromb. Haemost., 2015,
vol. 13(2), pp. 293-302.
\33\ Han, B., et al., ``Depression and cognitive impairment
following recovery from thrombotic thrombocytopenic purpura,'' Am.
J. of Hematol., 2015, vol. 90(8), pp. 709-14.
\34\ Rajan, S.K., ``BMJ Best Practice; Thrombotic
thrombocyopenic purpura,'' May 27, 2016.
\35\ Goel, R., et al., ``Prognostic risk-stratified score for
predicting mortality in hospitalized patients with thrombotic
thrombocytopenic purpura: nationally representative data from 2007
to 2012,'' Transfusion, 2016, vol. 56(6), pp. 1451-8.
\36\ Rock, G.A., Shumak, K.H., Buskard, N.A., et al.,
``Comparison of plasma exchange with plasma infusion in the
treatment of thrombotic thrombocytopenic purpura. Canadian Apheresis
Study Group,'' N Engl J Med, 1991, vol. 325, pp. 393-397.
\37\ Goel, R., et al., ``Prognostic risk-stratified score for
predicting mortality in hospitalized patients with thrombotic
thrombocytopenic purpura: nationally representative data from 2007
to 2012,'' Transfusion, 2016, vol. 56(6), pp. 1451-8.
---------------------------------------------------------------------------
According to the information provided by the applicant,
CABLIVI[supreg] is administered as an adjunct to PE treatment and
immunosuppressive therapy immediately upon diagnosis of aTTP through a
bolus intraveneous injection for the first dose and subcutaneous
injection for all subsequent doses. The recommended treatment regimen
and dosage of CABLIVI[supreg] consists of administering 10 mg on the
first day of treatment via intravenous injection prior to the standard
plasma exchange treatment. After completion of PE treatment on the
first day, a 10 mg subcutaneous injection is administered. After the
first day, and for the rest of the plasma exchange treatment period, a
daily 10 mg subcutaneous injection is administered following each day's
PE treatment. After the PE treatment period is completed, a daily 10 mg
subcutaneous injection is administered for 30 days. If the underlying
immunological disease (aTTP) is not resolved, the treatment period
should be extended beyond 30 days and be accompanied by optimization of
immunosuppression (another SOC treatment option, in addition to PE
treatment). According to the applicant and as discussed later, the use
of CABLIVI[supreg] produces faster normalization of platelet count
response compared to that of SOC treatment options alone. The applicant
indicated that this contributes to a decrease in the
[[Page 19291]]
length of the SOC treatment period with respect to the number of days
of PE treatment, the mean length of intensive care unit stays, and the
mean length of hospitalizations.
With respect to the newness criterion, CABLIVI[supreg] received FDA
approval on February 6, 2019, for the treatment of adult patients who
have been diagnosed with aTTP, in combination with plasma exchange and
immunosuppressive therapy. According to information provided by the
applicant, CABLIVI[supreg] was previously granted Fast Track and Orphan
Drug designations in the United States for the treatment of aTTP by the
FDA and Orphan Drug designation in Europe for the treatment of aTTP.
Currently, there are no ICD-10-PCS procedure codes to uniquely identify
procedures involving CABLIVI[supreg]. We note that the applicant
submitted a request for approval for a unique ICD-10-PCS procedure code
for the administration of CABLIVI[supreg] beginning in FY 2020.
As discussed above, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would not be considered ``new''
for purposes of new technology add-on payments.
With regard to the first criterion, whether a product uses the same
or a similar mechanism of action to achieve a therapeutic outcome,
according to the applicant, CABLIVI[supreg] is a first-in-class therapy
with an innovative mechanism of action. The applicant explained that
CABLIVI[supreg] binds to the A1 domain of vWF and specifically inhibits
the interaction between vWF and platelets. Furthermore, the applicant
indicated that in patients who have been diagnosed with aTTP,
proteolysis of ULvWF multimers by ADAMTS13 is impaired due to the
presence of inhibiting or clearing anti-ADAMTS13 auto-antibodies,
resulting in the persistence of the constitutively active A1 domain
and, as a consequence, platelets spontaneously bind to ULvWF and
generate microvascular blood clots in high shear blood vessels. The
applicant noted that CABLIVI[supreg] is able to interact with vWF in
both its active (that is, ULvWF multimers or normal multimers activated
through immobilization or shear stress) and inactive forms (that is,
multimers prior to conformational change of the A1 domain), thereby
immediately blocking the interaction of vWF with the platelet receptor
(GPIb-IX-V) and further preventing spontaneous interaction of ULvWF
with platelets that would lead to platelet microthrombi formation in
the microvasculature, local schemia and platelet consumption. The
applicant highlighted that this immediate platelet-protective effect
differentiates CABLIVI[supreg] from slower-acting therapies, such as PE
and immunosuppressants, which need days to exert their effect. The
applicant explained that PE acts by removing ULvWF and the circulating
auto-antibodies against ADAMTS13, thereby replenishing blood levels of
ADAMTS13, while immunosuppressants aim to stop or reduce the formation
of auto-antibodies against ADAMTS13.
With respect to the second criterion, whether a product is assigned
to the same or a different MS-DRG, the applicant believed that
potential cases representing patients who may be eligible for treatment
involving CABLIVI[supreg] would be assigned to the same MS- DRGs as
cases representing patients who receive SOC treatment for a diagnosis
of aTTP. As explained below in the discussion of the cost criterion,
the applicant believed that potential cases representing patients who
may be eligible for treatment involving CABLIVI[supreg] would be
assigned to MS-DRGs that contain cases representing patients who were
diagnosed with aTTP and received therapeutic PE procedures during
hospitalization.
With respect to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, according to the
applicant, there are no other specific therapies approved for the
treatment of patients diagnosed with aTTP. As stated earlier, according
to the applicant, patients who have been diagnosed with aTTP have two
currently available SOC treatment options: PE, in which a patient's
blood plasma is removed through apheresis and is replaced with donor
plasma, and immunosuppression (for example, corticosteroids and
increasingly rituximab), which is administered as an adjunct to PE in
the treatment of aTTP. The applicant further explained that
immunosuppression consisting of glucocorticoids is often administered
as adjunct to PE in the initial treatment of a diagnosis of
aTTP,38 39 but their use is based on historical evidence
that some patients with limited symptoms might respond to
corticosteroids alone.40 41 The applicant noted that there
have been no studies specifically comparing treatment involving the
combination of PE with corticosteroids, versus PE alone; that they are
not specifically approved for the treatment of a diagnosis of aTTP, and
that other immunosuppressive agents used to treat a diagnosis of aTTP,
such as rituximab, have not been studied in properly controlled,
double-blind studies. The applicant also noted that rituximab, aside
from not being licensed for the treatment of a diagnosis of aTTP, is
not fully effective during the first 2 weeks of treatment, with a
reported delay of onset of its effect that may extend up to 27 days,
with at least 3 to 7 days needed to achieve adequate B-cell depletion
(given the B-cells may also contain ADAMTS13 antibodies), and even
longer to restore ADAMTS13 activity levels.42 43
---------------------------------------------------------------------------
\38\ Scully, M., et al., ``Guidelines on the diagnosis and
management of thrombotic thrombocytopenic purpura and other
thrombotic microangiopathies,'' Br. J. Haematol., 2012, vol. 158(3),
pp. 323-35.
\39\ George, J.N., ``Corticosteroids and rituximab as adjunctive
treatments for thrombotic thrombocytopenic Purpura,'' Am. J.
Hematol., 2012, vol. 87 Suppl 1, pp. S88-91.
\40\ Bell, W.R., et al., ``Improved survival in thrombotic
thrombocytopenic purpura-hemolytic uremic Syndrome. Clinical
experience in 108 patients,'' N. Engl. J. Med., 1991, vol. 325(6),
pp. 398-403.
\41\ Phillips, E.H., et al., ``The role of ADAMTS-13 activity
and complement mutational analysis in differentiating acute
thrombotic microangiopathies,'' J. Thromb. Haemost., 2016, vol.
14(1), pp. 175-85.
\42\ Coppo, P., ``Management of thrombotic thrombocytopenic
purpura,'' Transfus Clin Biol., Sep 2017, vol. 24(3), pp. 148-153.
\43\ Froissart, A., et al., ``Rituximab in autoimmune thrombotic
thrombocytopenic purpura: A success story,'' Eur. J. Intern. Med.,
2015, vol. 26(9), pp. 659-65.
---------------------------------------------------------------------------
Based on the applicant's statements as summarized above, the
applicant believes that CABLIVI[supreg] provides a new treatment option
for patients who have been diagnosed with aTTP. However, it is not
clear that CABLIVI[supreg] would involve the treatment of a different
type of disease or a different patient population. As stated earlier,
according to the applicant, patients who have been diagnosed with aTTP
have two SOC treatment options for a diagnosis of aTTP: PE, in which a
patient's blood plasma is removed through apheresis and is replaced
with donor plasma, and immunosuppression (for example, corticosteroids
and increasingly also rituximab), which is administered as an adjunct
to PE in the initial treatment for a diagnosis of aTTP. Therefore, it
appears that CABLIVI[supreg] is used to treat the same or similar type
of disease (a diagnosis of aTTP) and a similar patient population as
currently available treatment options.
We are inviting public comments on whether CABLIVI[supreg] is
substantially similar to other technologies and whether CABLIVI[supreg]
meets the newness criterion.
[[Page 19292]]
With regard to the cost criterion, the applicant conducted the
following analysis to demonstrate that the technology meets the cost
criterion. In order to identify the range of MS-DRGs that cases
representing potential patients who may be eligible for treatment using
CABLIVI[supreg] may map to, the applicant identified all MS-DRGs for
patients who had been hospitalized for a diagnosis of aTTP.
Specifically, the applicant searched the FY 2017 MedPAR file for
Medicare fee-for-service inpatient hospital claims submitted between
October 1, 2016 and September 30, 2017, and identified potential cases
by ICD-10-CM diagnosis code M31.1 (Thrombotic microangiopathy) and ICD-
10-PCS procedure codes 6A550Z3 (Pheresis of plasma, single) and 6A551Z3
(Pheresis of plasma, multiple). The applicant noted that it excluded
cases with an ICD-10-CM diagnosis code of D59.3 (Hemolytic-uremic
syndrome).
This resulted in 360 cases spanning 61 MS-DRGs, with approximately
67.2 percent of all potential cases mapping to the following 5 MS-DRGs:
------------------------------------------------------------------------
MS-DRG MS-DRG title
------------------------------------------------------------------------
MS-DRG 545.......................... Connective Tissue Disorders with
MCC.
MS-DRG 546.......................... Connective Tissue Disorders
without CC.
MS-DRG 547.......................... Connective Tissue Disorders
without CC/MCC.
MS-DRG 682.......................... Renal Failure with MCC.
MS-DRG 698.......................... Other Kidney and Urinary Tract
Diagnoses with MCC.
------------------------------------------------------------------------
Using the 242 identified cases that mapped to the top 5 MS-DRGs
above, the average case-weighted unstandardized charge per case was
$188,765. The applicant then standardized the charges and then removed
historic charges for items that are expected to be avoided for patients
who receive treatment involving CABLIVI[supreg]. The applicant
determined that 31 percent of historical routine bed charges, 65
percent of historical ICU charges, and 38 percent of historical blood
administration charges (which includes charges for therapeutic PE)
would be reduced because of the use of CABLIVI[supreg], based on the
findings from the Phase III clinical study HERCULES. The applicant
indicated it used the FY 2017 MedPAR file to determine the appropriate
amount of charges to remove. The applicant then inflated the adjusted
standardized charges by 8.864 percent utilizing the 2-year inflation
factor published by CMS in the FY 2019 IPPS/LTCH PPS final rule to
adjust the outlier threshold (83 FR 41722). (We note that this figure
was revised in the FY 2019 IPPS/LTCH PPS final rule correction notice.
The corrected final 2-year inflation factor is 1.08986 (83 FR 49844).
We further note that even when using the corrected final rule values to
inflate the charges, the average case-weighted standardized charge per
case exceeded the average case-weighted threshold amount.) The
applicant explained that the anticipated price for CABLIVI[supreg]'s
indication for the treatment of patients who have been diagnosed with
aTTP, in combination with plasma exchange and immunosuppressive
therapy, has yet to be determined and, therefore, no charges for
CABLIVI[supreg] were added in the analysis. Based on the FY 2019 IPPS/
LTCH PPS final rule correction notice data file thresholds for FY 2020,
the applicant determined the average case-weighted threshold amount was
$49,904. The final inflated average case-weighted standardized charge
per case was $145,543. Because the final inflated average case-weighted
standardized charge per case exceeds the average case-weighted
threshold amount, the applicant maintained that the technology meets
the cost criterion. We are inviting public comments on whether
CABLIVI[supreg] meets the cost criterion.
With respect to the substantial clinical improvement criterion, the
applicant asserted that it believes that CABLIVI[supreg] represents a
substantial clinical improvement compared to the use of currently
available treatments (PE and immunosuppressants) because it: (1)
Significantly reduces time to platelet count response, which is
consistent with the halting of platelet consumption in microthrombi;
(2) significantly reduces the number of patients with aTTP-related
death, recurrence of aTTP-related episodes, or a major thromboembolic
event; (3) reduces mortality; (4) reduces the proportion of patients
with recurrence of aTTP diagnoses; (5) reduces the proportion of
patients who develop refractory disease; (6) reduces the number of days
of PE; (7) reduces the mean length of intensive care unit stay and the
mean length of hospitalization; and (8) shows a trend of more rapid
normalization of organ damage markers. The applicant provided further
detail regarding these assertions, referencing the results of Phase II
and Phase III studies and an integrated efficacy analysis of both
studies.
The applicant reported that the Phase II study was a randomized,
single-blind, placebo controlled study entitled ALX-0681-2.1/10 (TITAN)
that examined the efficacy and safety of the use of CABLIVI[supreg]
compared to a placebo, with the primary endpoint being achievement of a
statistically significant reduction in time to platelet count response.
Seventy-five patients, 66 of which were white, (19 to 72 years old,
with a mean of 41.6 years old; 44 women and 31 men) with an episode of
aTTP were randomized 1:1 to receive either CABLIVI[supreg] (n=36) or
placebo (n=39), in addition to daily PE.\44\ Patients received their
first dose of CABLIVI[supreg] administered through intravenous
injection prior to the first PE, followed by daily doses administered
subcutaneously after each PE. After discontinuing PE, daily doses of
CABLIVI[supreg] administered through subcutaneous injection were
continued for 30 days. The median treatment duration with
CABLIVI[supreg] was 36 days.
---------------------------------------------------------------------------
\44\ Peyvandi, F., Scully, M., Kremer Hovinga, J.A., Cataland,
S., Kn[ouml]bl, P., Wu, H., Artoni, A., Westwood, J.P., Mansouri
Taleghani, M., Jilma, B., Callewaert, F., Ulrichts, H., Duby, C.,
Tersago, D., TITAN Investigators, ``Caplacizumab for Acquired
Thrombotic Thrombocytopenic Purpura,'' N Engl J Med., February 11,
2016, vol. 374(6), pp. 511-22. PMID: 26863353.
---------------------------------------------------------------------------
According to the applicant, significantly more patients in the
treatment arm met the primary endpoint [95 percent Confidence Interval
(CI) (3.78, 1.28)]. The applicant indicated that the time to platelet
count response improvement constitutes a significant substantial
clinical improvement because it demonstrated that patients treated with
CABLIVI[supreg] were 2.2 times more likely to achieve an acceptable
time to platelet count response than patients receiving treatment with
the placebo. Additionally, the applicant noted that exacerbation of
aTTP occurred in fewer patients who were treated with CABLIVI[supreg]
(8.3 percent) than placebo (28.2 percent). During the 1-month follow-up
period, 8 relapses (defined as a recurrence more than 30 days after
discontinuing PE) occurred in the CABLIVI[supreg] group with 7 of the
relapses occurring within 10 days of
[[Page 19293]]
discontinuing the study drug. In all seven of the relapses, ADAMTS13
activity was still severely suppressed at the end of the treatment
period, evidence of ongoing underlying immunological disease and
indicating an imminent risk of another relapse. The applicant explained
that according to post-hoc analyses, the group of patients who were
treated with CABLIVI[supreg] compared to placebo showed a decrease in
the percentage of patients with refractory disease (0 percent versus
10.8 percent), a reduction in the number of days of PE (7.7 days versus
11.7 days) and a trend to more rapid normalization of organ damage
markers (lactate dehydrogenase, cardiac troponin I and serum
creatinine). Finally, the applicant noted that there were no deaths in
the group of patients who were treated with CABLIVI[supreg]. However, 2
of the 39 placebo-treated patients (5.1 percent) died.
The applicant explained that the Phase III study was a randomized,
double-blind, placebo controlled study entitled ALX0681-C301 (HERCULES)
that examined the efficacy and safety of the use of CABLIVI[supreg]
compared to a placebo, with the primary endpoint being achievement of a
statistically significant reduction in time to platelet count response.
One hundred forty-five patients (18 to 79 years old, with a mean of 46
years old, 100 women and 45 men), with an episode of aTTP were
randomized 1:1 to receive either CABLIVI[supreg] (n=72) or placebo
(n=73) in addition to daily PE and immunosuppression.\45\ The applicant
explained that patients received a single 10 mg CABLIVI[supreg]
intravenous injection or placebo prior to the first PE, followed by a
daily CABLIVI[supreg] 10 mg subcutaneous injection or placebo after
completion of PE, for the duration of the daily PE treatment period and
for 30 days thereafter. According to the applicant, if at the end of
this treatment period (daily PE treatment period and 30 days after)
there was evidence of persistent underlying immunological disease
activity (indicative of an imminent risk for recurrence), treatment
could be extended weekly for a maximum of 4 weeks, together with
optimization of immunosuppression. The applicant indicated that
patients who experienced a recurrence while undergoing study drug
treatment were switched to open-label CABLIVI[supreg] and they were
again treated for the duration of daily PE treatment and for 30 days
thereafter. If at the end of this treatment period (daily PE treatment
period and 30 days after) there was evidence of ongoing underlying
immunological disease, open-label treatment with CABLIVI[supreg] could
be extended weekly for a maximum of 4 weeks, together with optimization
of immunosuppression. Patients were followed for 28 days after
discontinuation of treatment. Upon recurrence during the follow-up
period (that is, after all study drug treatment had been discontinued),
there was no re-initiation of the study drug because recurrence at this
point was treated according to the SOC. The median treatment duration
with CABLIVI[supreg] in the double-blind period was 35 days.
---------------------------------------------------------------------------
\45\ Scully, M., et al., ``Treatment of Acquired Thrombotic
Thrombocytopenic Purpura with Caplacizumab,'' N. Engl. J. Med., (In
Press).
---------------------------------------------------------------------------
According to the applicant, patients in the treatment arm were more
likely to achieve platelet count response at any given time point,
compared to the placebo [95 percent CI (1.1, 2.2)]. The applicant
believed that this constitutes a significant substantial clinical
improvement because patients who were treated with CABLIVI[supreg] were
1.55 times more likely to achieve platelet count response at any given
time point, compared to placebo. The applicant also indicated that,
compared to placebo, treatment with CABLIVI[supreg] resulted in a 74
percent reduction in the number of patients with aTTP-related death,
recurrence of aTTP diagnosis, or a major thromboembolic event, during
the study drug treatment period (p<0.0001).
The applicant noted that the proportion of patients with a
recurrence of an aTTP diagnosis in the Phase III study period (that is,
the drug treatment period plus the 28-day follow-up after
discontinuation of the drug treatment) was 67 percent lower in the
CABLIVI[supreg] group (12.7 percent) compared to the placebo group
(38.4 percent) (p<0.001). The applicant also indicated that in all 6
patients in the CABLIVI[supreg] group who experienced a recurrence of
an aTTP diagnosis during the follow-up period (that is, a relapse),
ADAMTS13 activity levels were less than 10 percent at the end of the
study drug treatment, indicating that the underlying immunological
disease was still active at the time CABLIVI[supreg] was discontinued.
Furthermore, the applicant stated that there were no patients who were
treated with CABLIVI[supreg] that had refractory disease (defined as
absence of platelet count doubling after 4 days of standard treatment
and elevated LDH), compared to 3 patients (4.2 percent) who had
refractory disease that were treated with placebo. The applicant also
explained that a trend to faster normalization of the organ damage
markers lactate dehydrogenase, cardiac troponin I and serum creatinine
was observed in patients who were treated with CABLIVI[supreg]. The
applicant noted that during the study drug treatment, there were no
deaths in patients who were treated with CABLIVI[supreg], while 3 of
the 73 placebo-treated patients (4.1 percent) died. Finally, the
applicant stated that during the Phase III study drug treatment period,
treatment with CABLIVI[supreg] resulted in a 38 percent reduction in
the mean number of PE treatment days versus placebo (reduction of 3.6
days) and a 41 percent reduction in the mean volume of PE (reduction of
14.6L). Furthermore, treatment with CABLIVI[supreg] resulted in a 65
percent reduction in the mean length of ICU stay (reduction of 6.3
days) and a 31 percent reduction in the mean length of hospitalization
(reduction of 4.5 days) during the Phase III study drug treatment
period.
The applicant submitted integrated data from the blinded periods of
the Phase II and Phase III studies that show a statistically
significant difference in favor of CABLIVI[supreg] (n=108) in time to
platelet count response compared to placebo (n=112). The applicant
indicated that patients who were treated with CABLIVI[supreg] were 1.65
times more likely to achieve platelet count response at any given time
point during the blinded period than patients who were treated with
placebo (95 percent CI: 1.23, 2.20; p<0.001). Additionally, according
to the applicant, integrated data from the blinded periods of the Phase
II and Phase III studies showed that compared to placebo, treatment
with CABLIVI[supreg] resulted in a 72.6 percent reduction in the
percentage of patients with aTTP-related death, a recurrence of a aTTP
diagnosis, or at least one treatment-emergent major thromboembolic
event during the blinded treatment period (p<0.0001). More
specifically, the applicant indicated that during the blinded treatment
period no aTTP-related deaths occurred in the CABLIVI[supreg] group
compared to 4 aTTP-related deaths in the placebo group (p<0.05),
treatment with CABLIVI[supreg] resulted in an 84.0 percent reduction in
the proportion of patients with a recurrence of a aTTP diagnosis
(exacerbation, relapse) during the blinded treatment period (p<0.0001),
and treatment with CABLIVI[supreg] resulted in a reduction of 40.8
percent in the proportion of patients with at least one treatment-
emergent major thromboembolic event during the blinded treatment
period.
According to the applicant, pooled data from the two studies showed
that none of the patients who were treated with CABLIVI[supreg]
developed refractory disease (that is, absence of platelet count
doubling after 4 days of standard
[[Page 19294]]
treatment and elevated LDH) compared to 7 patients (6.3 percent; 7/112)
who were treated with placebo during the blinded period (p<0.01).
Finally, the applicant noted that across both studies, treatment with
CABLIVI[supreg] resulted in a 37.5 percent reduction in the mean number
of days of PE treatment (reduction of 3.9 days).
Although the applicant asserts that CABLIVI[supreg] represents a
substantial clinical improvement compared to the use of currently
available treatments (PE and immunosuppressants), we are concerned that
the Phase II TITAN and Phase III HERCULES studies may not provide
enough evidence to support that the use of CABLIVI[supreg] represents a
substantial clinical improvement.
Regarding the Phase II TITAN study, we are concerned that because
66 of the 75 patients in the study population were white, the results
of the study may not be generalizable to a more diverse population that
may be at risk for diagnosis of aTTP. Additionally, we note that
CABLIVI[supreg] was associated with fewer aTTP exacerbations during
therapy, but was associated with more aTTP exacerbations after therapy
was discontinued, suggesting a lack of effect on long-term anti-
ADAMTS13 antibody levels. Although this is consistent with
CABLIVI[supreg]'s mechanism of action, we are concerned that without
long-term data to determine the impact of adjunct use of
CABLIVI[supreg] on exacerbations and relapse it may be difficult to
determine if the use of CABLIVI[supreg] represents a substantial
clinical improvement over existing therapy.
Based on data from the Oklahoma TTP-HUS Registry, the incidence of
aTTP is approximately three cases per 1 million adults per year.\46\
Additionally, the median age for a diagnosis of aTTP is 41, with a wide
range between 9 years old and 78 years old. We acknowledge the
challenges with constructing robust clinical studies due to the
extremely rare occurrence of patients who have been diagnosed with
aTTP. However, regarding the Phase III HERCULES study, we are
nonetheless concerned that the study population was small, 145 people.
Additionally, it is unclear if the response rate may differ in those
who have a de novo diagnosis versus those with recurrent disease. We
note that PE treatment alone has been attributed to an 80 percent
survival rate,\47\ and because CABLIVI[supreg] is given in combination
with or after SOC therapies, we are concerned that we may not have
sufficient information to determine the extent to which the study
results are attributable to the use of CABLIVI[supreg]. Furthermore,
with the follow-up period for the Phase III HERCULES study being only
28 days, we are concerned that there is a lack of long-term data. In
the absence of long-term data, we are concerned about the impact of the
use of CABLIVI[supreg] on the relapse rate beyond the overall study
period, including the 28-day follow-up period.
---------------------------------------------------------------------------
\46\ Reese, J.A., Muthurajah, D.S., Kremer-Hovinga, J.A.,
Vesely, S.K., Terrell, D.R., George, J.N., ``Children and adults
with thrombotic thrombocytopenic purpura associated with severe,
acquired Adamts13 deficiency: comparison of incidence, demographic
and clinical features,'' Pediatr Blood Cancer, October 2013, vol.
60(10), pp. 1676-82, Epub June 1, 2013.
\47\ Rock, G.A., Shumak, K.H., Buskard, N.A., et al.,
``Comparison of plasma exchange with plasma infusion in the
treatment of thrombotic thrombocytopenic purpura. Canadian Apheresis
Study Group,'' N Engl J Med, 1991, vol. 325, pp. 393-397.
---------------------------------------------------------------------------
Finally, although both the Phase II and III studies consisted of
key secondary endpoints such as death or major thromboembolic events,
we are concerned that these endpoints were not clearly defined. We also
are concerned that the studies did not appear to account for other
clearly defined endpoints such as heart attack, stroke, a bleeding
episode, and power calculations for the expected differences in such
endpoints that would be biologically important.
We are inviting public comments on whether CABLIVI[supreg] meets
the substantial clinical improvement criterion.
Below we summarize and respond to a written comment we received in
response to the New Technology Town Hall meeting notice published in
the Federal Register regarding the substantial clinical improvement
criterion for CABLIVI[supreg].
Comment: The applicant stated that during the New Technology Town
Hall meeting questions were asked regarding the design of the Phase III
HERCULES study, specifically regarding treatments that were
administered during the different arms of the study. To address those
questions, the applicant summarized the methodology of the Phase III
HERCULES study by indicating that 145 patients with an acute episode of
aTTP who had received one PE treatment were randomized 1:1 to placebo
(73 patients), or 10 mg of CABLIVI[supreg] (72 patients), in addition
to receiving daily PE treatment and corticosteroids. The applicant
explained that a single intravenous dose of 10 mg of the study drug was
given before the first PE performed during the study and a single 10 mg
subcutaneous dose was given the same day following completion of that
day's PE treatment. The applicant further stated that a subcutaneous
dose was given daily during the PE treatment period and 30 days
thereafter. The applicant noted that, if at the end of this period
there was evidence of ongoing disease, such as suppressed ADAMTS13
activity, investigators were encouraged to extend the blinded treatment
for a maximum of 4 weeks in combination with optimization of
immunosuppression. In addition, the applicant indicated that all
patients entered a 28-day treatment-free follow-up period after the
last dose of the study drug. The applicant explained that the primary
endpoint was time to platelet count response, defined as platelet count
greater than or equal to 150 x 10/L with discontinuation of daily PE
treatment within 5 days. Further, the applicant stated that there were
four key secondary endpoints, hierarchically ranked: (1) The proportion
of patients with aTTP-related death, aTTP recurrence, or at least one
major thromboembolic event during the study drug treatment period (a
blinded, independent committee adjudicated aTTP-related deaths and
major thromboembolic events); (2) the proportion of patients with a
recurrence during the entire study period, including the follow-up
period; (3) the proportion of patients with refractoriness to therapy,
defined as absence of platelet count doubling after 4 days of treatment
and LDH still above normal; and (4) the time to normalization of 3
organ damage markers: LDH, cardiac troponin I and serum creatinine.
Response: We appreciate the information provided by the applicant.
We will take this information into consideration when deciding whether
to approve new technology add-on payments for CABLIVI[supreg] for FY
2020.
c. CivaSheet[supreg]
CivaTech Oncology, Inc. submitted an application for new technology
add-on payments for CivaSheet[supreg] for FY 2020. CivaSheet[supreg]
received FDA clearance of a 510(k) premarket notification on August 29,
2014. CivaSheet[supreg] was approved as a ``sealed source'' by the
Nuclear Regulatory Commission (NRC) and added to the Registry of
Radioactive Sealed Source and Devices on October 24, 2014. On May 9,
2018, CivaSheet[supreg] was registered by the American Association of
Physicists in Medicine (AAPM) on the ``Joint AAPM/IROC Houston Registry
of Brachytherapy Sources Complying with AAPM Dosimetric
Prerequisites.'' According to the applicant, inclusion on this AAPM
registry is a long-standing requirement imposed on brachytherapy
sources used
[[Page 19295]]
in all National Cancer Institute clinical trials and that all other
available brachytherapy sources are included on this registry.
According to the applicant, CivaSheet[supreg] was not commercially
distributed among IPPS hospitals until May 2018, after meeting the
requirements for inclusion in the AAPM registry. Therefore, according
to the applicant the ``newness'' period for the CivaSheet[supreg], if
approved for FY 2020 new technology add-on payments, should commence on
May 9, 2018. Based on this information, we believe the newness period
for CivaSheet[supreg] would begin on May 9, 2018. However, we are
seeking public comments on whether inclusion on the AAPM registry is an
appropriate indicator of the first availability of the
CivaSheet[supreg] brachytherapy sources on the U.S. market and whether
the date of inclusion on the AAPM registry is appropriate to consider
as the beginning of the newness period for CivaSheet[supreg].
CivaSheet[supreg] is intended for medical purposes to be placed
into a body cavity or tissue as a source for the delivery of radiation
therapy. CivaSheet[supreg] is indicated for use as a brachytherapy
source for the treatment of selected localized tumors. The device may
be used either for primary treatment or for the treatment of residual
disease after excision of the primary tumor. CivaSheet[supreg] may be
used concurrently, or sequentially, with other treatment modalities,
such as external beam radiation therapy or chemotherapy. We note that
the applicant has submitted a request for approval for a unique ICD-10-
PCS procedure code to describe procedures involving the use the
CivaSheet[supreg] device, beginning in FY 2020.
As discussed previously, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and, therefore, would not be
considered ``new'' for purposes of new technology add-on payments.
With regard to the first criterion, whether a product uses the same
or a similar mechanism of action to achieve a therapeutic outcome,
according to the applicant, CivaSheet[supreg] does not have a similar
mechanism of action in comparison to existing brachytherapy
technologies. The applicant asserted that the unique construction and
configuration of the CivaSheet[supreg] device permits delivery of
radiation intra-operatively in a highly targeted fashion. The applicant
explained that the CivaSheet[supreg] is cut to size in the operation
room (OR) and conformed to the patient's anatomy and surgical site,
which allows radiation to be delivered to the resected tumor bed
margins at the time of the original surgery. The applicant further
explained that, it is generally believed that ``hot'' spots should be
avoided in the delivery of radiotherapy because they lead to
complications, citing the finding that ``[i]n brachytherapy, dose
homogeneity is difficult to achieve, but efforts to minimize ``hot''
spots have been regarded as virtuous and implant-planning guidelines
were developed to assist in this regard.'' \48\ The applicant stated
that implants are rarely geometrically perfect and, to avoid under-
dosing some parts of the target volume, it may be necessary to create
``hot spots'' in other parts of the anatomy. However, as a result, a
``hotter'' dose compared to that achievable with external beam
technologies can be delivered to the intended area. In contrast, the
applicant indicated that CivaSheet[supreg]'s unidirectional
configuration substantially reduces the dose delivered to neighboring
radiosensitive structures. The applicant further stated that other
forms of radiation delivery do not have these capabilities, and no
other shielded low-dose radiation (LDR) sources are currently available
on the market. According to the applicant, external beam radiation
generally cannot be delivered intra-operatively, partly because dosage
requirements make this impractical and potentially risky and because
appropriate aiming cannot be computed in the timeframe of a performed
surgery.
---------------------------------------------------------------------------
\48\ Bhadrasain, M.D., Vikram, Shivaji, Ph.D., Deore, Beitler,
M.D., Jonathan J., Sood, M.D., Brij, Mullokandov, Ph.D., Eduard,
Kapulsky, Ph.D., Alexander, Fontenla, Ph,d, Doracy P, ``The
relationship between dose heterogeneity (``hot'' spots) and
complications following high-dose rate brachytherapy,'' Int. J.
Radiation Oncology Biol. Phys., 1999, vol. 43, no. 5, pp. 983-987.
---------------------------------------------------------------------------
The applicant believed that, in the absence of the use of the
CivaSheet[supreg] device, a patient requiring radiation therapy to
accompany surgery would most likely receive radiation therapy as an
outpatient service following the inpatient hospitalization after
surgery. Moreover, the applicant stated that not only does this
typically require multiple, fractionated treatments, in some cases,
outpatient external beam radiation may not be possible due to excessive
toxicity to normal surrounding tissues. According to the applicant,
radiation therapy can be delivered intra-operatively directly to
surgical margins through use of a linear accelerator. However, the
applicant stated that these technologies deliver radiation in a single
``flash,'' whereas the CivaSheet[supreg] device enables the delivery of
radiation over time, increasing the efficacy of the radiation therapy.
Further, the applicant stated that external beam radiation devices
have a fixed ball or cone-shaped applicator, which does not necessarily
conform well to the irregular shapes of surgical cavities or permit
effective screening of adjacent tissues. Additionally, the applicant
stated that this form of radiation therapy requires a specialized
linear accelerator and a specially shielded operating room, which the
applicant believes restricts its use to IPPS-exempt cancer centers.
The applicant further stated that, in the past, cylindrical
brachytherapy seeds have been used with various mesh products as a form
of intra-operative radiation therapy (IORT). However, according to the
applicant, the use of cylindrical brachytherapy seeds used with various
mesh products has not developed as part of standard clinical practice.
According to the applicant, patients treated with previous cylindrical
brachytherapy seeds faced considerable challenges with toxicity from
the unfocused, unshielded seed sources when placed in proximity of
sensitive organs.\49\ Additionally the surgical meshes previously used
were not designed to maximize source orientation and spacing, and also
ran the risk of source dispersion as the mesh degraded.\50\
---------------------------------------------------------------------------
\49\ Rivard, Mark J., ``Low energy brachytherapy sources for
pelvic sidewall treatment,'' abstract presented at the ABS 2016
Annual Meeting.
\50\ Seneviratne, Danushka, et al., ``The CivaSheet: The new
frontier of intraoperative radiation therapy or a pricer alternative
to LDR brachytherapy,'' Advances in Radiation Oncology, 2018, vol.
3, pp. 87-91.
---------------------------------------------------------------------------
The applicant maintains that the CivaSheet[supreg] is the first
low-dose radiation (LDR) brachytherapy device designed specifically for
the delivery of IORT. CivaSheet[supreg]'s individual brachytherapy
sources are flat with a gold shielding on one side of the seed, a
design that focuses radiation in one direction, in contrast to the
cylindrical shape of LDR brachytherapy seeds, which emit radiation in
all directions. According to the applicant, properties of the flat,
gold-shielded sources and the bioabsorbable polymer encapsulation make
the CivaSheet[supreg] uniquely suited for intra-operative delivery. As
such, the applicant asserted that the CivaSheet[supreg] does not have a
similar mechanism of action when compared to existing LDR
brachytherapies.
With regard to the second criterion, whether a product is assigned
to the same or similar MS-DRG, the applicant
[[Page 19296]]
asserted that patients who may be eligible for treatment using the
CivaSheet[supreg] include hospitalized patients having tumors removed
from the pancreas, colon and anus, pelvic area, head and neck, soft
tissue sarcomas, non-small-cell lung cancer, ocular melanoma, atypical
meningioma and retroperitoneum and that cases involving the use of the
CivaSheet[supreg] would map primarily into the following MS-DRGs:
------------------------------------------------------------------------
MS-DRG MS-DRG title
------------------------------------------------------------------------
11........................ Tracheostomy for Face, Mouth and Neck
Diagnoses or Laryngectomy with MCC.
12........................ Tracheostomy for Face, Mouth and Neck
Diagnoses or Laryngectomy with CC.
13........................ Tracheostomy for Face, Mouth and Neck
Diagnoses or Laryngectomy without CC/MCC.
129....................... Major Head and Neck Procedures with CC/MCC
or Major Device.
130....................... Major Head and Neck Procedures without CC/
MCC.
133....................... Other Ear, Nose, Mouth and Throat O.R.
Procedures with CC/MCC.
134....................... Other Ear, Nose, Mouth and Throat O.R.
Procedures without CC/MCC.
326....................... Stomach, Esophageal and Duodenal Procedures
with MCC.
327....................... Stomach, Esophageal and Duodenal Procedures
with CC.
328....................... Stomach, Esophageal and Duodenal Procedures
without CC/MCC.
329....................... Major Small and Large Bowel Procedures with
MCC.
330....................... Major Small and Large Bowel Procedures with
CC.
331....................... Major Small and Large Bowel Procedures
without CC/MCC.
332....................... Rectal Resection with MCC.
334....................... Rectal Resection without CC/MCC.
405....................... Pancreas, Liver and Shunt Procedures with
MCC.
406....................... Pancreas, Liver and Shunt Procedures with
CC.
407....................... Pancreas, Liver and Shunt Procedures without
CC/MCC.
576....................... Skin Graft Except for Skin Ulcer or
Cellulitis with MCC.
577....................... Skin Graft Except for Skin Ulcer or
Cellulitis with CC.
578....................... Skin Graft Except for Skin Ulcer or
Cellulitis without CC/MCC.
653....................... Major Bladder Procedures with MCC.
654....................... Major Bladder Procedures with CC.
734....................... Pelvic Evisceration, Radical Hysterectomy
and Radical Vulvectomy with CC/MCC.
735....................... Pelvic Evisceration, Radical Hysterectomy
and Radical Vulvectomy without CC/MCC.
736....................... Uterine and Adnexa Procedures for Ovarian or
Adnexal Malignancy with MCC.
739....................... Uterine, Adnexa Procedures for Non-Ovarian/
Adnexal Malignancy with MCC.
740....................... Uterine, Adnexa Procedures for Non-Ovarian/
Adnexal Malignancy with CC.
741....................... Uterine, Adnexa Procedures for Non-Ovarian/
Adnexal Malignancy without CC/MCC.
826....................... Myeloproliferative Disorders or Poorly
Differentiated Neoplasms with Major O.R.
Procedure with MCC.
827....................... Myeloproliferative Disorders or Poorly
Differentiated Neoplasms with Major O.R.
Procedure with CC.
828....................... Myeloproliferative Disorders or Poorly
Differentiated Neoplasms with Major O.R.
Procedure without CC/MCC.
------------------------------------------------------------------------
We believe that cases involving the use of existing technologies
would be assigned to these same MS-DRGs listed above.
With regard to the third criterion, whether the use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, according to the
applicant, clinical conditions that may require use of the
CivaSheet[supreg] include treatment of the same patient population as
those who have been diagnosed with a variety of types of cancer,
including pancreatic cancer, colorectal cancer, anal cancer, pelvic
area/gynecological cancer, retroperitoneal sarcoma and head and neck
cancers.
The applicant asserted that the CivaSheet[supreg] device is not
substantially similar to any existing technology because it uses a
unique mechanism of action, when compared to existing LDR brachytherapy
technologies, to achieve a therapeutic outcome and, therefore, meets
the newness criterion.
We are inviting public comments on whether the CivaSheet[supreg]
device meets the newness criterion.
With regard to the cost criterion, the applicant conducted the
following analysis to demonstrate that the technology meets the cost
criterion. To determine the MS-DRGs that potential cases representing
patients who may be eligible for treatment involving CivaSheet[supreg]
would map to, the applicant identified all MS-DRGs for cases that
included ICD-10-CM diagnosis codes for either pancreatic cancer,
colorectal cancer, anal cancer, pelvic area/gynecological cancer,
retroperitoneal sarcoma and head and neck cancers as a primary or
secondary diagnosis. Based on the FY 2017 MedPAR Hospital Limited Data
Set (LDS), the applicant identified a total of 22,835 potential cases.
The applicant limited its analyses to the most relevant 32 MS-DRGs,
which represented 80 percent of all the cases. The applicant excluded
the following cases: Statistical outliers which the applicant defined
as 3 standard deviations from the geometric mean, HMO cases and claims
submitted only for graduate medical education payments and cases at
hospitals that were not included in the FY 2019 IPPS/LTCH PPS final
rule impact file (the applicant noted that these are predominately
cancer hospitals not subject to the IPPS). After applying the trims
above, the applicant identified 17,173 remaining cases.
Using the 17,173 cases, the applicant determined an average case-
weighted unstandardized charge per case of $122,565. The applicant
standardized the charges for each case and inflated each case's charges
from FY 2017 to FY 2019 by applying the outlier charge inflation factor
of 1.085868 from the FY 2019 IPPS/LTCH PPS proposed rule (83 FR 20581).
The applicant indicated that the current average cost of the
CivaSheet[supreg] device is $24,132.86. The applicant then added
charges for CivaSheet[supreg] by taking the cost of the device and
converting it to a charge by dividing the costs by the national average
CCR of 0.309 for implants from the FY 2019 IPPS/LTCH PPS final rule (83
FR 41273). The applicant calculated an average case-weighted
standardized charge per case of $188,897 using the percent distribution
of MS-DRGs as case weights. Based on this analysis, the applicant
determined that the final inflated average case-weighted
[[Page 19297]]
standardized charge per case for CivaSheet[supreg] exceeded the average
case-weighted threshold amount of $87,446 by $101,451.
We note that the inflation factor used by the applicant was the
proposed 2-year inflation factor, which was discussed in the FY 2019
IPPS/LTCH PPS final rule summation of the calculation of the FY 2019
IPPS outlier charge inflation factor for the proposed rule (83 FR 41718
through 41722). The final 2-year inflation factor published in the FY
2019 IPPS/LTCH PPS final rule was 1.08864 (83 FR 41722), which was
revised in the FY 2019 IPPS/LTCH PPS final rule correction notice to
1.08986 (83 FR 49844). However, we note that even when using either the
final rule values or the corrected final rule values published in the
correction notice to inflate the charges, the final inflated average
case-weighted standardized charge per case for CivaSheet[supreg] would
exceed the average case-weighted threshold amount. We are inviting
public comments on whether the CivaSheet[supreg] meets the cost
criterion.
With regard to the substantial clinical improvement criterion, the
applicant asserted that CivaSheet[supreg] represents a substantial
clinical improvement over existing technologies because it provides the
following: (1) Improved local control of different cancers; \51\ (2)
reduced rate of device-related complications; \52\ (3) reduced rate of
radiation toxicity; \53\ (4) decreased future hospitalizations; \54\
(5) decreased rate of subsequent therapeutic interventions; \55\ (6)
improvement in back pain and appetite in pancreatic cancer patients
\56\ and (7) improved local control for pancreatic cancer patients.\57\
---------------------------------------------------------------------------
\51\ Castaneda SA, Emrich J, Bowne WB, Kemmerer EJ, Sangani R,
Khalili M, Rivard MJ, Poli J. ``Clinical outcomes using a novel
directional Pd-103 brachytherapy device: 20-month report of a
patient with leiomyosarcoma of the pelvic sidewall.'' ACRO 2018
Annual Meeting.
\52\ Seneviratne, D., McLaughlin, C., Todor, D., Kaplan, B.,
Fields, E., ``The CivaSheet: The new frontier of intraoperative
radiation therapy or a pricier alternative to LDR brachytherapy?,''
Advances in Radiation Oncology, 2018, vol. 3, pp. 87-91.
\53\ Howell, K.J., Meyer, J.E., Rivard, M.J., et al., ``Initial
Clinical Experience with Directional LDR Brachytherapy for
Retroperitoneal Sarcoma,'' submitted Int J of Rad Onc Biol Phys,
2018.
\54\ Cavanaugh, S.X., Rothley, D.J., Richman, C., ``Directional
LDR Intraoperative Brachytherapy for Head and Neck Cancer,''
Presented at ABS 2017 Annual Meeting.
\55\ On file at CivaTech.
\56\ Ibid.
\57\ Yoo, S.S., Todor, D.A., Myers, J.M., Kaplan, B.J., Fields,
E.C., ``Widening the therapeutic window using an implantable, uni-
directional LDR brachytherapy sheet as a boost in pancreatic
cancer,'' ASTRO 2018 Annual Meeting San Antonio, TX.
---------------------------------------------------------------------------
With regard to improved local control of different cancers, the
applicant provided the clinical outcomes results of a 20-month report
of a patient who had been diagnosed with leiomyosarcoma of the pelvic
sidewall.\58\ According to the report, the purpose of the report was to
document the experience of using the CivaSheet[supreg] implant as
adjuvant intraoperative treatment in a patient who had been diagnosed
with locally advanced leiomyosarcoma of the lateral pelvic sidewall.
The patient analyzed in this report is a 62-year-old African American
male who was found to have a mass incidentally in the left pelvic
sidewall. The patient presented with lower abdominal pain, hematuria,
and lower left flank pain radiating to the left groin. A CT scan
revealed a mass in the left pelvic sidewall that measured 8.1 x 6.4 x
3.7 cm, with encasement of the left common iliac vein and no distant
metastasis. A biopsy revealed a high-grade leiomyosarcoma. Given his
advanced clinical stage and iliac vein encasement, neoadjuvant pelvic
radiotherapy with IMRT, surgical resection with reconstruction, and a
boost with intraoperative LDR brachytherapy were performed. The patient
was treated with pelvic IMRT (50.4 Gy/28 fractions). The patient then
underwent gross total resection and the CivaSheet[supreg] was implanted
intraoperatively. The patient recovered well from the interventions,
according to the report. At 20 months after implantation of the LDR
brachytherapy device, clinical evaluations and CT imaging surveillance
demonstrated no evidence of residual disease, according to the report.
---------------------------------------------------------------------------
\58\ Castaneda, S.A., Emrich, J., Bowne, W.B., Kemmerer, E.J.,
Sangani, R., Khalili, M., Rivard, M.J., Poli, J., ``Clinical
outcomes using a novel directional Pd-103 brachytherapy device: 20-
month report of a patient with leiomyosarcoma of the pelvic
sidewall,'' ACRO 2018 Annual Meeting.
---------------------------------------------------------------------------
With regard to reducing the rate of device-related complications,
the applicant summarized four case series. In the four case series, the
CivaSheet[supreg] device was used to treat: (1) Axillary squamous cell
carcinoma; \59\ (2) retroperitoneal sarcoma; 60 61 62 (3)
gastric signet ring adenocarcinoma; (4) pancreatic cancer; and (5)
other abdominal malignancies. There were 13 patients associated with
these 4 case series.
---------------------------------------------------------------------------
\59\ Seneviratne, D., McLaughlin, C., Todor, D., Kaplan, B.,
Fields, E., ``The CivaSheet: The new frontier of intraoperative
radiation therapy or a pricier alternative to LDR brachytherapy?,''
Advances in Radiation Oncology, 2018, vol. 3, pp. 87-91.
\60\ Zhen, H., Turian, J.V., Sen, N., et al.,''Initial clinical
experience using a novel Pd-103 surface applicator for the treatment
of retroperitoneal and abdominal wall malignancies,'' Advances in
Radiation Oncology, 2018, vol. 3, pp. 216-220.
\61\ Howell, K.J., Meyer, J.E., Rivard, M.J., et al., ``Initial
Clinical Experience with Directional LDR Brachytherapy for
Retroperitoneal Sarcoma,'' submitted Int J of Rad Onc Biol Phys,
2018.
\62\ Turian, J.V., ``Emerging Technologies for IORT:
Unidirectional Planar Brachytherapy Sources,'' Presented at AAPM
2017 Annual Meeting.
---------------------------------------------------------------------------
Seneviratne, et al.'s case series report documented experience with
the use of the CivaSheet[supreg] device in a 78 year old male patient
who had been diagnosed with axillary squamous cell carcinoma. According
to the case series report, prior to surgery a dose of 58 Gy, prescribed
to the 95 percent isodose line (5 percent), was delivered
in 2 Gy fractions with 3-dimensional conformal EBRT with concurrent
weekly administration of cisplatin 40 mg/m2 at an outside facility.
Magnetic resonance imaging scans obtained 3 months post-treatment
revealed that the mass had decreased in size to 3.8 cm x 2.5 cm x 3.9
cm, but maintained encasement of the axillary artery, axillary vein,
and several inferior branches of the brachial plexus. Concerns with
regard to increased toxicity to the axillary structures discouraged
further EBRT, and the CivaSheet[supreg] device was implanted
immediately post tumor resection. Given that microscopic disease within
formerly irradiated tissue was being treated, a prescription dose of 20
Gy at 5 mm from the surface of the mesh was considered adequate because
of its delivery of a biologically effective dose (BED)-10 of 39.8 Gy
and equivalent dose (EQD)-2 of 33.2 Gy to the tumor bed, while limiting
the D2cc for the brachial plexus to a BED3 of 27.9 Gy and EQD2 of 16.7
Gy, based on post implant analysis. According to the Seneviratne, et
al. analysis, this approach allowed for a significantly limited dose to
be delivered to the brachial plexus. A composite dose constraint of
D2cc of 75 Gy was selected on the basis of recent data showing elevated
clinical brachial plexopathy rates beyond this threshold. This
constraint was met with an estimated composite EQD2 of 74.7 Gy, which,
according to the applicant, would not have been obtainable with EBRT to
a tumor bed EQD2 of greater than or equal to 30 Gy. The patient was
discharged on the same day with instructions on wound care and
radiation safety. According to the applicant, the incision healed well,
with no signs of infection, seroma, or lymphadenopathy during monthly
follow-up visits. At the 8-month follow-up visit, the patient was
documented to only have minor shoulder pain. Seneviratne, et al., also
discussed their views on the advantages of the use of
[[Page 19298]]
the CivaSheet[supreg] device, which include its bio-absorbability, ease
of visualization with imaging, potential for intra-operative
customization, ability to complement various treatment approaches
including EBRT and surgical resection, and ease of implantation with
minimal training.
To further substantiate its assertions of a reduced rate of device-
related complications regarding the CivaSheet[supreg] device, the
applicant stated that its malleability is likely to be particularly
useful in treating irregularly shaped surgical cavities, such as those
created after breast lumpectomies or pelvic side wall resections.
According to the applicant, the CivaSheet[supreg] device also overcomes
several shortcomings observed even among those LDR mesh devices that
use the same isotope. According to the applicant, as the vicryl sutures
of traditional LDR mesh devices bend and curve around irregular
surfaces during placement, the spacing and orientation of the
radioactive seeds may be altered, leading to unpredictable variations
in isodose geometry. The applicant stated that, in contrast, the
polymer encapsulation of the Pd-103 Civa seeds before embedding within
the membrane allows the sources to maintain their orientation in space
and deliver radiation in accordance with the predetermined geometry.
According to the applicant, additionally, unlike older LDR mesh devices
that run the risk of source dispersion after mesh degradation, the
polymer encapsulation allows the seeds to maintain their placement even
as the membrane is absorbed over time. In this same case study,
Seneviratne, et al., stated that a 3-month post implantation imaging of
the CivaSheet[supreg] device demonstrated that the radioactive source
geometry had remained stable since the initial implantation.
The applicant also provided Howell, et al.'s case series results of
six patients diagnosed with recurrent retroperitoneal sarcoma who had
been treated with the use of the CivaSheet[supreg] device to support
its claims of reduced rate of toxicity and improved local control.
Similar to the Seneviratne, et al. case series report, Howell, et al.'s
case series' report also noted concerns regarding prior EBRT, costs
associated with intra-operative radiation therapy both for the patient
and the hospital, and concerns of at-risk surrounding anatomic
structures. Given these concerns, Howell, et al.'s case series report
also investigated LDR brachytherapy using CivaSheet[supreg]. Amongst
the six patients observed, five patients had diagnoses of recurrent
disease in the retroperitoneum or pelvic side wall; one patient had a
diagnosis of locally-advanced leiomyosarcoma with no previous
treatment. Regarding prior treatment, two patients had prior EBRT at
first diagnosis. Four patients received neoadjuvant EBRT prior to
surgery in addition to treatment involving CivaSheet[supreg]
brachytherapy. The LDR brachytherapy dose was determined using
radiobiological calculations of biological effective dose (BED) based
on the linear-quadratic model and EQD2 values. An LDR brachytherapy
dose of 20 to 60 Gy (36 Gy mean) was administered, corresponding to BED
values of 15 to 53 Gy (29 Gy mean) and EQD2 values of 12 to 43 Gy (23
Gy mean). Because the goal was to provide a conformal radiation boost
for an additional 15 to 20 Gy EQD2, the prescribed absorbed doses were
considered appropriate. All patients were followed by CT scan to assess
implant migration, observed radiation-related toxicities, and evidence
for local recurrence between 2.5 weeks and 3 months. No evidence of
implant migration or radiation-related toxicities was found. Based on
these results, the study concluded that LDR directional brachytherapy
delivered a targeted dose distribution that was successfully used to
treat retroperitoneal sarcoma, and that the utilized device is an
important option for the treatment of patients who have been diagnosed
with retroperitoneal sarcoma having close/positive surgical margins
and/or in combination with EBRT to optimize local control.
Two other case series, by Zhen, H. et al.,\63\ and Turian, et
al.,\64\ were submitted by the applicant to support the assertion of
reduced rate of device-related complications. Both case series assessed
the use of LDR brachytherapy using the CivaSheet[supreg] device in the
tumor bed given the same clinical challenges outlined in case series
observed and investigated in the Seneviratne, et al., and Howell, et
al. analyses in patients previously treated with chemoradiation
protocols and in patients who had been diagnosed with recurrent tumors
close to important functional tissues. Both case series assessed LDR
brachytherapy using the CivaSheet[supreg] device in the treatment of
different cancers like retroperitoneal sarcomas, pancreatic cancers,
and gastric singnet ring adenocarcinoma or other abdominal carcinomas.
Both case series followed the patients with CT imaging sometime between
2.5 weeks and 86 weeks. Both case series' study concluded that LDR
brachytherapy with the use of the CivaSheet[supreg] device was a
feasible alternative treatment modality for the cancers treated in each
case series. According to Zhen, et al., an advantage of using the
CivaSheet[supreg] device is that the CivaDot sheets can be easily cut
to any size and shape at the time of implant. The author further stated
that the CivaDot sheet is malleable and can conform to curved surfaces.
This device characteristic, according to the author, gives the
physician more flexibility to treat tumor beds with irregular shapes
and surface curvatures compared with electron beam cylindrical
applicators, thereby reducing the rate of device-related complications.
However, the analysis by Zhen, et al. also indicated that a limitation
in dosimetric evaluation using CT imaging is related to the inability
to identify the orientation of the individual CivaDot mainly because of
limited resolution and metal artifact caused by the gold plating.
CivaDot orientation is inferred from the fact that all dots are
embedded in a membrane that is sutured to the tumor bed and because the
post-implant CT scan shows the shape of the CivaSheet[supreg] seeds
being maintained. Also, Zhen, et al. noted that surgical clips could be
mistakenly identified as CivaDots. The analysis by Zhen, et al.
recommended that the use of surgical clips should be minimized.
---------------------------------------------------------------------------
\63\ Zhen, H., Turian, J.V., Sen, N., et al.,''Initial clinical
experience using a novel Pd-103 surface applicator for the treatment
of retroperitoneal and abdominal wall malignancies'', Advances in
Radiation Oncology, 2018, vol. 3, pp. 216-220.
\64\ Turian, J.V., ``Emerging Technologies for IORT:
Unidirectional Planar Brachytherapy Sources,'' Presented at AAPM
2017 Annual Meeting.
---------------------------------------------------------------------------
With regard to the reduced rate of toxicity, the applicant provided
a clinical case series by Howell, et al.\65\ to show that shielding
healthy tissues while irradiating the tumor bed after surgical
resection was achieved by providing a conformal radiotherapy, a novel
Pd-103 low-dose rate (LDR) brachytherapy device. Methods and materials
of the case include the following: The LDR brachytherapy device was
considered for patients who had been diagnosed with recurrent
retroperitoneal sarcoma, had received prior radiotherapy to the area,
and/or had anatomy concerning for high-risk margins predicted for
recurrence after resection. The case series included the clinical
conclusions for five patients who had been diagnosed with recurrent
disease in the retroperitoneum or pelvic side wall, one patient who had
been diagnosed with locally-advanced leiomyosarcoma with no previous
treatment, two patients who had prior
[[Page 19299]]
EBRT at first diagnosis, and four patients who received neoadjuvant
EBRT prior to surgery in combination with brachytherapy. The LDR
brachytherapy dose was determined using radiobiological calculations of
biological effective dose (BED) based on the linear-quadratic model and
EQD2 values. An LDR brachytherapy dose of 20 to 60 Gy (36 Gy mean) was
administered, corresponding to BED values of 15 to 53 Gy (29 Gy mean)
and EQD2 values of 12 to 43 Gy (23 Gy mean). Because the goal was to
provide a conformal radiation boost for an additional 15 to 20 Gy EQD2,
the prescribed absorbed doses were considered appropriate. According to
the applicant, results showed that radiation was delivered to the at-
risk tissues with minimal irradiation of adjacent healthy structures or
structures occupying the surgical cavity after tumor resection.
According to the applicant, clinical outcomes indicated feasibility for
surgical implantation and promising results in comparison to current
standards-of-care. The device did not migrate over the course of
follow-up and there were no observed radiation-related toxicities.
---------------------------------------------------------------------------
\65\ Howell, K.J., Meyer, J.E.,Rivard, M.J. et al., ``Initial
Clinical Experiences with Directional LDR Brachytherapy for
Retroperitoneal Sarcomo, submitted to Int J of Rad Onc Biol Phys,
2018.
---------------------------------------------------------------------------
The Howell, et al. clinical case series concluded that LDR
directional brachytherapy delivered a targeted dose distribution that
was successfully used to treat retroperitoneal sarcoma and that the
utilized device is an important option for the treatment of patients
who have been diagnosed with retroperitoneal sarcoma having close/
positive surgical margins and/or in combination with EBRT to optimize
local control.
The applicant also cited three additional case series to support
their assertions of reduced rate of device-related complications and
reduced rate of radiation toxicity. The first is on file at CivaTech in
which they indicated that more than 60 patients, since 2015, had
CivaSheet[supreg] implanted with no reported device-related toxicity in
patients previously treated with maximal EBRT. No other details were
provided by the applicant. The second case series by Taunk, et al.\66\
assessed the use of CivaSheet[supreg] in three patients who had been
diagnosed with colorectal adenocarcinoma who had undergone prior
induction chemotherapy and neoadjuvant chemoradiation.
CivaSheet[supreg] was placed in the tumor bed and patients were
followed with CT imaging to assess implant migration, 30- and 90-day
radiation toxicity and local recurrence. One patient was deemed not a
feasible candidate because the CivaSheet[supreg] could not be uniformly
opposed to the sacrum due to the degree of concavity. The other two
patients underwent successful CivaSheet[supreg] implantation, and at 30
days showed stability of the device and no apparent toxicity. In the
final additional case series from Rivard, et al.,\67\ a single patient
who had been diagnosed with pelvic side wall cancer (type not
indicated) was implanted with CivaSheet[supreg] and the
CivaSheet[supreg] dose distributions were compared to those of
conventional low-dose rate, low-energy photon-emitting brachytherapy
seeds (that is, palladium 103, Iodine-125, and Cesium-131). According
to the applicant, results suggest gold-shielding CivaDots attenuate
radiation for directional brachytherapy and CivaSheet[supreg] provides
a therapeutic target dose, while substantially minimizing critical
structure doses. In this specific case study, the applicant stated that
the use of CivaSheet[supreg] showed decreased radiation to adjacent
organs, such as the bowel and the bladder.
---------------------------------------------------------------------------
\66\ Taunk, N.K., Cohen, G., Taggar, A.S., et al., ``Preliminary
Clinical Experience from a Phase I Feasibility Study of a Novel
Permanent Unidirectional Intraoperative Brachytherapy Device,'' ABS
2017 Annual Meeting.
\67\ Rivard, M.J., ``Low-energy brachytherapy sources for pelvic
sidewall treatment,'' Presented at ABS 2016 Annual Meeting.
---------------------------------------------------------------------------
With regard to decreasing the number of future hospital visits, the
applicant provided a poster presentation presented at the American
Brachytherapy Society 2017 Annual Meeting. The purpose of this study
was to investigate the feasibility of using intra-operative directional
brachytherapy for the treatment of squamous cell carcinoma of the
oropharynx. The study included a single patient who had received a
prior course of external beam radiation therapy of 70 Gy in 2015. Due
to positive margins near the carotid after the resection, and the
increased risk of additional external radiation, brachytherapy was
considered as a treatment option. CivaSheet[supreg] was used for the
implant. The Pd-103 sources were spaced 8 mm apart on a rectangular
grid. Unidirectional dose was achieved by a 0.05 mm thick gold disk-
shaped foil on the reverse side of each source. A dose of 120 Gy at 5
mm depth was prescribed. After the resection, the entire polymer sheet
was placed on the treatment area to determine the needed dimensions.
The CivaSheet[supreg] device was then removed and cut to size with
scissors leaving 26 Pd-103 sources remaining. The surgeon used 3.0
vicryl sutures for attachment in a concave shape over the carotid
artery, where there was a positive margin. The gold foil was positioned
to protect the neck flap and closure. The surgical team completed the
procedure and the patient recovered without any complications.
Results of the study showed that the sources remained in position
in a concave array pattern. Due to the dose fall-off of Pd-103, the
calculated dose to critical structures was minimized. Because the
surgical implant of the CivaDot sheet proceeded as expected with no
complications and the post-implant plan indicated that the
CivaSheet[supreg] remained in position with the radioactive side
contacting the treatment area, the applicant asserts that future
hospital visits will be decreased because the patient will not return
for EBRT.
With regard to decreases in the rate of subsequent therapeutic
interventions, the applicant stated that the standard-of-care for most
patients undergoing surgery is typically preceded or followed by a form
of external beam radiation therapy. A typical course of intensity
modulated radiation therapy (IMRT) is 25 to 30 fractions (separate
treatments) delivered over the course of 3 to 6 weeks. The applicant
stated that, for some patients, CivaSheet[supreg] will be the only form
of radiation therapy they will receive. CivaSheet[supreg] is implanted
in one procedure and radiation is locally delivered over the course of
several weeks, while the sources provide a continuous dose and later
decay. The device is not removed and no additional follow-up visits are
required for the patient to receive therapeutic intervention. According
to the applicant, use of CivaSheet[supreg] can avoid the time and
expense of dozens of radiation therapy visits over the course of
several weeks as compared to EBRT. The applicant further stated that
the published clinical data provided with its application \68\ shows
that the use of CivaSheet[supreg] is an effective and safe
combinational treatment to external beam radiation therapy. According
to the applicant, radiation oncologists can use CivaSheet[supreg] to
increase the dose of radiation that can be delivered to a tumor margin,
without increasing toxicity and that this may reduce the odds that a
patient experiences cancer recurrence.69 70 71 The applicant
also
[[Page 19300]]
asserted that the targeted radiation approach has demonstrated no toxic
effects for patients. The applicant further stated that other forms of
radiation have a known rate of complications and toxicity that result
in the need for additional therapies and interventions (for example,
topical creams for skin reddening, and medicine for pain). The
applicant indicated that there has been no change in concomitant
medications prescribed because of the use of the CivaSheet[supreg]
implant either on or off trial. The applicant did not link these claims
to any of the studies provided with its application. In addition, the
applicant asserts that, of the case studies they provided, there have
been no instances of therapeutic interventions to resolve an issue that
was induced by the use of the CivaSheet[supreg] device to deliver
radiation.72 73 74
---------------------------------------------------------------------------
\68\ Taunk, N.K., Cohen, G., Taggar, A.S., et al., ``Preliminary
Clinical Experience from a Phase I Feasibility Study of a Novel
Permanent Unidirectional Intraoperative Brachytherapy Device,'' ABS
2017 Annual Meeting.
\69\ Rivard, Mark J., ``Low energy brachytherapy sources for
pelvic sidewall treatment,'' abstract presented at the ABS 2016
Annual Meeting.
\70\ Yoo, S.S., Todor, D.A., Myers, J.M., Kaplan, B.J., Fields,
E.C., ``Widening the therapeutic window using an implantable, uni-
directional LDR brachytherapy sheet as a boost in pancreatic
cancer,'' ASTRO 2018 Annual Meeting San Antonio, TX.
\71\ Howell, K.J., Meyer, J.E., Rivard, M.J., et al., ``Initial
Clinical Experience with Directional LDR Brachytherapy for
Retroperitoneal Sarcoma,'' submitted Int J of Rad Onc Biol Phys,
2018.
\72\ Ibid.
\73\ Rivard, Mark J., ``Low energy brachytherapy sources for
pelvic sidewall treatment,'' abstract presented at the ABS 2016
Annual Meeting.
\74\ Yoo, S.S., Todor, D.A., Myers, J.M., Kaplan, B.J., Fields,
E.C., ``Widening the therapeutic window using an implantable, uni-
directional LDR brachytherapy sheet as a boost in pancreatic
cancer,'' ASTRO 2018 Annual Meeting San Antonio, TX.
---------------------------------------------------------------------------
With regard to improvement in back pain and appetite (compared to
baseline) in pancreatic cancer patients, the applicant asserted that
patients answered standardized, international questionnaire EORTC QLQ-
C30 and PANC26 and that these results are on file at CivaTech. The
applicant provided the baseline, 70 days post-operative and 98 days
postoperative patient responses to ``Have you ever had back pain?''
Baseline response: 1.5; 70 days post-operative response: 1.0 and 98
days post-operative response: 1.0. The applicant also provided
baseline, 70 days post-operative and 98 days post-operative patient
responses to ``Were you restricted in the amounts of food you could eat
as a result of your disease or treatment?'' Baseline response: 2.5; 70
days postoperative response: 1.0 and 98 days postoperative response:
1.0. (Response Values: 1.0 = ``Not at all''; 2.0 = ``A little''; 3.0 =
``Quite a bit''; 4.0 = ``Very much'').
With regard to improved local control for pancreatic cancer
patients, the applicant provided the results of a dosimetric study
entitled, ``Widening the Therapeutic Window Using an Implantable, Uni-
directional LDR Brachytherapy Sheet as a Boost in Pancreatic Cancer
Case Series,'' a poster presented at the ASTRO 2018 Annual Meeting.
According to background information in the applicant's poster,
pancreatic patients often undergo neoadjuvant chemotherapy and
chemoradiation in preparation for surgical resection of the tumor. In
addition, oftentimes after neoadjuvant therapy there are inflammatory
changes that, unfortunately, hinder pre-operative imaging and create
the potential for unreliable determination of tumor resection.
Accompanying the potentially unreliable determination of tumor
resectability are patient concerns when positive retroperitoneal
margins have close proximity to major vasculature. The applicant noted
that additional EBRT boost, initiated post operatively, is an option,
but difficult given bowel constraints and the difficulty in identifying
the area at highest risk. Given these constraints associated with
treating pancreatic cancers, the purpose of this study was to
demonstrate the ability of the LDR brachytherapy CivaSheet[supreg]
device to deliver a focal high-dose boost, targeted to the area at
highest risk in patients who received neoadjuvant chemoradiation. This
dosimetric case series consisted of four patients who had been
diagnosed with borderline resectable pancreatic cancer who received
neoadjuvant FOLFIRINOX followed by gemcitabine-based
chemoradiotherapy (chemoRT) to 50.4 Gy in 28 fractions with dose
prescribed to the gross tumor plus a 1 cm margin. According to the
poster provided by the applicant, after neoadjuvant therapy, the
multidisciplinary team was concerned for close or positive margin
resection. Using the CivaSheet[supreg] device, a 38 Gy EQD2 dose to 5
mm depth was implanted in these patients and a total dose of 88.4 Gy
was delivered to the targeted tissue. Post-operatively, patients had a
CT scan to identify the tumor bed contour, as well as the contour of
surrounding at-risk organs; the small bowel (SB) was contoured as the
bowel bag and included the entire peritoneal cavity. Following the CT
scan, brachytherapy plans, as well as EBRT boost plans, were created
for each patient. A dose-volume histogram (DVH) from initial 3D
treatment plans for all patients showed the SB volume receiving 45 Gy
(V45) was a median of 78.2 cc (range 61.7-107.1 ccs) and maximum bowel
doses were a median of 53.2 Gy, range 53.1-53.6 Gy. According to the
applicant, the V45 for SB should be less than 195 cc, with a maximum of
less than or equal to 58 Gy to prevent SB obstruction, fistula and
perforation. According to the applicant, with the CivaSheet[supreg]
device, the boost dose was dramatically increased while SB exposure was
marginal at about 1/10th of the prescription dose. For the target, the
CivaSheet[supreg] delivered the prescription dose to 5 mm depth with a
large inhomogeneous dose throughout the tumor bed with the minimum dose
of 38 Gy. Dosimetric comparison of a CivaSheet[supreg] tumor bed boost
and a Stereotactic Body Radiation Therapy (SBRT) tumor bed boost to the
SB was 9.6 Gy compared to 24 Gy for external beam plan. According to
the applicant, the conclusions from this case series are that applying
a brachytherapy uni-directional source to the area at highest risk can
serve to improve the therapeutic index by improving the local control
and minimizing toxicities in pancreatic cancer patients after
neoadjuvant therapy.
With regard to whether CivaSheet[supreg] represents a substantial
clinical improvement relative to other brachytherapy technologies
currently available, we are concerned that all of the supporting data
appear to be feasibility studies substantiating the use of the
CivaSheet[supreg] in different cancers and difficult anatomic
locations. We also are concerned that there do not appear to be any
comparisons to other current treatments, nor any long-term follow-up
with comparisons to currently available therapies. We are inviting
public comments on whether CivaSheet[supreg] meets the substantial
clinical improvement criterion.
We did not receive any written comments in response to the New
Technology Town Hall meeting notice published in the Federal Register
regarding the substantial clinical improvement criterion for the
CivaSheet[supreg] or at the New Technology Town Hall meeting.
d. CONTEPOTM (Fosfomycin for Injection)
Nabriva Therapeutics U.S., Inc. submitted an application for new
technology add-on payments for CONTEPOTM for FY 2020.
CONTEPOTM is intended to treat complicated urinary tract
infections (cUTIs) caused by multi-drug resistant (MDR) pathogens in
hospitalized patients. CONTEPOTM has not yet received FDA
approval. The FDA has accepted the applicant's New Drug Application
(NDA) using its Priority Review expedited program.
Complicated urinary tract infections are characterized by chills,
rigors, or fever (temperature of greater than or equal to 38.0 [deg]C);
elevated white blood cell count (greater than 10,000/mm\3\), or
[[Page 19301]]
left shift (greater than 15 percent immature PMNs); nausea or vomiting;
dysuria, increased urinary frequency, or urinary urgency; and lower
abdominal pain or pelvic pain. A related condition, acute
pyelonephritis (AP), is characterized by chills, rigors, or fever
(temperature of greater than or equal to 38.0 [deg]C); elevated white
blood cell count (greater than 10,000/mm\3\), or left shift (greater
than 15 percent immature PMNs); nausea or vomiting; dysuria, increased
urinary frequency, or urinary urgency; flank pain; and costo-vertebral
angle tenderness on physical examination. Risk factors for infection
with drug-resistant organisms do not, on their own, indicate a
cUTI.\75\ The applicant stated that CONTEPOTM would offer a
new potential first-line treatment for patients with cUTIs suspected to
be caused by MDR pathogens in the United States.
---------------------------------------------------------------------------
\75\ Hooton, T. and Kalpana, G., 2018, ``Acute complicated
urinary tract infection (including pyelonephritis) in adults,'' In
A. Bloom (Ed.), UpToDate. Available at: https://www.uptodate.com/contents/acute-complicated-urinary-tract-infectionincluding-pyelonephritis-in-adults.
---------------------------------------------------------------------------
The applicant stated that CONTEPOTM is an epoxide
intravenous antibiotic that eradicates bacteria by inhibiting the
bacteria's ability to form cell walls, which are critical for a cell's
survival and growth. The applicant asserted that CONTEPOTM
offers a broad spectrum of bactericidal Gram-negative and Gram-positive
activity, including activity against Extended-spectrum [beta]-lactamase
(ESBL)-producing Enterobacteriaceae, as well as other contemporary MDR
organisms.
The applicant noted that there are currently no ICD-10-PCS
procedure codes that could be used to uniquely identify the use of
CONTEPOTM. However, the applicant stated that potential
cases representing patients who may be eligible to receive treatment
through the administration of CONTEPOTM could be identified
with ICD-10-PCS codes 3E03329 (Introduction of Other Anti-infective
into Peripheral Vein, Percutaneous Approach) or 3E04329 (Introduction
of Other Anti-infective into Central Vein, Percutaneous Approach). The
applicant has submitted a request for approval for a new ICD-10-PCS
procedure code to uniquely identify CONTEPOTM administration
in FY 2020.
The applicant has recommended that CONTEPOTM be
administered as follows: 6 g every 8 hours by intravenous (IV) infusion
over 1 hour for up to 14 days for patients 18 years of age or older,
with an estimated creatinine clearance (CrCl) greater than or equal to
50 mL/min. Dosage adjustment is required for patients whose creatinine
clearance is 50 mL/min or less.
As discussed earlier, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would not be considered ``new''
for purposes of new technology add-on payments.
With regard to the first criterion, whether the product uses a
similar mechanism of action, the applicant stated that
CONTEPOTM's mechanism of action differentiates it from other
approved injectable antibiotics. The applicant reports that
CONTEPOTM, as an injectable epoxide and sole antibiotic
class member, inhibits an early step in peptidoglycan biosynthesis by
covalently binding to MurA, an enzyme that catalyzes the first
committed critical step in a bacteria's ability to form a cell wall
and, therefore, the cell's survival and growth. The applicant indicated
that CONTEPOTM's mechanism of action is unique in comparison
to all other injectable antibiotics by working at a different and
earlier stage of cell wall synthesis inhibition, such that the cell
wall lacks suitable integrity and the bacteria die quickly. The
applicant further stated that because of this unique mechanism of
action, CONTEPOTM lacks cross resistance with other existing
classes of intravenous antibiotics.
With respect to the second criterion, whether the product is
assigned to the same or a different MS-DRG, the applicant asserted that
patients who may be eligible to receive treatment involving
CONTEPOTM include hospitalized patients who have been
diagnosed with a cUTI. The applicant noted that the relevant existing
ICD-10-PCS procedure codes (3E3329 and 3E04329) map to many existing
MS-DRGs. The applicant lists the most common of these MS-DRGs as MS-DRG
871 (Septicemia or Severe Sepsis without MV >96 Hours with MCC); MS-DRG
690 (Kidney and Urinary Tract Infections without MCC); MS-DRG 698
(Other Kidney and Urinary Tract Diagnoses with MCC); MS-DRG 872
(Septicemia or Severe Sepsis without MV >96 hours without MCC); MS-DRG
689 (Kidney and Urinary Tract Infections with MCC); MS-DRG 699 (Other
Kidney and Urinary Tract Diagnoses with CC); MS-DRG (683 Renal Failure
with CC); MS-DRG 682 (Renal Failure with MCC); MS-DRG 853 (Infectious
and Parasitic Diseases with O.R. Procedure with MCC); and MS-DRG 291
(Heart Failure and Shock with MCC). Cases involving the use of
CONTEPOTM would likely be assigned to the same MS-DRGs to
which cases involving treatment with comparator drugs are assigned.
With respect to the third criterion, whether the use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, the applicant
asserted that the use of CONTEPOTM would treat a different
patient population than existing and currently available treatment
options. While many drugs treat the broad population of patients who
have been diagnosed with cUTIs, the applicant asserts that increasing
rates of Enterobacteriaceae resistance to fluoroquinolones and ESBLs
have limited both classes use as first-line therapies among inpatients
with infections caused by suspected or confirmed MDR pathogens. The
applicant cited a study, which estimates the prevalence of drug
resistance among uropathogens isolated from hospitalized patients in
the United States. According to the study, there is a more than a two-
fold increase in ESBL-producing E. coli (from 3.3 percent to 8
percent), ESBL-producing K. pneumoniae (from 9.1 percent to 18.6
percent), and CRE (from 0 percent to 2.3 percent) causing UTIs in the
period between 2000 and 2009.\76\ The applicant further asserts that
the use of CONTEPOTM will also treat a different diseased
patient population than the currently available therapies. According to
the applicant, CONTEPOTM's unique mechanism of action
amongst injectable antibiotics and novel class allows the use of
CONTEPOTM to reach different and expanded patient
populations, particularly those patients who have been diagnosed with a
cUTI that may have pathogens resistant or suspected resistance to ESBL
and CRE, or fluoroquinolone resistance. Further, the applicant stated
that CONTEPOTM's stewardship value to clinicians is as a
carbapenem-sparing potential therapy that may result in real world
reductions in CRE resistance, further sparing a last-line of defense
for critically ill patient populations, which due to unique resistance
profiles, the applicant asserts constitute a different population than
is currently treated.
---------------------------------------------------------------------------
\76\ Shorr, A.F., Zilberberg, M.D., Micek, S.T., Kollef, M.H.,
``Prediction of Infection Due to Antibiotic-Resistant Bacteria by
Select Risk Factors for Health Care-Associated Pneumonia,'' Arch
Intern Med, 2008, vol. 168(20), pp. 2205-10.
---------------------------------------------------------------------------
Based on the applicant's statements as summarized above, the
applicant believes that CONTEPOTM is not substantially
similar to any existing intravenous antibiotic treatment. However, we
are concerned with respect to the first criterion as to whether the
mechanism of action described by the
[[Page 19302]]
applicant is unique to CONTEPOTM or whether it may be
similar to other drugs that inhibit cell wall development, including
penicillins, cephalosporins, and carbapenems. With respect to the
second criterion, we believe that potential cases involving the use of
CONTEPOTM would be assigned to the same MS-DRGs as cases
involving comparator antibiotics. Finally, with respect to the third
criterion, we are concerned whether CONTEPOTM treats a
unique patient population, as the applicant asserts. While the variety
of antibiotic resistance patterns certainly warrants a varied
armamentarium for clinicians, there are many existing antimicrobials
that are approved to generally treat cUTIs and MDR pathogens. We are
concerned as to whether hospitalized patients who have been diagnosed
with cUTIs, including those with MDR pathogens, would constitute a
unique patient population, given that there are existing treatment
options for these patients. This concern as to whether the technology
may be considered to treat a new patient population seems particularly
relevant for an antibiotic due to the evolving nature of global
bacterial resistance patterns, and, specifically, the applicant's
assertion that the use of CONTEPOTM would be a new tool in
the growing battle against MDR bacteria infections. We are inviting
public comments on whether CONTEPOTM is substantially
similar to any existing technologies and whether it meets the newness
criterion, including with respect to the concerns we have raised.
With regard to the cost criterion, the applicant used the FY 2017
MedPAR Limited Data Set (LDS) to assess the MS-DRGs to which potential
cases representing hospitalized patients who may be eligible for
treatment involving CONTEPOTM would most likely be mapped.
According to the applicant, CONTEPOTM is anticipated to be
indicated for the treatment of hospitalized patients who have been
diagnosed with cUTIs. The applicant identified 199 ICD-10-CM diagnosis
code combinations that identify hospitalized patients who have been
diagnosed with a cUTI. Searching the FY 2017 MedPAR data file for these
ICD-10-CM diagnosis codes resulted in a total of 508,821 potential
cases that span 559 unique MS-DRGs, 510 of which contained more than 10
cases. The applicant excluded MS-DRGs with minimal volume (that is, 10
cases or less) from the cohort of the analysis (a total of 201 cases
and 49 MS-DRGs), and this resulted in a total of 508,620 cases across
461 MS-DRGs.
Using 100 percent of the potential cases (508,620), the applicant
determined an average case-weighted unstandardized charge per case of
$59,009. The applicant standardized the charges for each case and
inflated each case's charges by applying the FY 2019 IPPS/LTCH PPS
final rule outlier charge inflation factor of 1.08864 (83 FR 41722).
(We note that the 2-year inflation factor was revised in the FY 2019
IPPS/LTCH PPS final rule correction notice to 1.08986 (83 FR 49844).
However, we further note that even when using the corrected final rule
values to inflate the charges, the average case-weighted standardized
charge per case for each scenario exceeded the average case-weighted
threshold amount.) The applicant examined associated charges per MS-DRG
and removed charges for potential antibiotics that may be replaced by
the use of CONTEPOTM. Specifically, the applicant identified
5 antibiotics currently used for the treatment of patients who have
been diagnosed with a cUTI and calculated the cost of each of these
drugs for administration over a 14-day inpatient hospitalization.
Because patients who have been diagnosed with a cUTI would typically
only be treated with one of these antibiotics at a time, the applicant
estimated an average of the 14-day cost for the 5 antibiotics. The
applicant then took this cost and converted it to a charge by dividing
the costs by the national average CCR of 0.191 for drugs from the FY
2019 IPPS/LTCH PPS final rule (83 FR 41273). The applicant calculated
an average case-weighted standardized charge per case of $71,333 using
the percent distribution of MS-DRGs as case-weights. Based on this
analysis, the applicant determined that the final inflated average
case-weighted standardized charge per case for CONTEPOTM
exceeded the average case-weighted threshold amount of $52,203 by
$19,130.
Because of the large number of cases included in this cost
analysis, the applicant conducted sensitivity analyses. In these
analyses, the applicant repeated the cost analysis above using only the
top 75 percent of cases, the top 20 MS-DRGs, and the top 10 MS-DRGs. In
these three additional sensitivity analyses, the final inflated average
case-weighted standardized charge per case for CONTEPOTM
exceeded the average case-weighted threshold amount by $14,949,
$14,230, and $13,620, respectively. We are inviting public comments on
whether CONTEPOTM meets the cost criterion.
With regard to the substantial clinical improvement criterion, the
applicant asserted that the results from the CONTEPOTM
clinical trial clearly establish that CONTEPOTM represents a
substantial clinical improvement in the treatment of antibiotic
resistant infections as compared to currently available treatments.
Specifically, the applicant asserted that the use of
CONTEPOTM offers a treatment option for a patient population
unresponsive to, or ineligible for, currently available treatments, and
the use of CONTEPOTM significantly improves clinical
outcomes for this patient population compared to currently available
treatments. The applicants cited the ZEUS Study, a multi-center,
randomized, parallel-group, double-blind Phase II/III trial of 464
patients designed to evaluate safety, tolerability, efficacy and
pharmacokinetics of the use of CONTEPOTM in the treatment of
hospitalized adults who have been diagnosed with a cUTI or AP at 92
global sites in 16 countries. Hospitalized adults who have been
diagnosed with suspected or microbiologically confirmed cUTI/AP were
randomized 1:1 to receive treatment with either CONTEPOTM or
piperacillin-tazobactam (PIP-TAZ) for a fixed 7-day course (no oral
switch); patients who had been diagnosed with concomitant bacteremia
could receive up to 14 days. Diagnosis was based on pyuria and cUTI or
AP with at least two of the following signs and symptoms: Chills,
rigors, or warmth associated with fever, nausea or vomiting, dysuria,
lower abdominal pain or pelvic pain, or acute flank pain. Patients who
had been diagnosed with a cUTI had at least one of the following: Use
of intermittent or indwelling bladder catheterization, functional or
anatomical abnormality of urogenital tract, complete or partial
obstructive uropathy, azotemia or chronic urinary retention in men.
Baseline urine culture specimen was obtained within 48 hours prior to
randomization. Indwelling bladder catheters were required to be removed
or replaced, unless considered unsafe or contraindicated, before or
within 24 hours after randomization.
The applicant stated that the primary endpoint of the ZEUS Study
was to demonstrate that CONTEPOTM was non-inferior to PIP-
TAZ in overall success based on clinical cure (complete resolution or
significant improvement of signs and symptoms such that no further
antimicrobial therapy is warranted) and microbiologic eradication
(baseline pathogen was reduced to <10\4\ CFU/mL on urine culture and if
applicable, negative on repeat blood culture) in the microbiologic
modified intent-to-treat
[[Page 19303]]
(m-MITT) population at the test-of-cure visit (TOC), which occurred on
the 19th to 21st day after completion of a fixed 7 days of treatment
with the study drug, or up to 14 days of treatment for patients
diagnosed with concurrent bacteremia to comply with current treatment
guidelines in these patients.
Patients with any missing or presumed eradications post-baseline
urine sample were classified as indeterminates, and conservatively
deemed as failures in overall success analysis.77 78 The
applicant also reported that the study had two secondary endpoints.
Secondary objectives were to compare: (1) Clinical cure rates in the
two treatment groups in the MITT, m-MITT, Clinical Evaluable (CE), and
Microbiologic Evaluable (ME) populations at TOC, and (2)
microbiological eradication rates in m-MITT and ME populations at TOC.
---------------------------------------------------------------------------
\77\ Eckburg, et al., ``Phenotypic Antibiotic Resistance in
ZEUS: Multi-center, Randomized, Double-Blind Phase II/III Study of
ZTI-01 versus Piperacillin-Tazobactam (P-T) in the Treatment of
Patients with Complicated Urinary Tract Infections (cUTI) including
Acute Pyelonephritis (AP) Poster,'' 2017.
\78\ Kaye, et al., ``Intravenous Fosfomycin (ZTI-01) for the
Treatment of Complicated Urinary Tract Infections (cUTI) including
Acute Pyelonephritis (AP): Results from a Multi-center, Randomized,
Double-Blind Phase II/III Study in Hospitalized Adults (ZEUS),''
2017.
---------------------------------------------------------------------------
The applicant also included evidence from a post-hoc study wherein
all pathogens isolated from patients who had a baseline and TOC
pathogen underwent blinded, post-hoc, pulsed-field gel electrophoresis
(PFGE) molecular typing analysis. Microbiologic outcome was also
defined utilizing the PFGE results, whereby microbiologic persistence
required the same genus and species of baseline and post-baseline
pathogens, as well as PFGE-confirmed genetic identity.
The applicant stated that the ZEUS Study met its primary objective
of showing non-inferiority of CONTEPOTM compared to PIP-TAZ
with overall success rates (that is, clinical cure and microbiological
eradication of baseline pathogen) of 64.7 percent (119/184
CONTEPOTM patients) versus 54.5 percent (97/178 PIP-TAZ
patients) in the m-MITT population at TOC (treatment difference 10.2
percent, 95 percent CI: -0.4, 20.8). We note that, based on the 95
percent confidence interval reported at the primary endpoint,
CONTEPOTM's success rates were not found to be different
from PIP-TAZ in a statistically significant manner. The applicant
reports that the identity and frequency of pathogens recovered at
baseline from patients in the ZEUS Study were similar in both the
CONTEPOTM and PIP-TAZ treatment groups. The most common
pathogens identified were Enterobacteriaceae, identified in 96.2
percent of the CONTEPOTM patients and 94.9 percent of the
PIP-TAZ patients, including E. coli, identified in 72.3 percent of the
CONTEPOTM patients and 74.7 percent of the PIP-TAZ patients;
K. pneumoniae, identified in 14.7 percent of the CONTEPOTM
patients and 14.0 percent of the PIP-TAZ patients; Enterobacter cloacae
species complex, identified in 4.9 percent of the CONTEPOTM
patients and 1.7 percent of the PIP-TAZ patients; and Proteus
mirabilis, identified in 4.9 percent of the CONTEPOTM
patients and 2.8 percent of the PIP-TAZ patients. Gram-negative aerobes
other than Enterobacteriaceae included Pseudomonas aeruginosa, which
was identified in 4.3 percent of the CONTEPOTM patients and
5.1 percent of the PIP-TAZ patients, and Acinetobacter baumannii-
calcoaceticus species complex, identified in 1.1 percent of the
CONTEPOTM patients and none of the PIP-TAZ patients. The
applicant indicated that these pathogens are representative of the
pathogens that have been recovered in other studies of patients who
have been diagnosed with a cUTI or AP.
In terms of secondary endpoints, the applicant stated that clinical
cure rates were greater than 90 percent in both treatment groups at TOC
in the MITT, m-MITT, CE, and ME analysis groups. In addition to the
findings discussed above, with the post-hoc analysis adjusting for PFGE
results in both treatment arms, CONTEPOTM demonstrated a
10.5 percent treatment difference compared to PIP-TAZ with a
microbiological response rate of 70.7 percent versus 60.1 percent,
respectively, in the m-MITT population at TOC (95 percent CI: 0.2,
20.8). The applicant indicated that by specifying the genus and species
of the bacteria present at the start of treatment, the post-hoc PFGE
analysis shows that when measuring microbiological eradication rates
CONTEPOTM demonstrated a positive difference significant at
the 95 percent confidence level.\79\
---------------------------------------------------------------------------
\79\ Skarinsky, et al., ``Per Pathogen Outcomes from the ZEUS
study, a Multi-center, Randomized, Double-Blind Phase II/III Study
of ZTI-01 (fosfomycin for injection) versus Piperacillin-Tazobactam
(P-T) in the Treatment of Patients with Complicated Urinary Tract
Infections (cUTI) including Acute Pyelonephritis (AP),'' 2017.
---------------------------------------------------------------------------
With respect to safety, the applicant reports that in the ZEUS
Study a total of 42.1 percent of the CONTEPOTM patients and
32.0 percent of the PIP-TAZ patients experienced at least one
treatment-emergent adverse event, or TEAE. Most TEAEs were mild or
moderate in severity, and severe TEAEs were uncommon (2.1 percent of
the CONTEPOTM patients and 1.7 percent of the PIP-TAZ
patients). The most common TEAEs in both treatment groups were
transient, asymptomatic laboratory abnormalities and gastrointestinal
events. Treatment-emergent serious adverse events, or SAEs, were
uncommon in both treatment groups. There were no deaths in the study
and one SAE in each treatment group was deemed related to the study
drug (hypokalemia in a CONTEPOTM patient and renal
impairment in a PIP-TAZ patient), leading to study drug discontinuation
in the PIP-TAZ patient. Study drug discontinuations due to TEAEs were
infrequent and similar between treatment groups (3.0 percent of
CONTEPOTM patients and 2.6 percent of PIP-TAZ patients). The
applicant further stated that the most common laboratory abnormality
TEAEs were increases in the levels of alanine aminotransferase (8.6
percent of CONTEPOTM patients and 2.6 percent of PIP-TAZ
patients) and aspartate transaminase (7.3 percent of
CONTEPOTM patients and 2.6 percent of PIP-TAZ patients).
None of the aminotransferase elevations were symptomatic or treatment-
limiting, and none of the patients met the criteria for Hy's Law (a
method of assessing a patient's risk of fatal drug-induced liver
injury). Outside of the United States, elevated liver aminotransferases
are listed among undesirable effects in labeling for the use of IV
fosfomycin. Finally, the applicant stated that hypokalemia occurred in
71 of the 232 (30.6 percent) CONTEPOTM patients and 29 of
the 230 (12.6 percent) PIP-TAZ patients. Most decreases in potassium
levels were mild to moderate in severity. Shifts in potassium levels
from normal at baseline to hypokalemia, as determined by worst post-
baseline hypokalemia values, were more frequent in the patients in the
CONTEPOTM group than the patients in the PIP-TAZ group for
mild (17.7 percent compared to 11.3 percent), moderate (11.2 percent
compared to 0.9 percent), and severe (1.7 percent compared to 0.4
percent) categories of hypokalemia. Hypokalemia was deemed a TEAE in
6.4 percent of the patients receiving CONTEPOTM and 1.3
percent of the patients receiving PIP-TAZ, and all cases were transient
and asymptomatic. The applicant noted that post-baseline QT intervals
calculated using Fridericia's formula, or QTcF, of greater than 450 to
less than
[[Page 19304]]
or equal to 480 msec (baseline QTcF of less than or equal to 450 msec)
occurred at a higher frequency in CONTEPOTM patients (7.3
percent) compared to PIP-TAZ patients (2.5 percent). In the
CONTEPOTM arm, these results appear to be associated with
the hypokalemia associated with the salt load of the IV formulation.
Only 1 patient in the PIP-TAZ group had a baseline QTcF of less than or
equal to 500 msec and a post-baseline QTcF of greater than 500 msec.
In addition to the assertions of clinical improvement based on its
pivotal study, the applicant stated that CONTEPO\TM\ provides a broad
spectrum of in vitro activity against a variety of clinically important
MDR Gram-negative pathogens, including ESBL-producing
Enterobacteriaceae, CRE, and Gram-positive pathogens, including
methicillin-resistant Staphylococcus aureus, or MRSA, and vancomycin-
resistant enterococci.80 81 82 83 The applicant also
believes that CONTEPO\TM\, due to its unique mechanism of action, has
demonstrated synergistic or additive activity in in vitro studies when
used in combination with other antibiotic classes in preclinical
studies.84 85 86 The applicant further stated that the use
of CONTEPO\TM\ has the potential to spare the use of carbapenems and
other last-line therapies and, thereby, has the potential to reduce the
development of resistance to existing antibiotic classes.\87\
Additionally, the applicant believes that the use of CONTEPO\TM\ has
the potential to reduce patients' hospital lengths of stay and patient
morbidity due to the ability to provide early appropriate therapy in
patients who have been diagnosed with suspected or confirmed MDR
pathogens.88 89 The applicant also stated that the submitted
literature provides cases wherein the use of CONTEPO\TM\ could provide
an important treatment option for patients who have been diagnosed with
infections caused by pathogens resistant to all other available IV
antibiotics.90 91 Finally, the applicant asserted that the
use of CONTEPO\TM\ has immunomodulating activities that potentially may
improve outcomes for serious infections,\92\ and may protect against
gentamicin induced nephrotoxicity.\93\
---------------------------------------------------------------------------
\80\ Flamm, R., et al., ``Activity of fosfomycin when tested
against US contemporary bacterial isolates,'' Diagnostic
Microbiology and Infectious Disease, 2018.
\81\ Mendes, R.E., et al., ``Molecular Characterization of
Clinical Trial Isolates Exhibiting Increased MIC Results during
Fosfomycin (ZTI-01) Treatment in a Phase II/III Clinical Trial for
Complicated Urinary Tract Infections (ZEUS),'' 2018.
\82\ Rhomberg, P., et al., ``Evaluation of Fosfomycin Activity
When Combined with Selected Antimicrobial Agents and Tested against
Bacterial Isolates Using Checkerboard Methods,'' 2017.
\83\ Falagas, M., et al., ``Antimicrobial susceptibility of
multidrug-resistant (MDR) and extensively drug-resistant (XDR)
Enterobacteriaceae isolates to fosfomycin,'' International Journal
of Antimicrobial Agents, 2010.
\84\ Flamm, R., et al., ``Time Kill Analyses of Concerning Gram-
Negative Bacteria with Fosfomycin Alone and in Combination with
Select Antimicrobial Agents,'' 2017.
\85\ Avery & Nicolau, ``In Vitro Synergy of Fosfomycin and
Parenteral Antimicrobials Against Carbapenem-Nonsusceptible
Pseudomonas aeruginosa,'' 2018.
\86\ Albiero, J., et al., ``Pharmacodynamic Evaluation of the
Potential Clinical Utility of Fosfomycin and Meropenem in
Combination Therapy against KPC-2-Producing Klebsiella pneumonia,''
Antimicrobial Agents and Chemotherapy, 2016.
\87\ Hayden, M.K. & Won, S.Y., ``Carbapenem-Sparing Therapy for
Extended-Spectrum [beta]-Lactamase-Producing E coli and Klebsiella
pneumoniae Bloodstream Infection,'' JAMA, 2018.
\88\ Mocarski, et al., ``Economic Burden Associated with Key
Gram-negative Pathogens among Patients with Complicated Urinary
Tract Infections across US Hospitals,'' 2014.
\89\ Lodise, et al., ``Carbapenem-resistant Enterobacteriaceae
(CRE) or Delayed Appropriate Therapy (DAT)--Does One Affect Outcomes
More Than the Other Among Patients With Serious Infections Due to
Enterobacteriaceae?,'' 2017.
\90\ Chen, L., et al., ``Pan-Resistant New Delhi Metallo-Beta-
Lactamase-Producing Klebsiella pneumonia--Washoe County, Nevada,
2016,'' 2017.
\91\ Rios, P., et al., ``Extensively drug-resistant (XDR)
Pseudomonas aeruginosa identified in Lima, Peru co-expressing a VIM-
2 metallo-blactamase, OXA-1 b-lactamase and GES-1 extended-spectrum
b-lactamase,'' JMM Case Reports, 2018.
\92\ Zeitlinger, et al., ``Immunomodulatory effects of
fosfomycin in an endotoxin model in human blood.'' Journal of
Antimicrobial Chemotherapy, 2007.
\93\ Yanagida, et al., ``Protective effect of fosfomycin on
gentamicin-induced lipid peroxidation of rat renal tissue,'' Chem
Biol Interact, 2004.
---------------------------------------------------------------------------
We have several concerns regarding whether CONTEPO\TM\ meets the
substantial clinical improvement criterion. First, we are concerned
that we are unable to identify if any of the patients enrolled in the
ZEUS Study were from the United States. As we have noted in previous
rulemaking (83 FR 41309), given the geographic variability of
antibiotic resistance, we are unsure to what extent results from
studies utilizing an international cohort of patients generate
inferences that are applicable to the U.S. context and, in particular,
to the Medicare-eligible population.
Second, we are unsure if PIP-TAZ is the only proper comparator for
CONTEPO\TM\, or if other treatments should have been considered as
well. There are a number of additional antimicrobials with similar
indications that are available for patients who have been diagnosed
with cUTIs. Such treatments might include meropenem-vaborbactam or
plazomicin. Prior studies include a meta-analysis of 10 studies (7
randomized) comparing the clinical efficacy of IV fosfomycin against
other antibiotics including sulbenicillin, sulbactam/cefoperazone,
cefotaxime, fosfomycin/colistin, and minocycline/cefuzonam. This meta-
analysis did not observe a difference in clinical efficacy between
fosfomycin and respective comparators (odds ratio (OR) 1.44, 95 percent
CI (0.96, 2.15)) irrespective of monotherapy (OR 1.41, 95 percent CI
(0.83, 2.39)) or combination therapy (OR 1.48, 95 percent CI (0.81,
2.71.)). The same results were obtained when studies with poor quality
were excluded (OR 1.45, 95 percent CI (0.94, 2.24)).\94\
---------------------------------------------------------------------------
\94\ Grabien, et al., ``Intravenous fosfomycin--Back to the
Future; Systematic Review and Meta-analysis of the Clinical
Literature,'' Clinical Microbiology and Infection, 2017.
---------------------------------------------------------------------------
Third, we have two methodological concerns regarding the
applicant's assertions based on the ZEUS Study. There does not appear
to be any statistical comparison of the patients in each arm in terms
of demographics and, therefore, it is difficult to assess whether the
two intervention arms are balanced as the applicant inferred. We
acknowledge that use of a double-blinded, randomized study design
(which was used in the ZEUS Study) should minimize bias and control for
unmeasured variables between treatment arms. However, we are concerned
about a lack of detail on the different dropout rates of patients
within each arm of the ZEUS Study, including data on causes and
treatment of patients that dropped out and any bias that might
introduce. We also are concerned that the ZEUS Study did not
demonstrate a superior clinical outcome with statistical significance
in its primary endpoint. Rather, the applicant is asserting the
technology represents a substantial clinical improvement on the basis
of meeting a secondary endpoint, the cure rates based on additional
PFGE analysis. In addition, we are concerned that the use of m-MITT,
rather than ITT, may have biased the results upwards by focusing on a
subset of the treatment group, rather than the entire random
sample.\95\
---------------------------------------------------------------------------
\95\ Beckett, R.D., Loeser, K.C., Bowman, K.R., Towne, T.G.,
``Intention-to-treat and transparency of related practices in
randomized, controlled trials of anti-infectives,'' BMC Med Res
Methodol, 2016, vol. 16(1), pp. 106, Published August 24, 2016,
doi:10.1186/s12874-016-0215-2.
---------------------------------------------------------------------------
Finally, we are concerned that many of the assertions the applicant
has made regarding the efficacy of CONTEPOTM on MDR gram-
negative pathogens and broader public health benefits come from in
vitro studies or may be speculative in nature. It may be helpful
[[Page 19305]]
to have further evidence, particularly prospectively collected and
tested clinical data, to support the assertions that the use of
CONTEPOTM reduces hospital lengths of stay and patient
morbidity, and enhances antibiotic stewardship.
We are inviting public comments on whether CONTEPOTM
meets the substantial clinical improvement criterion.
Below we summarize and respond to a written public comment received
in response to the New Technology Town Hall meeting notice published in
the Federal Register regarding the substantial clinical improvement
criterion for CONTEPOTM.
Comment: In response to a question presented at the New Technology
Town Hall meeting, the applicant explained why the post-hoc reanalysis
of the primary endpoint (overall success, a composite of clinical cure
and microbiologic eradication) from the ZEUS Study using pulse-field
gel electrophoresis, which the applicant asserted demonstrated a
statistically significant difference between CONTEPOTM and
PIP-TAZ, is clinically important. The applicant stated that the post-
hoc analysis was able to differentiate the patients who had eradication
of the identified and treated baseline pathogen from those patients who
developed or were likely to develop another infection from a newly
acquired pathogen (different strain) following the ~2-week period
between the end of IV therapy and the test-of-cure evaluation. However,
the applicant indicated that there are many reasons why patients may
acquire another pathogen and/or develop new infections after completing
IV therapy, including indwelling urinary catheters or instrumentation
(for example, nephrostomy tubes, ureteric stents, etc.) or anatomical
abnormalities. The applicant stated that because of these confounding
factors, the PFGE reanalysis allowed for the differentiation of the
true persistence of the same pathogen that was present at baseline from
a different pathogen that might look the same, but was clearly
genetically distinct.
Response: We appreciate the applicant's further explanation of the
PFGE analysis. We will take this information into consideration when
deciding whether to approve new technology add-on payments for
CONTEPOTM.
e. DuraGraft[supreg] Vascular Conduit Solution
Somahlution, Inc. submitted an application for new technology add-
on payments for DuraGraft[supreg] for FY 2020. (We note that the
applicant previously submitted applications for new technology add-on
payments for DuraGraft[supreg] for FY 2018 and FY 2019, which were
withdrawn.) According to the applicant, DuraGraft[supreg] is designed
to protect the endothelium of the vein graft by mitigating ischemic
reperfusion injury (IRI), the basis of vein graft disease (VGD) and
vein graft failure (VGF), both of which are intimately linked to graft
and patient outcomes.\96\ \97\ \98\ According to the applicant,
specific VGD and VGF clinical outcomes affected by the use of
DuraGraft[supreg] include reductions in myocardial infarction (MI),
repeat revascularization and major adverse cardiovascular events
(MACE). The applicant stated that DuraGraft[supreg] is a preservation
solution, not a storage solution, used during standard graft handling,
flushing, and bathing steps.
---------------------------------------------------------------------------
\96\ Salvadori, M., Rosso, G., and Bertoni, E., ``Update on
Ischemia-reperfusion Injury in Kidney Transplantation: Pathogenesis
and Treatment,'' World Transplant, June 24, 2015, vol. 5(2), pp. 52-
67.
\97\ Osgood, M.J., Hocking, K.M., Voskresensky, I.V., et al.,
``Surgical vein graft preparation promotes cellular dysfunction,
oxidative stress, and intimal hyperplasia in human saphenous vein,''
J Vasc Surg, 2014, vol. 60, pp. 202-211.
\98\ Shuhaiber, J.H., Evans, A.N., Massad, M.G., and Geha, A.S.,
``Mechanisms and Future Directions for Prevention of Vein Graft
Failure in Coronary Bypass Surgery,'' European Journal of Cardio-
Thoracic Surgery, vol. 22, Issue 3, September 1, 2002, pp. 387-396.
---------------------------------------------------------------------------
The applicant indicated that vein graft endothelial damage is the
principal mediator of VGD following grafting in bypass surgeries.\99\
\100\ According to the applicant, the endothelium can be destroyed or
damaged intraoperatively through the acute physical stress of
harvesting, storage, and handling, and through more insidious processes
such as those associated with ischemic injury, metabolic stress and
oxidative damage. The applicant also noted that vein graft solutions
can independently damage the endothelium during the harvesting and
storage stages prior to vein grafting. The applicant also referred to
more recent information to depict that damage associated with the use
of graft storage solutions has the highest correlation with the
development of 12-month VGF following coronary artery bypass grafting
(CABG).\101\ More specifically regarding vein graft solutions, the
applicant asserted that there are two processes associated with current
vein graft solutions that lead to IRI and ultimately VGD: (1) Current
vein graft solutions cause ``solution damage;'' and (2) current vein
graft solutions do not protect against IRI, the basis for VGD.\102\
\103\ \104\ \105\ \106\ \107\ \108\ According to the applicant, current
vein graft solutions are used to flush and store vascular grafts during
the ex vivo ischemic interval of the surgical procedure. However, these
solutions do not protect the graft from ischemia reperfusion injury and
have no preservation ability. Further, the applicant asserted that some
of the solutions are incompatible with graft tissue resulting in
ischemic damage that is compounded by ``solution damage''.\109\ \110\
\111\
---------------------------------------------------------------------------
\99\ Harskamp, R.E., Alexander, J.H., Schulte, P.J., Brophy,
C.M., Mack, M.J., Peterson, E.D., Williams, J.B., Gibson, C.M.,
Califf, R.M., Kouchoukos, N.T., Harrington, R.A., Ferguson, Jr.,
T.B., Lopes, R.D., ``Vein Graft Preservation Solutions, Patency, and
Outcomes After Coronary Artery Bypass Graft Surgery Follow-up From
PREVENT IV Randomized Clinical Trial,'' JAMA Surg., 2014, vol.
149(8), pp. 798-805.
\100\ Testa, L., Bedogni, F., ``Treatment of Saphenous Vein
Graft Disease: Never Ending Story of the Eternal Return,'' Res
Cardiovasc Med., 2014, vol. 3(3), e21092.
\101\ Ibid.
\102\ Shinjo, H., et al., ``Effect of irrigation solutions for
arthroscopic surgery on intraarticular tissue: comparison in human
meniscus-derived primary cell culture between lactate Ringer's
solution and saline solution,'' Journal of Orthopaedic Research,
2002, vol. 20, pp. 1305-1310.
\103\ Breborowicz, A. and Oreopoulos, D.G., ``Is normal saline
harmful to the peritoneum?'', Perit Dial Int., 2005 Apr; 25 Suppl
4:S67-70.
\104\ Pusztaszeri, M.P., Seelentag, Walter, Bosman, F.T.,
``Immunohistochemical Expression of Endothelial Markers CD31, CD34,
von Willebrand Factor, and Fli-1 in Normal Human Tissues,'' Journal
of Histochemistry & Cytochemistry, 2006, vol. 54(4), pp. 385-395.
\105\ Polubinska, A., et al., ``Normal Saline induces oxidative
stress in peritoneal mesoyhelial cells,'' Journel of Pediatric
Surgery, 2008, vol. 43, pp. 1821-1826.
\106\ Sengupta, S., Prabhat, K., Gupta, V., Vij, H., Vij, R.,
Sharma, V., ``Artefacts Produced by Normal Saline When Used as a
Holding Solution for Biopsy Tissues in Transit,'' J. Maxillofac.
Oral Surg., (Apr-June 2014), vol. 13(2), pp. 148-151.
\107\ Wilbring, M., Tugtekin, S.M., Zatschler, B., Ebner, A.,
Reichenspurner, H., Matschke, K., Deussen, A., ``Even short-time
storage in physiological saline solution impairs endothelial
vascular function of saphenous vein grafts,'' Eur J Cardiothorac
Surg., 2011 Oct, vol. 40(4), pp. 811-815.
\108\ Weiss, D.R., et al., ``Extensive deendothelialization and
thrombogenicity in routinely prepared vein grafts for coronary
bypass operations: facts and remedy,'' Int J Clin Exp Med, 2009,
vol. 2, pp. 95-113.
\109\ Weiss, D.R., et al., ``Extensive deendothelialization and
thrombogenicity in routinely prepared vein grafts for coronary
bypass operations: facts and remedy,'' Int J Clin Exp Med, 2009,
vol. 2, pp. 95-113.
\110\ Ibid.
\111\ Thatte, H.S., Biswas, K.S., Najjar, S.F., Birjiniuk, V.,
Crittenden, M.D., Michel, T., and Khuri, S.F., ``Multi-Photon
Microscopic valuation of Saphenous Vein Endothelium and Its
Preservation With a New Solution, GALA,'' Annals Thoracic Surgery,
2003, vol. 75, pp. 1145-52.
---------------------------------------------------------------------------
The applicant explained that there are two mechanisms leading to
VGD: (1) Endothelial damage associated with the
[[Page 19306]]
harvesting and storage processes; and (2) VGD pathophysiological
changes that occur in damaged vein grafts following reperfusion at the
time of graft anastomosis. According to the applicant, these changes
are apparent within minutes to hours of grafting and are manifested as
endothelial dysfunction, death and/or denudation and include pro-
inflammatory, pro-thrombogenic and aberrant proliferative changes
within the graft. The applicant further characterized these changes as
initial endothelial reperfusion phase responses, which set in motion a
damage-response domino-like effect thereby perpetuating a cycle of
prolonged reperfusion phase injury with subsequent VGD.
The applicant further noted that endothelial dysfunction and
inflammation results not only in the diminished ability of the graft to
respond appropriately to new blood flow patterns, but also may thwart
positive adaptive vein graft remodeling. According to the applicant,
this is because proper vein graft remodeling is dependent upon a
functional endothelial response to shear stress that involves the
production of remodeling factors by the endothelium including nitro
vasodilators, prostaglandins, lipoxyoxygenases, hyperpolarizing factors
and other growth factors.\112\ Therefore, damaged, missing and/or
dysfunctional endothelial cells prevent graft adaption, which makes the
graft susceptible to shear mediated endothelial damage. The applicant
explained that the collective damage results in intimal hyperplasia or
graft wall thickening that is the basis for atheroma development,
stenosis and subsequent lumen narrowing leading to the end state of
VGD, VGF.\113\ The applicant also noted that the pathologic changes
leading to VGD, occlusion and loss of vasomotor function, are well
documented.\114\ \115\ \116\ \117\ \118\ \119\ \120\ Presenting an
intact functional endothelial layer at the time of grafting is,
therefore, critical to protecting the graft and its associated
endothelium from damage that occurs post-grafting, in turn conferring
protection against graft failure.\121\ The applicant stated that given
the low success rate of VGF intervention after surgery (for example,
percutaneous coronary intervention and saphenous vein graft
intervention \122\), addressing graft endothelial protection at the
time of surgery is critical.
---------------------------------------------------------------------------
\112\ Owens, C.D., ``Adaptive changes in autogenous vein grafts
for arterial reconstruction: Clinical Implications,'' J Vasc Surg.,
2010 March; vol. 51(3), pp. 736-746.
\113\ Murphy, G.J. and Angelini, G.D., ``Insights into the
pathogenesis of vein graft disease: lessons from intravascular
ultrasound,'' Cardiovascular Ultrasound, 2004, 2:8.
\114\ Verrier, E.D., Boyle, E.M., ``Endothelial cell injury in
cardiovascular surgery: an overview,'' AnnThorac Surg, 1996, vol.
64, pp. S2-S8.
\115\ Harskamp, R.E., Lopes, R.D., Baisden, C.E., et al.,
``Saphenous vein graft failure after coronary artery bypass surgery:
pathophysiology, management, and future directions,'' Ann Surg.,
2013 May, vol. 257(5), pp. 824-33.
\116\ Sellke, F.W., Boyle, E.M., Verrier, E.D., ``The
pathophysiology of vasomotor dysfunction,'' Ann Thorac Surg, 1996,
vol. 64, pp. S9-S15.
\117\ Motwani, J.G., Topol, E.J., ``Aortocoronary saphenous vein
graft disease: pathogenesis, predisposition and prevention,''
Circulation, 1998, vol. 97(9), pp. 916-31.
\118\ Mills, N.L., Everson, C.T., ``Vein graft failure,'' Curr
Opin Cardiol, 1995, vol. 10, pp. 562-8.
\119\ Davies, M.G., Hagen, P.O., ``Pathophysiology of vein graft
failure: a review,'' Eur J Vasc Endovasc Surg, 1995, vol. 9, pp. 7-
18.
\120\ Edmunds, L.H., ``Techniques of myocardial
revascularization. In: Edmunds LH, ed. Cardiac surgery in the
adult,'' New York: McGraw-Hill, 1997, pp. 481-534.
\121\ Kim FY, Marhefka G, Ruggiero NJ, et al. Saphenous vein
graft disease: review of pathophysiology, prevention, and treatment.
Cardiol Rev, 2013;21(2):101-9.
\122\ Testa, L., Bedogni, F., ``Treatment of Saphenous Vein
Graft Disease: Never Ending Story of the Eternal Return,'' Res
Cardiovasc Med., 2014, vol. 3(3), e21092.
---------------------------------------------------------------------------
With respect to the newness criterion, DuraGraft[supreg] has not
received FDA approval as of the time of the development of this
proposed rule. The applicant indicated that it anticipates FDA approval
of its premarket application by July 1, 2019. The applicant also
indicated that ICD-10-PCS code XY0VX83 (Extracorporeal introduction of
endothelial damage inhibitor to vein graft, New Technology Group 3)
would identify procedures involving the use of the DuraGraft[supreg]
technology.
As discussed earlier, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would, therefore, not be
considered ``new'' for purposes of new technology add-on payments.
With regard to the first criterion, whether a product uses the same
or similar mechanism of action to achieve a therapeutic outcome,
according to the applicant, there are currently no other treatment
options available with the same mechanism of action as that of
DuraGraft[supreg]. According to the applicant, the currently available
vein graft solutions, which consist of saline, buffered saline, blood,
and electrolyte solutions, are not preservation solutions but
``storage'' solutions that do not protect the graft vascular
endothelium nor mitigate IRI, the basis of VGD.\123\ \124\ \125\ \126\
The applicant stated that these solutions are used merely to keep
grafts wet from the time they are harvested until the time they are
used in CABG. According to the applicant, exposure of saphenous vein
grafts to these solutions has been shown to cause significant damage to
the graft within minutes.\127\ \128\ \129\ \130\
---------------------------------------------------------------------------
\123\ Salvadori, M., Rosso, G., and Bertoni, E., ``Update on
Ischemia-reperfusion Injury in Kidney Transplantation: Pathogenesis
and Treatment,'' World Transplant, June 24, 2015, vol. 5(2), pp. 52-
67.
\124\ Lee, J.C. and Christie, J.D., ``Primary Graft
Dysfunction,'' Proc Am Thorac Soc., 2009, vol. 6, pp 39-46.
\125\ Osgood, M.J., Hocking, K.M., Voskresensky, I.V., et al.,
``Surgical vein graft preparation promotes cellular dysfunction,
oxidative stress, and intimal hyperplasia in human saphenous vein,''
J Vasc Surg, 2014, vol. 60, pp. 202-211.
\126\ Shuhaiber, J.H., Evans, A.N., Massad, M.G., and Geha,
A.S., ``Mechanisms and Future Directions for Prevention of Vein
Graft Failure in Coronary Bypass Surgery,'' European Journal of
Cardio-Thoracic Surgery, vol. 22, Issue 3, September 1, 2002, pp.
387-396.
\127\ Weiss, D.R., et al., ``Extensive deendothelialization and
thrombogenicity in routinely prepared vein grafts for coronary
bypass operations: facts and remedy,'' Int J Clin Exp Med, 2009,
vol. 2, pp. 95-113.
\128\ Wilbring, M., Tugtekin, S.M., Zatschler, B., Ebner, A.,
Reichenspurner, H., Matschke, K., Deussen, A., ``Even short-time
storage in physiological saline solution impairs endothelial
vascular function of saphenous vein grafts,'' Eur J Cardiothorac
Surg., 2011 Oct, vol. 40(4), pp. 811-815.
\129\ Tsakok, M., Montgomery-Taylor, S. and Tsakok, T.,
``Storage of saphenous vein grafts prior to coronary artery bypass
grafting: is autologous whole blood more effective than saline in
preserving graft function?'' Inter Cardiovasc Thorac Surg, 2012,
vol. 15, pp. 720-25.
\130\ Thatte, H.S., Biswas, K.S., Najjar S.F., Birjiniuk, V.,
Crittenden, M.D., Michel, T., and Khuri, S.F., ``Multi-Photon
Microscopic valuation of Saphenous Vein Endothelium and Its
Preservation With a New Solution, GALA.'' Annals Thoracic Surgery,
2003, vol. 75, pp. 1145-52.
---------------------------------------------------------------------------
The applicant explained that DuraGraft[supreg] is a formulated
``preservation'' solution that can be used during handling, flushing,
and bathing steps without changing standard surgical practice.
According to the applicant, the handling step includes using an
atraumatic surgical technique, avoiding over pressurization and
checking for leakage, excessive handling and distortion. The applicant
further noted that vascular segments (that become vascular grafts) are
comprised of a number of different cell types that function together in
an integrated manner post-grafting and, therefore, protection of all
cell types during graft flushing and storage is critical for
maintenance of graft viability and normal graft functioning.
The applicant indicated that DuraGraft[supreg] separates itself
from current vein graft solutions through its unique
[[Page 19307]]
composition of ingredients, a physiologic saline solution that combines
free radical scavengers and antioxidants (glutathione, ascorbic acid)
and nitric oxide synthase substrate (L-arginine), as discussed later in
this section. According to a summary of ex vivo performance data and
studies provided by the applicant, the use of DuraGraft[supreg] has
been shown to preserve vascular graft viability, as well as graft
functional and structural integrity during ex vivo storage and
flushing.\131\ \132\ \133\ The applicant noted that these studies
evaluated graft cellular viability and structural integrity and
assessed molecular and biochemical markers of normal endothelial
functioning. Specifically, endothelial and smooth muscle cells were
assessed.
---------------------------------------------------------------------------
\131\ Thatte, H.S., Biswas, K.S., Najjar S.F., Birjiniuk, V.,
Crittenden, M.D., Michel, T., and Khuri, S.F., ``Multi-Photon
Microscopic valuation of Saphenous Vein Endothelium and Its
Preservation With a New Solution, GALA.'' Annals Thoracic Surgery,
2003, vol. 75, pp. 1145-52.
\132\ Hussaini, B.E., Lu, X.G., Wolfe, A., Thatte, H.S.,
``Evaluation of Endoscopic Vein extraction on Structural and
Functional Viability of Saphenous Vein Endothelium,'' J Cardothorac
Surg, 2011, vol. 6, pp. 82-89.
\133\ Rousou, L.J., Taylor, K.B., Lu, X.G., et al., ``Saphenous
vein conduits harvested by endoscopic technique exhibit structural
and functional damage,'' Ann Thorac Surg, 2009, vol. 87, pp. 62-70.
---------------------------------------------------------------------------
All veins used in these studies were collected from patients
undergoing cardiac bypass surgery at the Boston VA or Saint Joseph's
Hospital of Atlanta. Veins were harvested using the ``Open Saphenous
Vein Harvest'' (OSVH) technique.\134\ \135\ \136\ Segments of the
collected veins not being used for the bypass surgery were used for the
performance bench studies.
---------------------------------------------------------------------------
\134\ Ibid.
\135\ Hussaini, B.E., Lu, X.G., Wolfe, A., Thatte, H.S.,
``Evaluation of Endoscopic Vein extraction on Structural and
Functional Viability of Saphenous Vein Endothelium,'' J Cardothorac
Surg, 2011, vol. 6, vol. 82-89.
\136\ Thatte, H.S., Biswas, K.S., Najjar, S.F., Birjiniuk, V.,
Crittenden, M.D., Michel, T., and Khuri, S.F., ``Multi-Photon
Microscopic valuation of Saphenous Vein Endothelium and Its
Preservation With a New Solution, GALA.'' Annals Thoracic Surgery,
2003, vol. 75, pp. 1145-52.
---------------------------------------------------------------------------
According to the applicant, viability studies conducted in
conjunction with multi-photon microscopy demonstrated a protective
effect from the use of DuraGraft[supreg] on vascular endothelial
viability and graft structural integrity for storage times of up to 5
hours at room temperature (21 [deg]C).\137\ The applicant also stated
that, conversely, vascular segments were not able to be maintained in a
viable condition when stored for as short a time as 15 minutes in
standard-of-care solutions consistent with what has been published by
others. According to the applicant, DuraGraft[supreg] demonstrated its
ability to preserve the viability, structure and function of
endothelium in radial and internal mammary arteries, as well as
saphenous veins for extended periods.\138\
---------------------------------------------------------------------------
\137\ Ibid.
\138\ Ibid.
---------------------------------------------------------------------------
According to the information submitted by the applicant, the
ingredients found in DuraGraft[supreg] play a primary role in
DuraGraft[supreg] exhibiting a different mechanism of action from other
solutions that are commonly used to treat the same disease process and
patient population. According to the study cited by the applicant, the
rapid loss of endothelial cell structural and functional integrity in
saphenous veins stored in standard storage solutions can be avoided by
incorporating a physiologic saline solution that combines free radical
scavengers and antioxidants (glutathione, ascorbic acid) and nitric
oxide synthase substrate (L-arginine) providing a favorable environment
and cellular support during ex vivo storage.\139\ The same study also
indicated that these three ingredients were chosen because of their
putative effect on endothelial cell function and that their use may act
synergistically to enhance the cell preservation properties of the
solution. The authors of the study asserted that glutathione increases
L-arginine transport in endothelial cells and may lead to the formation
of biologically active S-nitrosoglutathione and to the stimulation of
endothelial nitric oxide synthase (eNOS) activity, nitric oxide
generation, and coronary vasodilatation. According to the authors,
ascorbic acid also increases eNOS activity by preserving endothelium-
derived nitric oxide bioactivity by possibly scavenging superoxide
anions and preventing oxidative destruction of tetrahydrobiopterin, an
eNOS cofactor. Furthermore, according to the study, the presence of
ascorbic acid in a physiologic saline solution may prevent the
oxidation of this eNOS cofactor during vessel storage and help maintain
eNOS function and nitric oxide generation in vascular endothelium. The
study authors also noted that ascorbic acid, by its reducing property,
may assist sustained long-term release of nitric oxide from these
compounds in vessels preserved in a physiologic saline solution and,
therefore, help maintain the patency and tone of the vessels during
storage. Additionally, according to the authors of the study, ascorbic
acid mediated reversal of endothelial dysfunction, reduced platelet
activation and leukocyte adhesion, inhibited smooth muscle cell
proliferation and lipid peroxidation, and increased prostacyclin
production which have been demonstrated in numerous cardiovascular
pathologies. Finally, the authors stated that L-arginine is a known
substrate of nitric oxide synthase and has been shown to decrease
neutrophil-endothelial cell interactions in inflamed vessels.\140\
---------------------------------------------------------------------------
\139\ Thatte, H.S., Biswas, K.S., Najjar, S.F., Birjiniuk, V.,
Crittenden, M.D., Michel, T., and Khuri, S.F., ``Multi-Photon
Microscopic valuation of Saphenous Vein Endothelium and Its
Preservation With a New Solution, GALA.'' Annals Thoracic Surgery,
2003, vol. 75, pp. 1145-52.
\140\ Ibid.
---------------------------------------------------------------------------
Regarding the second criterion, whether a product is assigned to
the same or different MS-DRG, according to the applicant, cases
involving patients who may be eligible to receive treatment involving
DuraGraft[supreg] would be assigned to the same MS-DRGs as patients who
received treatment involving heparinized blood, saline, and electrolyte
solutions.
Regarding the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, the applicant
indicated that heparinized blood, saline and electrolyte solutions
involve treatment of the same disease process and the same patient
population as DuraGraft[supreg].
Based on the applicant's statements presented above, we are
concerned that the mechanism of action of DuraGraft[supreg] may be the
same or similar to other vein graft storage solutions. Specifically, we
are concerned that current solutions used in vein graft surgical
procedures may be similar to DuraGraft[supreg] in composition and
treatment indication and, therefore, have the same or similar mechanism
of action. We are inviting public comments on whether the
DuraGraft[supreg] meets the newness criterion.
With regard to the cost criterion, the applicant conducted the
following analysis to demonstrate that the technology meets the cost
criterion. In order to identify the range of MS-DRGs that cases
representing potential patients who may be eligible for treatment using
DuraGraft[supreg] may map to, the applicant identified all MS-DRGs for
patients who underwent CABG. Specifically, the applicant searched the
FY 2017 MedPAR file for Medicare fee-for-service inpatient hospital
claims submitted between October 1, 2016 and September 30, 2017, and
identified potential cases that may be eligible for treatment using
DuraGraft[supreg] by the following ICD-10-PCS procedure codes:
[[Page 19308]]
------------------------------------------------------------------------
ICD-10-PCS procedure code Code description
------------------------------------------------------------------------
021009W................... Bypass coronary artery, one artery from
aorta with autologous venous tissue, open
approach.
02100AW................... Bypass coronary artery, one artery from
aorta with autologous arterial tissue, open
approach.
021049W................... Bypass coronary artery, one artery from
aorta with autologous venous tissue,
percutaneous endoscopic approach.
02104AW................... Bypass coronary artery, one artery from
aorta with autologous arterial tissue,
percutaneous endoscopic approach.
021109W................... Bypass coronary artery, two arteries from
aorta with autologous venous tissue, open
approach.
02110AW................... Bypass coronary artery, two arteries from
aorta with autologous arterial tissue, open
approach.
021149W................... Bypass coronary artery, two arteries from
aorta with autologous venous tissue,
percutaneous endoscopic approach.
02114AW................... Bypass coronary artery, two arteries from
aorta with autologous arterial tissue,
percutaneous endoscopic approach.
021209W................... Bypass coronary artery, three arteries from
aorta with autologous venous tissue, open
approach.
02120AW................... Bypass coronary artery, three arteries from
aorta with autologous arterial tissue, open
approach.
021249W................... Bypass coronary artery, three arteries from
aorta with autologous venous tissue,
percutaneous endoscopic approach.
02124AW................... Bypass coronary artery, three arteries from
aorta with autologous arterial tissue,
percutaneous endoscopic approach.
021309W................... Bypass coronary artery, four or more
arteries from aorta with autologous venous
tissue, open approach.
02130AW................... Bypass coronary artery, four or more
arteries from aorta with autologous
arterial tissue, open approach.
021349W................... Bypass coronary artery, four or more
arteries from aorta with autologous venous
tissue, percutaneous endoscopic approach.
02134AW................... Bypass coronary artery, four or more
arteries from aorta with autologous
arterial tissue, percutaneous endoscopic
approach.
------------------------------------------------------------------------
This resulted in potential eligible cases spanning 100 MS-DRGs,
with approximately 93 percent of all of these potential cases, 66,553,
mapping to the following 10 MS-DRGs:
------------------------------------------------------------------------
MS-DRG MS-DRG title
------------------------------------------------------------------------
MS-DRG 003................ Extracorporeal Membrane Oxygenation (ECMO)
or Tracheostomy with Mechanical Ventilation
>96 Hours or Principal Diagnosis Except
Face, Mouth & Neck with Major Operating
Room Procedure.
MS-DRG 216................ Cardiac Valve and Other Major Cardiothoracic
Procedures with Cardiac Catheterization
with MCC.
MS-DRG 219................ Cardiac Valve and Other Major Cardiothoracic
Procedures without Cardiac Catheterization
with MCC.
MS-DRG 220................ Cardiac Valve and Other Major Cardiothoracic
Procedures without Cardiac Catheterization
with CC.
MS-DRG 228................ Other Cardiothoracic Procedures with MCC.
MS-DRG 229................ Other Cardiothoracic Procedures without CC.
MS-DRG 233................ Coronary Bypass with Cardiac Catheterization
with MCC.
MS-DRG 234................ Coronary Bypass with Cardiac Catheterization
without MCC.
MS-DRG 235................ Coronary Bypass without Cardiac
Catheterization with MCC.
MS-DRG 236................ Coronary Bypass without Cardiac
Catheterization without MCC.
------------------------------------------------------------------------
Using the 66,553 identified cases, the average case-weighted
unstandardized charge per case was $212,885. The applicant then
standardized the charges. The applicant did not remove charges for any
current treatment because the applicant indicated that there are no
other current treatment options available. The applicant noted that it
did not provide an inflation factor to project future charges. The
applicant added $2,751 in charges for the costs of the
DuraGraft[supreg] technology. This charge was created by assuming the
DuraGraft[supreg] technology will cost $850 per unit as estimated by
the applicant, and by applying the national average CCR for implantable
devices of 0.309 from the FY 2019 IPPS/LTCH PPS final rule (83 FR
41273) to the cost of the device. According to the applicant, no
further charges or related charges were added. Based on the FY 2019
IPPS/LTCH PPS final rule correction notice data file thresholds, the
average case-weighted threshold amount was $172,965. The final average
case-weighted standardized charge per case was $195,799. Because the
final average case-weighted standardized charge per case exceeds the
average case-weighted threshold amount, the applicant maintained that
the technology meets the cost criterion. We are inviting public
comments on whether DuraGraft[supreg] meets the cost criterion.
With respect to the substantial clinical improvement criterion, the
applicant asserted that the use of DuraGraft[supreg] significantly
reduces clinical complications, such as MI, repeat revascularization
and MACE, associated with VGF following CABG surgery. The applicant
cited the following studies and report, each of which is summarized
below, to substantiate its assertions regarding substantial clinical
improvement: (1) Project of Ex-vivo Vein Graft Engineering via
Transfection (PREVENT IV) Subanalysis; (2) European Retrospective Pilot
Study (unpublished); (3) U.S. Department of Veterans Affairs (USDVA)
Hospital Retrospective Study; and (4) the SWEDEHEART 2016 Annual
Report.
PREVENT IV is a prospective study that enrolled 3,000 patients and
included protocol driven angiograms at 12 months post-CABG, as opposed
to clinically-driven angiograms to evaluate the true incidence of VGF
following CABG surgery where standard-of-care solutions were used.\141\
Harskamp, et al. conducted subanalyses of the study data and found from
dozens of factors evaluated for impact on the development of 12-month
VGF (VGF was defined as a stenosis of the vein graft diameter of 75
percent or greater) that exposure to solutions used in PREVENT IV
(saline, blood, or buffered saline) for intra-operative graft wetting
and storage have the largest correlation with the development of
VGF.142 143
[[Page 19309]]
According to the applicant, short-term exposure of free vascular grafts
to these solutions is routine in CABG operations, where 10 minutes to 3
hours may elapse between the vein harvest and
reperfusion.144 145 According to Harskamp, et al., the
results of the PREVENT IV study showed that the majority of patients
had grafts preserved in saline, 1,339 patients (44.4 percent), followed
by 971 patients (32.2 percent) with grafts preserved in blood, and 507
patients (16.8 percent) with grafts preserved in buffered saline. One-
year VGF rates were much lower in the patients who were treated in the
buffered saline group than in the patients who were treated in the
saline group (patient-level odds ratio [OR], 0.59 [95 percent CI, 0.45-
0.78; P<.001]; graft-level OR, 0.63 [95 percent CI, 0.49-0.79; P<.001])
or in the patients who were treated in the blood group (patient-level
OR, 0.62 [95 percent CI, 0.46-0.83; P=.001]; graft-level OR, 0.63 [95
percent CI, 0.48-0.81; P<.001]), and the use of buffered saline
solution also tended to be associated with a lower 5-year risk for
death, MI or subsequent revascularization compared with saline (hazard
ratio, 0.81 [95 percent CI, 0.46-0.83; P=.001]; graft-level OR, 0.63
[95 percent CI, 0.48-0.81; P<.001]).\146\ The applicant asserted that
the results from the PREVENT IV subanalyses support the notion that
unlike DuraGraft[supreg], standard-of-care solutions heparinized saline
and heparinized autologous blood used for intra-operative graft wetting
and storage, were never designed to protect vascular grafts and have
also demonstrated an inability to protect against ischemic injury,
actively harming the graft endothelium as
well.147 148 149 150
---------------------------------------------------------------------------
\141\ Alexander, J.H., Hafley, G., Harrington, R.A., et al.,
``Efficacy and safety of Edifoligide, an E2F Transcription Factor
Decoy, for Prevention of Vein Graft Failure Following Coronary
Artery Bypass Graft Surgery: PREVENT IV: A Randomized Controlled
Trial,'' JAMA, 2005, vol. 294, pp. 2446-54.
\142\ Harskamp, R.E., Alexander, J.H., Schulte, P.J., Brophy,
C.M., Mack, M.J., Peterson, E.D., Williams, J.B., Gibson, C.M.,
Califf, R.M., Kouchoukos, N.T., Harrington, R.A., Ferguson, Jr.,
T.B., Lopes, R.D., ``Vein Graft Preservation Solutions, Patency, and
Outcomes After Coronary Artery Bypass Graft Surgery Follow-up From
PREVENT IV Randomized Clinical Trial,'' JAMA Surg., 2014, vol.
149(8), pp. 798-805.
\143\ Hess, C.N., Lopes, R.D., Gibson, C.M., et al., ``Saphenous
vein graft failure after coronary artery bypass surgery: insights
from PREVENT IV,'' Circulation, 2014 Oct 21, vol. 130(17), pp. 1445-
51.
\144\ Motwani, J.G., Topol, E.J., ``Aortocoronary saphenous vein
graft disease: pathogenesis, predisposition and prevention,''
Circulation, 1998, vol. 97(9), pp. 916-31.
\145\ Mills, N.L., Everson, C.T., ``Vein graft failure,'' Curr
Opin Cardiol, 1995, vol. 10, pp. 562-8.
\146\ Harskamp, R.E., Alexander, J.H., Schulte, P.J., Brophy,
C.M., Mack, M.J., Peterson, E.D., Williams, J.B., Gibson, C.M.,
Califf, R.M., Kouchoukos, N.T., Harrington, R.A., Ferguson, Jr.,
T.B., Lopes, R.D., ``Vein Graft Preservation Solutions, Patency, and
Outcomes After Coronary Artery Bypass Graft Surgery Follow-up From
PREVENT IV Randomized Clinical Trial,'' JAMA Surg., 2014, vol.
149(8), pp. 798-805.
\147\ Ibid.
\148\ Weiss, D.R., et al., ``Extensive deendothelialization and
thrombogenicity in routinely prepared vein grafts for coronary
bypass operations: facts and remedy,'' Int J Clin Exp Med, 2009;
vol. 2, pp. 95-113.
\149\ Wilbring, M., Tugtekin, S.M., Zatschler, B., Ebner, A.,
Reichenspurner, H., Matschke, K., Deussen, A., ``Even short-time
storage in physiological saline solution impairs endothelial
vascular function of saphenous vein grafts,'' Eur J Cardiothorac
Surg., 2011 Oct, vol. 40(4), pp. 811-815.
\150\ Thatte, H.S., Biswas, K.S., Najjar, S.F., Birjiniuk, V.,
Crittenden, M.D., Michel, T., and Khuri, S.F., ``Multi-Photon
Microscopic valuation of Saphenous Vein Endothelium and Its
Preservation With a New Solution, GALA.'' Annals Thoracic Surgery,
2003, vol. 75, pp. 1145-52.
---------------------------------------------------------------------------
In order to assess clinical outcomes associated with the use of
DuraGraft[supreg], the applicant opted to use readily available
databases associated with two hospitals that had noncommercial access
to the product through hospital pharmacies and, therefore, had real
world use of DuraGraft[supreg] treatment. The two retrospective cohort
studies, the European Retrospective Pilot Study and the USDVA Hospital
Retrospective Study, used these data bases to evaluate the
effectiveness and safety of the use of DuraGraft[supreg] during CABG
surgical procedures for post-CABG clinical complications associated
with VGF, including MI, repeat revascularization and MACE.
The European Retrospective Pilot Study (which was a feasibility
study) was a retrospective study conducted to assess the safety and
efficacy of DuraGraft[supreg] treatment on both short (less than 30
days) and long-term (greater than or equal to 30 days and up to 5
years) clinical outcomes. This study became the basis for the design of
a larger retrospective study conducted at the USDVA Hospital, discussed
below. The feasibility study is unpublished.
The European Retrospective Pilot study is a single-center clinical
study of CABG patients to evaluate the potential benefits of
DuraGraft[supreg] treatment as compared to a no-treatment control group
(saline). The investigator, who prepared the analysis, remained blinded
to individual patient data. A total of 630 patients who underwent
elective and isolated CABG surgery with at least one saphenous vein
graft between January 2002 and December 2008 were included. Eligibility
criteria were: (1) Patients with first-time CABG surgery in which at
least one vein graft was used; and (2) patients with in-situ internal
mammary artery (IMA) graft(s) only (no saphenous vein or free arterial
grafts). The single patient exclusion criteria were concomitant valve
surgery and/or aortic aneurysm repair. The institutional review board
of the University Health Alliance (UHA) approved the protocol, and
patients gave written informed consent for their follow-up. The no-
treatment control group (saline) included 375 patients who underwent
CABG surgery from January 2002 to May 2005, and the DuraGraft[supreg]
treatment group included 255 patients who underwent CABG surgery from
June 2005 to December 2008. During long-term follow-up, 5 patients were
lost to follow-up, and 10 patients died before the 30-day follow-up.
Therefore, a total of 247 patients from the DuraGraft[supreg] treatment
group (97 percent) and 368 patients from the no-treatment control group
(saline) (98 percent) were available for the long-term analysis.
Patients undergoing CABG surgery whose vascular grafts were treated
intra-operatively with DuraGraft[supreg] demonstrated no statistically
significant differences in MACE within the first 30 days following CABG
surgery. According to the applicant, these data suggest that
DuraGraft[supreg] treatment is at least as safe as the standard-of-care
used in CABG surgeries. Long-term outcomes between the two groups were
not statistically different. However, also according to the applicant,
a consistent numerical trend toward improved clinical outcomes for the
DuraGraft[supreg] treatment group compared to the no-treatment control
(saline) group was clearly identified. Although statistically
insignificant, there was a consistent reduction observed in the rates
for multiple endpoints such as all-cause death, MI, MACE, and
revascularization. This study found reductions in DuraGraft[supreg]-
treated grafts relative to saline for revascularization (57 percent),
MI (70 percent), MACE (37 percent), and all-cause death (23 percent)
compared to standard-of-care (heparinized saline/blood) through 5 years
follow-up. According to the applicant, based on the small sample size
for this evaluation of less than 630 patients and the known frequencies
of these events following CABG surgeries, statistical differences were
not expected. A subsequent post-hoc analysis also was performed by the
researchers at CHU Angers to evaluate whether any long-term clinical
variables (such as dual antiplatelet therapy, beta-blockers,
angiotensin receptor-blockers, statins, diabetes, lifestyle and other
factors) had any impact on the clinical outcomes of the study. The
conclusions of the post-hoc analyses were that the assessed long-term
clinical variables did not impact the clinical study outcomes.
The second study, the USDVA Hospital Retrospective Study, was an
unpublished, independent PI initiated, single-center, multi-surgeon,
retrospective, comparative (DuraGraft[supreg] vs. Saline) clinical
trial, which was conducted to assess the safety and impact of
DuraGraft[supreg] treatment on both short and long-term clinical
outcomes in patients who underwent isolated CABG surgery with saphenous
vein grafts (SVGs) at the Boston (West Roxbury) VA
[[Page 19310]]
Medical Center between 1996 and 2004. From 1996 through 1999,
DuraGraft[supreg] treatment was not available and heparinized saline
was routinely used to wet and store grafts. From 2001 through 2004, the
Boston VA Medical Center began exclusively using DuraGraft[supreg],
which was prepared by the hospital's pharmacy. The applicant
highlighted that 2000 data was omitted from this analysis by the PI due
to the transition into the use of DuraGraft[supreg] and the uncertainty
of whether DuraGraft[supreg] or heparinized saline was used in CABG
patients during the transition period. Short-term clinical outcomes
were defined as perioperative and early post-operative events occurring
within the first 30 days after CABG including perioperative MI,
prolonged ventilation time (greater than 48 hours), prolonged time in a
coma (greater than 24 hours), renal failure, and death. Long-term
clinical outcomes were defined as events occurring greater than 30 days
after CABG including the need for repeat revascularization (that is,
repeat CABG or percutaneous coronary intervention [PCI]), non-fatal
acute MI (NFMI), all-cause death, and a composite of these MACE. The
primary study outcome was repeat revascularization, and the secondary
outcomes included MACE, NFMI, and all cause death.
According to the applicant, although the study represents the non-
contemporaneous use of saline and DuraGraft[supreg], the potential
effect of ``time of CABG'' on outcomes was minimized in large part by
the fact that this was a single-center study in which the same surgeons
performed surgeries throughout the timeframe of this study.
Additionally, the applicant explained that published evidence
(including evidence collected from the same center) indicates that
outcomes from CABG surgery such as mortality, MI, and repeat
revascularization have not changed significantly between the time of
this study and the present day, suggesting that surgical and medical
improvements, differences in patient selection, and other factors which
may have occurred over the timeframe of the study likely had little
influence over the study results and, therefore, the statistically
significant differences that were observed are due to ``study article''
effect.151 152 153
---------------------------------------------------------------------------
\151\ Goldman, S., Zadina, K., Mortiz, T., et al., ``Long-term
patency of saphenous vein and left internal mammary grafts after
coronary artery bypass surgery: results from a Department of
Veterans Affairs Cooperative Study,'' J Am Coll Cardiol, 2004, vol.
44, pp. 2149-2156.
\152\ Granger, D.N. and Kvietys, P.R., ``Reperfusion Injury and
Reactive Oxygen Species: The Evolution of a Concept.'' Redox Biol.
2015 Dec; 6: 524-551. Published online 2015 Oct 8. doi: 10.1016/
j.redox.2015.08.020.
\153\ Guibert, E.E., Petrenko, A.Y., Balaban, C.L., Somov, A.Y.,
Rodriguez, J.V., and Fuller, B.J., ``Organ Preservation: Current
Concepts and New Strategies for the Next Decade,'' Transfus Med
Hemother, 2011, vol. 38, pp. 125-142.
---------------------------------------------------------------------------
Data were extracted from a total of 2,436 patients who underwent a
CABG procedure with at least 1 SVG from 1996 through 1999 (saline
control n=1,400 patients) and 2001 through 2004 (DuraGraft[supreg]
treatment n=1,036 patients). Patients were excluded from the study if
they had a prior history of CABG, had no use of SVG, or underwent
additional procedures during the CABG surgery.
Review of patient characteristics between the two treatment arms
found the median age for the control group was 66 years old and 67
years old for the DuraGraft[supreg] treatment group. Mean follow-up in
the control treatment group was 9.95.6 years and 8.54.2 years for the DuraGraft[supreg] treatment group.
Short-term clinical outcomes showed frequencies for individual
outcomes were low, at less than 5 percent for both treatment groups.
However, according to the applicant, there was a statistically
significant 77 percent reduction of perioperative MI in the
DuraGraft[supreg] group compared to the saline group, which may have
indicated a potential short-term benefit related to preserving the
endothelium.
Long-term clinical outcomes for patients treated with
DuraGraft[supreg] compared to saline showed DuraGraft[supreg] patients
with significantly lower risk of repeat revascularization (primary
endpoint), non-fatal MI, and MACE outcomes. According to the applicant,
the frequency of repeat revascularization was significantly lower after
DuraGraft[supreg] treatment starting at 1,000 days onwards with a
statistically significant adjusted 35 percent risk reduction.
Additionally, the applicant noted that the use of DuraGraft[supreg] was
associated with significantly lower risk for non-fatal MI beginning at
30 days post CABG with an adjusted risk reduction of 36 percent
(HR:0.687; 95 percent CI: 0.499, 0.815; p=0.0003). This effect was even
more profound at 1,000 days onward, with a statistically significant
risk reduction of up to 45 percent. Finally, the applicant noted that
the occurrence of MACE was significantly reduced after
DuraGraft[supreg] treatment, with an adjusted risk reduction of 19
percent starting at 1,000 days after CABG. Both crude and inverse
probability weighting (IPW) adjusted models for these long-term
outcomes were summarized. Long-term mortality was comparable between
treatment groups: neither the crude nor IPW-adjusted model showed a
significant association between DuraGraft[supreg] exposure and time to
death, either beginning 30 days or 1,000 days after initial CABG
surgery. According to the applicant, this study supports not only
safety, but also improved long-term clinical outcomes in
DuraGraft[supreg]-treated CABG patients.
According to the applicant, the data collected from this
statistically-powered USDVA Hospital Retrospective Study are consistent
with data collected in the European Retrospective Pilot Study in which
trend toward reductions of MI, repeat revascularization, and MACE were
observed in the DuraGraft[supreg] treatment group, lending confidence
that the observed trends in this study, as well as the European
Retrospective Pilot Study, represent real differences associated with
DuraGraft[supreg] use.
The applicant also referenced data from the SWEDEHEART 2016 Annual
Report, a report on data extracted from the Swedish Cardiac Surgery
Registry, to assess whether changes in the surgical procedure and post-
op medications over the timeline of the USDVA Hospital Retrospective
Study could have impacted the clinical outcomes. The applicant believed
that these mortality data, which overlapped with the timeframe of the
USDVA Hospital Retrospective Study, would provide an indication of
whether such changes in the CABG procedure occurred over the relevant
time period.
The applicant stated that the SWEDEHEART 2016 Annual Report was
published in 2017 and documented a fairly constant mortality rate
between 1995 and 2005 (we refer readers to the table below), which
overlapped the timeframe of the USDVA Hospital Retrospective Study
(1996 through 2004). The applicant noted that the data from the
SWEDEHEART 2016 Annual Report was extracted from the Swedish Cardiac
Surgery Registry, which collects data from all centers that are
performing, or have been performing, cardiac surgery in Sweden since
1992 and maintains 100 percent of the data covering the number of adult
cardiac surgery procedures. The applicant indicated that mortality data
are derived from the Swedish national population registry and,
therefore, are considered 100 percent complete and accurate. The
applicant noted that the 30-day mortality rate between 1996 and 2004
(the timeframe of the USDVA Hospital Retrospective Study) remained
fairly constant, even with CABG procedures performed by several
different hospitals and surgeons. According to the applicant, these
data indicate that
[[Page 19311]]
changes in the CABG procedure itself over the USDVA Hospital
Retrospective Study time period were not significant enough to impact
post-op mortality.
30-Day Mortality Rate (%) Between 1995 and 2005 Based on SWEDEHEART 2016
Annual Report
------------------------------------------------------------------------
30-day
Year Isolated CABD mortality rate
volume (%)
------------------------------------------------------------------------
1995.................................... 6,001 1.9
1996.................................... 6,283 2.2
1997.................................... 5,076 1.7
1998.................................... 5,797 2
1999.................................... 5,504 1.9
2000.................................... 5,478 2.2
2001.................................... 5,696 1.8
2002.................................... 5,645 1.9
2003.................................... 5,245 1.9
2004.................................... 4,868 2
2005.................................... 4,264 1.7
------------------------------------------------------------------------
According to the applicant, the European Retrospective Pilot Study
and the USDVA Hospital Study demonstrated an association of reduced
risk of non-fatal MI, repeat revascularization, and MACE with
DuraGraft[supreg] treatment. However, we have a number of concerns
relating to whether these results support a finding of substantial
clinical improvement. We note that these studies are unpublished and
consist of a retrospective design, which may contribute to potential
sources of error such as confounding and bias. Moreover, the studies do
not account for other variables that may affect vein integrity such as
method of vein harvest, vein distention pressure, and controlling for
the use of glycoprotein (GP) IIb/IIIa inhibitors.154 155
---------------------------------------------------------------------------
\154\ King, S., Short, M., Harmon, C., ``Glycoprotein IIb/IIIa
inhibitors: the resurgence of tirofiban,'' Vascul Pharmacol, 2016
March; vol. 78, pp. 10-16.
\155\ Harskamp, R.E., Hoedemaker, N., Newby, L.K., Woudstra, P.,
Grundeken, M.J., Beijk, M.A., Piek, J.J., Tijssen, J.G., Mehta,
R.H., de Winter, R.J., ``Procedural and clinical outcomes after use
of the glycoprotein IIb/IIIa inhibitor abciximab for saphenous vein
graft interventions,'' Cardiovasc Revasc Med, 2016 Jan-Feb, vol.
17(1), pp. 19-23. Epub 2015 Oct 31. PMID: 26626961.
---------------------------------------------------------------------------
With regard to the European Retrospective Pilot study,
specifically, we are concerned that there are no defined primary and
secondary long-term outcomes, no statistical plans to incorporate
adjustments for multiple comparisons, and no power calculations for the
expected differences in endpoints that would be biologically important.
Furthermore, we are concerned that saline was used as the control, as
opposed to buffered saline, which at the time was considered to be more
effective than saline and, therefore, may have been a more optimal
comparator.\156\ We also are concerned that certain information was not
available, including mean follow-up, patient-years follow-up and loss-
to-follow-up. Finally, the study did not appear to convey any
statistical differences for any of the short-term or long-term
endpoints.
---------------------------------------------------------------------------
\156\ Williams, J.B., Harskamp, R.E., Bose, S., Lawson, J.H.,
Alexander, J.H., Smith, P.K., Lopes, R.D., ``The Preservation and
Handling of Vein Grafts in Current Surgical Practice: Findings of a
Survey Among Cardiovascular Surgeons of Top-Ranked US Hospitals,''
JAMA Surg, 2015 Jul, vol. 150(7), pp. 681-3. PMID: 25970819.
---------------------------------------------------------------------------
With regard to the USDVA Hospital Retrospective Study, we note that
this study used heparinized saline as the comparator rather than
buffered saline. According to a survey published in 2015 of 90 major
U.S. medical centers, 40 percent were using buffered saline.\157\ Also,
we are concerned that the study population was limited to USDVA
hospital patients and was overwhelmingly white (95 percent) males (99
percent), due to the demographics available through the USDVA hospital
data source. We are concerned that this may affect the completeness of
the study and raise questions as to whether the data and results are
generalizable to other patient groups, to include, as acknowledged by
the applicant, nonveterans, women, and other racial/ethnic groups. We
also note that patients in the heparinized saline arm appeared to have
more comorbidities, more vein grafts, fewer arterial grafts and more
time on cardiopulmonary bypass as compared to the DuraGraft[supreg]
treatment arm suggesting there may have been differences in the health
of the patients in the two treatment arms prior to participation in the
study. Without more context explaining the cause of each of these
characteristics it may be difficult to substantiate the validity of the
study results. We also believe that it would have been helpful to
include coronary imaging studies with the results of the USDVA Hospital
Retrospective Study to correlate MI and revascularizations with vein
grafts. Without data from such studies, it is more difficult to
associate the solutions with the repeat revascularization outcomes.
---------------------------------------------------------------------------
\157\ Ibid.
---------------------------------------------------------------------------
Furthermore, in the FY 2019 IPPS/LTCH PPS proposed rule (83 FR
20308) we noted our concern regarding the timeframe differences in the
saline and DuraGraft[supreg] arms in the USDVA Hospital Retrospective
Study. As discussed earlier in this section, the applicant expressed
that, although the USDVA Hospital Retrospective Study represents the
non-contemporaneous use of saline and DuraGraft[supreg], the potential
effect of ``time of CABG'' on outcomes was minimized in large part by
the fact that this was a single-center study in which the same surgeons
performed surgeries throughout the timeframe of this study. The
applicant also expressed that outcomes from CABG surgery such as
mortality, MI, and repeat revascularization have not changed
significantly between the time of the USDVA Hospital Retrospective
Study and the present day, suggesting that surgical and medical
improvements that may have occurred over the timeframe of the study
likely had little influence over the study results and, therefore, the
statistically significant differences that were observed are due to
``study article'' effect.158 159 160 We appreciate the
[[Page 19312]]
applicant identifying and speaking to this concern, as it was raised by
CMS in the FY 2019 IPPS/LTCH PPS proposed rule. However, we remain
concerned that the timeframe differences between the saline and
DuraGraft[supreg] arms in the USDVA Hospital Retrospective Study were
not accounted for in the analysis of the retrospective data taken from
the study.
---------------------------------------------------------------------------
\158\ Goldman, S., Zadina, K., Mortiz, T., et al., ``Long-term
patency of saphenous vein and left internal mammary grafts after
coronary artery bypass surgery: results from a Department of
Veterans Affairs Cooperative Study,'' J Am Coll Cardiol, 2004, vol.
44, pp. 2149-2156.
\159\ Granger, D.N. and Kvietys, P.R., ``Reperfusion Injury and
Reactive Oxygen Species: The Evolution of a Concept,'' Redox Biol,
2015 Dec, vol. 6, pp. 524-551. Published online 2015 Oct 8. doi:
10.1016/j.redox.2015.08.020.
\160\ Guibert, E.E., Petrenko, A.Y., Balaban, C.L., Somov, A.Y.,
Rodriguez, J.V., and Fuller, B.J., ``Organ Preservation: Current
Concepts and New Strategies for the Next Decade,'' Transfus Med
Hemother, 2011, vol. 38, pp. 125-142.
---------------------------------------------------------------------------
Additionally, although the applicant provided an explanation about
how to match patients via propensity scores, we are concerned that the
statistical plan did not include adjustments for multiple comparisons
nor did it include power calculations for the expected differences in
endpoints that would be biologically important.
The applicant also provided information from the USDVA Hospital
Retrospective Study that suggested there are a significant number of
MACE-type events in the first 3 years after CABG. However, much of the
long-term data for the control group was missing, in particular, data
related to the first 30 to 999 days post-CABG. Finally, regarding the
secondary long-term-outcome of MACE, we are concerned the study did not
appear to include coronary cardiac mortality, non-coronary cardiac
mortality, and other cardiac morbidity within the definition of MACE.
Also, as discussed above, the applicant referenced data from the
SWEDEHEART 2016 Annual Report, which noted a decline in the number of
CABG procedures (by approximately \1/3\) between 1996 and 2005. It is
unclear what contributed to the decline in CABG procedures during this
time period, particularly because, as the applicant indicated,
mortality rates remained fairly constant throughout this timeframe. We
believe the decline in the number of CABG procedures may also reflect
time-related differences in surgical management.
We are inviting public comments on whether DuraGraft[supreg] meets
the substantial clinical improvement criterion. We did not receive any
written comments in response to the New Technology Town Hall meeting
notice published in the Federal Register regarding the substantial
clinical improvement criterion for DuraGraft[supreg] or at the New
Technology Town Hall meeting.
f. EluviaTM Drug-Eluting Vascular Stent System
Boston Scientific Corporation submitted an application for new
technology add-on payments for the EluviaTM Drug-Eluting
Vascular Stent System for FY 2020. EluviaTM, a drug-eluting
stent for the treatment of lesions in the femoropopliteal arteries,
received FDA premarket approval (PMA) on September 18, 2018.
According to the applicant, the EluviaTM system is a
sustained-release drug-eluting stent indicated for improving luminal
diameter in the treatment of peripheral artery disease (PAD) with
symptomatic de novo or restenotic lesions in the native superficial
femoral artery (SFA) and or proximal popliteal artery (PPA) with
reference vessel diameters (RVD) ranging from 4.0 to 6.0 mm and total
lesion lengths up to 190 mm.
The applicant stated that PAD is a circulatory condition in which
narrowed arteries reduce blood flow to the limbs, usually in the legs.
Symptoms of PAD may include lower extremity pain due to varying degrees
of ischemia, claudication which is characterized by pain induced by
exercise and relieved with rest. According to the applicant, risk
factors for PAD include individuals who are age 70 years old and older;
individuals who are between the ages of 50 years old and 69 years old
with a history of smoking or diabetes; individuals who are between the
ages of 40 years old and 49 years old with diabetes and at least one
other risk factor for atherosclerosis; leg symptoms suggestive of
claudication with exertion, or ischemic pain at rest; abnormal lower
extremity pulse examination; known atherosclerosis at other sites (for
example, coronary, carotid, renal artery disease); smoking;
hypertension, hyperlipidemia, and homocysteinemia.\161\ PAD is
primarily caused by atherosclerosis--the buildup of fatty plaque in the
arteries. PAD can occur in any blood vessel, but it is more common in
the legs than the arms. Approximately 8.5 million people in the United
States have PAD, including 12 to 20 percent of individuals who are age
60 years old and older.\162\
---------------------------------------------------------------------------
\161\ Neschis, David G. & MD, Golden, M., ``Clinical features
and diagnosis of lower extremity peripheral artery disease.''
Available at: https://www.uptodate.com/contents/clinical-features-and-diagnosis-of-lower-extremity-peripheral-artery-disease.
\162\ Centers for Disease Control and Prevention, ``Peripheral
Arterial Disease (PAD) Fact Sheet,'' 2018, Retrieved from https://www.cdc.gov/DHDSP/data_statistics/fact_sheets/fs_PAD.htm.
---------------------------------------------------------------------------
A diagnosis of PAD is established with the measurement of an ankle-
brachial index (ABI) less than or equal to 0.9. The ABI is a comparison
of the resting systolic blood pressure at the ankle to the higher
systolic brachial pressure. Duplex ultrasonography is commonly used, in
conjunction with the ABI, to identify the location and severity of
arterial obstruction.\163\
---------------------------------------------------------------------------
\163\ Berger, J. & Davies, M., ``Overview of lower extremity
peripheral artery disease,'' Retrieved October 29, 2018, from
https://www.uptodate.com/contents/overview-of-lower-extremity-peripheral-artery-disease.
---------------------------------------------------------------------------
Management of the disease is aimed at improving symptoms, improving
functional capacity, and preventing amputations and death. Management
of patients who have been diagnosed with lower extremity PAD may
include medical therapies to reduce the risk for future cardiovascular
events related to atherosclerosis, such as myocardial infarction,
stroke, and peripheral arterial thrombosis. Such therapies may include
antiplatelet therapy, smoking cessation, lipid-lowering therapy, and
treatment of diabetes and hypertension. For patients with significant
or disabling symptoms unresponsive to lifestyle adjustment and
pharmacologic therapy, intervention (percutaneous, surgical) may be
needed. Surgical intervention includes angioplasty, a procedure in
which a balloon-tip catheter is inserted into the artery and inflated
to dilate the narrowed artery lumen. The balloon is then deflated and
removed with the catheter. For patients with limb-threatening ischemia
(for example, pain while at rest and or ulceration), revascularization
is a priority to reestablish arterial blood flow. According to the
applicant, treatment of the SFA is problematic due to multiple issues
including high rate of restenosis and significant forces of
compression.
The applicant describes EluviaTM Drug-Eluting Vascular
Stent System as a sustained-release drug-eluting self-expanding, nickel
titanium alloy (nitinol) mesh stent used to reestablish blood flow to
stenotic arteries. According to the applicant, the EluviaTM
stent is coated with the drug paclitaxel, which helps prevent the
artery from restenosis. The applicant stated that EluviaTM's
polymer-based drug delivery system is uniquely designed to sustain the
release of paclitaxel beyond 1 year to match the restenotic process in
the SFA. According to the applicant, the EluviaTM Stent
System is comprised of: (1) The implantable endoprosthesis; and (2) the
stent delivery system (SDS). On both the proximal and distal ends of
the stent, radiopaque markers made of tantalum increase visibility of
the stent to aid in placement. The tri-axial designed delivery system
consists of an outer shaft to stabilize the stent delivery system, a
middle shaft to protect and constrain the stent, and an inner shaft to
provide a guide wire lumen. The delivery system is compatible with
[[Page 19313]]
0.035 in (0.89 mm) guide wires. The EluviaTM stent is
available in a variety of diameters and lengths. The delivery system is
offered in 2 working lengths (75 cm and 130 cm).
As discussed previously, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would, therefore, not be
considered ``new'' for purposes of new technology add-on payments.
With regard to the first criterion, whether a product uses the same
or a similar mechanism of action to achieve a therapeutic outcome,
according to the applicant, EluviaTM uses a unique mechanism
of action which has not been utilized by previously available medical
devices for treating stenotic lesions in the SFA. The applicant
asserted that the EluviaTM Drug-Eluting Vascular Stent
System is a device/drug combination product composed of an implantable
stent, combined with a polybutyl methacrylate (PBMA) primer layer, a
paclitaxel/polyvinylidene difluoride (PVDF) polymer, and a stent
delivery system. According to the applicant, the polymer carries and
protects the drug before and during the procedure and ensures that the
drug is released into the tissue in a controlled, sustained manner to
prevent restenosis of the vessel. According to the applicant, the
EluviaTM system continues to deliver paclitaxel to combat
restenosis for 12 to 15 months, which involves a novel and distinct
mechanism of action different than other drug-coated balloons or drug-
coated stents that only deliver the drug to the artery for about 2
months. According to the applicant, the PBMA polymer is clinically
proven to permit the sustained release of paclitaxel to achieve a
therapeutic outcome. We note that, the applicant submitted a request
for consideration for approval at the March 2019 ICD-10 Coordination
and Maintenance Committee Meeting for a unique ICD-10-PCS procedure
code to describe procedures which use the EluviaTM stent
system.
With regard to the second criterion, whether a technology is
assigned to the same or a different MS-DRG, the applicant asserted that
patients who may be eligible for treatment using the
EluviaTM system include hospitalized patients who have been
diagnosed with PAD. According to the applicant, these potential cases
may map to multiple MS-DRGs, the most likely being MS-DRGs 252 (Other
Vascular Procedures With MCC), 253 (Other Vascular Procedures With CC)
and 254 (Other Vascular Procedures Without CC/MCC). Potential cases
representing patients who may be eligible for treatment using the
EluviaTM system would be assigned to the same MS-DRGs as
cases representing hospitalized patients who have been diagnosed with
PAD and treated with currently available technologies.
With regard to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population when compared to an
existing technology, according to the applicant, clinical conditions
that may require use of the EluviaTM stent system include
treatment of the same patient population as cases identified with a
variety of diagnosis codes from the ICD-10-CM category I70
(Atherosclerosis) as listed in the table below:
------------------------------------------------------------------------
ICD-10-CM diagnosis code Code description
------------------------------------------------------------------------
I70.201............................. Unspecified atherosclerosis of
native arteries of extremities,
right leg.
I70.202............................. Unspecified atherosclerosis of
native arteries of extremities,
left leg.
I70.203............................. Unspecified atherosclerosis of
native arteries of extremities,
bilateral legs.
I70.208............................. Unspecified atherosclerosis of
native arteries of extremities,
other extremity.
I70.209............................. Unspecified atherosclerosis of
native arteries of extremities,
unspecified extremity.
I70.211............................. Atherosclerosis of native arteries
of extremities with intermittent
claudication, right leg.
I70.212............................. Atherosclerosis of native arteries
of extremities with intermittent
claudication, left leg.
I70.213............................. Atherosclerosis of native arteries
of extremities with intermittent
claudication, bilateral legs.
I70.218............................. Atherosclerosis of native arteries
of extremities with intermittent
claudication, other extremity.
I70.219............................. Atherosclerosis of native arteries
of extremities with intermittent
claudication, unspecified
extremity.
I70.221............................. Atherosclerosis of native arteries
of extremities with rest pain,
right leg.
I70.222............................. Atherosclerosis of native arteries
of extremities with rest pain,
left leg.
I70.223............................. Atherosclerosis of native arteries
of extremities with rest pain,
bilateral legs.
I70.228............................. Atherosclerosis of native arteries
of extremities with rest pain,
other extremity.
I70.229............................. Atherosclerosis of native arteries
of extremities with rest pain,
unspecified extremity.
I70.231............................. Atherosclerosis of native arteries
of right leg with ulceration of
thigh.
I70.232............................. Atherosclerosis of native arteries
of right leg with ulceration of
calf.
I70.233............................. Atherosclerosis of native arteries
of right leg with ulceration of
ankle.
I70.234............................. Atherosclerosis of native arteries
of right leg with ulceration of
heel and midfoot.
I70.235............................. Atherosclerosis of native arteries
of right leg with ulceration of
other part of foot.
I70.238............................. Atherosclerosis of native arteries
of right leg with ulceration of
other part of lower right leg.
I70.239............................. Atherosclerosis of native arteries
of right leg with ulceration of
unspecified site.
I70.241............................. Atherosclerosis of native arteries
of left leg with ulceration of
thigh.
I70.242............................. Atherosclerosis of native arteries
of left leg with ulceration of
calf.
I70.243............................. Atherosclerosis of native arteries
of left leg with ulceration of
ankle.
I70.244............................. Atherosclerosis of native arteries
of left leg with ulceration of
heel and midfoot.
I70.245............................. Atherosclerosis of native arteries
of left leg with ulceration of
other part of foot.
I70.248............................. Atherosclerosis of native arteries
of left leg with ulceration of
other part of lower left leg.
I70.249............................. Atherosclerosis of native arteries
of left leg with ulceration of
unspecified site.
I70.25.............................. Atherosclerosis of native arteries
of other extremities with
ulceration.
I70.261............................. Atherosclerosis of native arteries
of extremities with gangrene,
right leg.
I70.262............................. Atherosclerosis of native arteries
of extremities with gangrene,
left leg.
I70.263............................. Atherosclerosis of native arteries
of extremities with gangrene,
bilateral legs.
I70.268............................. Atherosclerosis of native arteries
of extremities with gangrene,
other extremity.
I70.269............................. Atherosclerosis of native arteries
of extremities with gangrene,
unspecified extremity.
I70.291............................. Other atherosclerosis of native
arteries of extremities, right
leg.
I70.292............................. Other atherosclerosis of native
arteries of extremities, left
leg.
I70.293............................. Other atherosclerosis of native
arteries of extremities,
bilateral legs.
[[Page 19314]]
I70.298............................. Other atherosclerosis of native
arteries of extremities, other
extremity.
I70.299............................. Other atherosclerosis of native
arteries of extremities.
------------------------------------------------------------------------
The applicant asserted that the EluviaTM stent is not
substantially similar to any existing technology because it uses a
unique mechanism of action, when compared to existing technologies, to
achieve a therapeutic outcome and, therefore, meets the newness
criterion.
We are concerned as to whether the polymer drug carrier system that
the EluviaTM system uses is, in fact, a new mechanism of
action as compared to stents that contain paclitaxel without the
carrier polymer. We are concerned that the EluviaTM device
may have a mechanism of action similar to the paclitaxel-coated
Zilver[supreg] Drug-Eluting Peripheral Stent, which is indicated for
improving luminal diameter for the treatment of de novo or restenotic
symptomatic lesions in native vascular disease of the above-the-knee
femoropopliteal arteries having reference vessel diameter from 4 mm to
7 mm and total lesion lengths up to 300 mm per patient. We are inviting
public comments on whether the EluviaTM system is
substantially similar to existing technology and whether it meets the
newness criterion, including with respect to the concerns we have
raised. With regard to the cost criterion, the applicant conducted the
following analysis to demonstrate that the technology meets the cost
criterion.
As noted earlier, the applicant asserted that cases involving the
treatment of PAD, involving treatment of lesions in the femoropopliteal
arteries typically, map to MS-DRGs 252, 253, and 254. The applicant
searched the FY 2017 MedPAR data file in MS-DRGs 252, 253 and 254 for
cases reporting an ICD-10-PCS procedure code for the treatment of
Peripheral BMS or DES, which the applicant believed would represent
cases potentially eligible for the use of the EluviaTM stent
system. The applicant identified 109,747 claims for cases representing
patients who may be eligible for treatment involving the
EluviaTM stent system. The applicant applied the following
trims: Claims paid under GHO (that is, Medicare beneficiaries enrolled
in a Medicare Advantage managed care plan), claims for CAHs, IPFs,
IRFs, LTCHs, Children's, Cancer, and RHNCI hospitals excluding Maryland
acute-care hospitals, claims with total charges or lengths-of-stay of
less than or equal to zero, claims with total charge differing from sum
of charges of the 19 cost groups by greater than $30, providers that do
not have charges greater than $0 for at least 14 of the 19 cost groups,
claims with total charges for the MS-DRG +/-3 standard deviations from
the log mean total charges or charges per day, ``IME only'' claims
submitted by a teaching hospital on behalf of a beneficiary enrolled in
a Medicare Advantage plan, claims with claim types ``61 to 64'' (that
is, claim types that refer to encounter claims, Medicare Advantage IME,
and HMO no-pay claims), and claims for which the applicant was unable
to calculate standardized charges (because the Provider Number
associated with the claim does not appear in the FY 2017 impact file).
This resulted in 73,861 claims across MS-DRGs 252, 253, and 254.
Using the 73,861 claims, the applicant determined an average case-
weighted unstandardized charge per case of $96,232. The applicant
removed all device-related charges and then standardized the charges
for each case and inflated each case's charges by applying the FY 2019
IPPS/LTCH PPS final rule outlier charge inflation factor of 1.08864 (83
FR 41722). (We note that the 2-year charge inflation factor was revised
in the FY 2019 IPPS/LTCH PPS final rule correction notice to 1.08986
(83 FR 49844). We further note that even when using the corrected final
rule values to inflate the charges, the average case-weighted
standardized charge per case for each scenario exceeded the average
case-weighted threshold amount.) The applicant then added charges for
EluviaTM by taking the cost of the device and converting it
to a charge by dividing the costs by the national average CCR of 0.309
for devices from the FY 2019 IPPS/LTCH PPS final rule (83 FR 41273).
The applicant calculated an average case-weighted standardized charge
per case of $86,950 using the percent distribution of MS-DRGs as case-
weights. Based on this analysis, the applicant determined that the
final inflated average case-weighted standardized charge per case for
EluviaTM exceeded the average case-weighted threshold of
$81,518 by $5,432.
The applicant conducted additional analyses to demonstrate it meets
the cost criterion. In these analyses, the applicant repeated the cost
analysis above with one analysis of cases reporting the ICD-10-PCS
procedures codes for Peripheral DES procedures and the other analysis
with cases reporting the ICD-10-PCS procedures codes for Peripheral BMS
procedures. In each of these additional sensitivity analyses, the final
inflated average case-weighted standardized charge per case exceeded
the average case-weighted cost threshold amount. We are inviting public
comments on whether EluviaTM meets the cost criterion.
With regard to the substantial clinical improvement criterion, the
applicant asserted that the EluviaTM Drug-Eluting Vascular
Stent System represents a substantial clinical improvement over
existing technologies because it achieves superior primary patency;
reduces the rate of subsequent therapeutic interventions; decreases the
number of future hospitalizations or physician visits; reduces hospital
readmission rates; reduces the rate of device-related complications;
and achieves similar functional outcomes and EQ-5D index values while
associated with half the rate of target lesion revascularizations
(TLRs).
The applicant submitted the results of the MAJESTIC study, a
single-arm, first-in-human study of EluviaTM. The MAJESTIC
\164\ study is a prospective, multi-center, single-arm, open-label
study. According to the applicant, the MAJESTIC study demonstrated
long-term treatment durability among patients whose femoropopliteal
arteries were treated with the EluviaTM stent. The applicant
asserts that the MAJESTIC study demonstrates the sustained impact of
the EluviaTM stent on primary patency. The MAJESTIC study
enrolled 57 patients who had been diagnosed with symptomatic lower limb
ischemia and lesions in the superficial femoral artery or proximal
popliteal artery. Efficacy measures at 2 years included primary
patency, defined as duplex ultrasound peak systolic velocity ratio of
less than 2.5 and the absence of target lesion revascularization (TLR)
or bypass. Safety monitoring through 3 years included adverse events
and TLR. The
[[Page 19315]]
24-month clinic visit was completed by 53 patients; 52 had Doppler
ultrasound evaluable by the core laboratory, and 48 patients had
radiographs taken for stent fracture analysis. The 3-year follow-up was
completed by 54 patients. At 2 years, 90.6 percent (48/53) of the
patients had improved by 1 or more Rutherford categories as compared
with the pre-procedure level without the need for TLR (when those with
TLR were included, 96.2 percent sustained improvement); only 1 patient
exhibited a worsening in level, 66.0 percent (35/53) of the patients
exhibited no symptoms (category 0) and 24.5 percent (13/53) had mild
claudication (category 1) at the 24-month visit. Mean ABI improved from
0.73 0.22 at baseline to 1.02 0.20 at 12
months and 0.93 0.26 at 24 months. At 24 months, 79.2
percent (38/48) of the patients had an ABI increase of at least 0.1
compared with baseline or had reached an ABI of at least 0.9. The
applicant also noted that at 12 months the Kaplan-Meier estimate of
primary patency was 96.4 percent.
---------------------------------------------------------------------------
\164\ M[uuml]ller-H[uuml]lsbeck, S., et al., ``Long-Term Results
from the MAJESTIC Trial of the Eluvia Paclitaxel-Eluting Stent for
Femoropopliteal Treatment: 3-Year Follow-up,'' Cardiovasc Intervent
Radiol, December 2017, vol. 40(12), pp. 1832-1838.
---------------------------------------------------------------------------
With regard to the EluviaTM stent achieving superior
primary patency, the applicant submitted the results of the IMPERIAL
\165\ study in which the EluviaTM stent is compared, head-
to-head, to the Zilver[supreg] PTX Drug-Eluting stent. The IMPERIAL
study is a global, multi-center, randomized controlled trial consisting
of 465 subjects. Eligible patients were aged 18 years old or older and
had a diagnosis of symptomatic lower-limb ischaemia, defined as
Rutherford Category 2, 3, or 4 and stenotic, restenotic (treated with a
drug-coated balloon greater than 12 months before the study or standard
percutaneous transluminal angioplasty only), or occlusive lesions in
the native superficial femoral artery or proximal popliteal artery,
with at least 1 infrapopliteal vessel patent to the ankle or foot.
Patients had to have stenosis of 70 percent or more (via angiographic
assessment), vessel diameter between 4 mm and 6 mm, and total lesion
length between 30 mm and 140 mm.
---------------------------------------------------------------------------
\165\ Gray, W.A., et al., ``A polymer-coated, paclitaxel-eluting
stent (Eluvia) versus a polymer-free, paclitaxel-coated stent
(Zilver PTX) for endovascular femoropopliteal intervention
(IMPERIAL): A randomised, non-inferiority trial,'' Lancet, September
24, 2018.
---------------------------------------------------------------------------
Patients who had previously stented target lesion/vessels treated
with drug-coated balloon less than 12 months prior to randomization/
enrollment and patients who had undergone prior surgery of the SFA/PPA
in the target limb to treat atherosclerotic disease were excluded from
the study. Two concurrent single-group (EluviaTM only) sub-
studies were done: A non-blinded, non-randomized pharmacokinetic sub-
study and a non-blinded, non-randomized study of patients who had been
diagnosed with long lesions (greater than 140 mm in diameter). The
IMPERIAL study is a prospective, multi-center, single-blinded
randomized, controlled (RCT) non-inferiority trial. Patients were
randomized (2:1) to implantation of either a paclitaxel-eluting polymer
stent (EluviaTM) or a paclitaxel-coated stent
(Zilver[supreg] PTX) after the treating physician had successfully
crossed the target lesion with a guide wire. The primary endpoints of
the study are Major Adverse Events defined as all causes of death
through 1 month, Target Limb Major Amputation through 12 months and/or
Target Lesion Revascularization (TLR) through 12 months and primary
vessel patency at 12 months post-procedure. Secondary endpoints
included the Rutherford categorization, Walking Impairment
Questionnaire, and EQ-5D assessments at 1 month and 6 months post-
procedure. Patient demographic and characteristics were balanced
between EluviaTM stent and Zilver[supreg] PTX stent groups.
The applicant noted that lesion characteristics for the patients in
the EluviaTM stent versus the Zilver[supreg] PTX stent arms
were comparable. Clinical follow-up visits related to the study were
scheduled for 1 month, 6 months, and 12 months after the procedure,
with follow-up planned to continue through 5 years, including clinical
visits at 24 months and 5 years and clinical or telephone follow-up at
3 and 4 years.
The applicant asserted that in the IMPERIAL study the
EluviaTM stent demonstrated superior primary patency over
the Zilver[supreg] PTX stent, 86.8 percent versus 77.5 percent,
respectively (p=0.0144). The non-inferiority primary efficacy endpoint
was also met. The applicant asserts that the SFA presents unique
challenges with respect to maintaining long-term patency. There are
distinct pathological differences between the SFA and coronary
arteries. The SFA tends to have higher levels of calcification and
chronic total occlusions when compared to coronary arteries. Following
an intervention within the SFA, the SFA produces a healing response
which often results in restenosis or re-narrowing of the arterial
lumen. This cascade of events leading to restenosis starts with
inflammation, followed by smooth muscle cell proliferation and matrix
formation.\166\ Because of the unique mechanical forces in the SFA,
this restenotic process of the SFA can continue well beyond 300 days
from the initial intervention. Results from the IMPERIAL study showed
that primary patency at 12 months, by Kaplan-Meier estimate, was
significantly greater for EluviaTM than for Zilver[supreg]
PTX, 88.5 percent and 79.5 percent, respectively (p=0.0119). According
to the applicant, these results are consistent with the 96.4 percent
primary patency rate at 12 months in the MAJESTIC study.
---------------------------------------------------------------------------
\166\ Forrester, J.S., Fishbein, M., Helfant, R., Fagin, J., ``A
paradigm for restenosis based on cell biology: clues for the
development of new preventive therapies,'' J Am Coll Cardiol, March
1, 1991, vol. 17(3), pp. 758-69.
---------------------------------------------------------------------------
The IMPERIAL study included two concurrent single-group
(EluviaTM only) sub-studies: A non-blinded, non-randomized
pharmacokinetic sub-study and a non-blinded, non-randomized study of
patients with long lesions (greater than 140 mm in diameter). For the
pharmacokinetic sub-study, patients had venous blood drawn before stent
implantation and at intervals ranging from 10 minutes to 24 hours post
implantation, and again at either 48 hours or 72 hours post
implantation. The pharmacokinetics sub-study confirmed that plasma
paclitaxel concentrations after EluviaTM stent implantation
were well below thresholds associated with toxic effects in studies in
patients who had been diagnosed with cancer (0.05 [mu]M or ~43 ng/mL).
The IMPERIAL sub-study long lesion subgroup consisted of 50
patients with average lesion length of 162.8 mm that were each treated
with two EluviaTM stents. According to the applicant, 12-
month outcomes for the long lesion subgroup are 87 percent primary
patency and 6.5 percent Target Lesion Revascularization (TLR).
According to the applicant, in a separate subgroup analysis of patients
65 years old and older (Medicare population), the primary patency rate
in the EluviaTM stent group is 92.6 percent, compared to
75.0 percent for the Zilver[supreg] PTX stent group (p=0.0386).
With regard to reducing the rate of subsequent therapeutic
interventions, secondary outcomes in the IMPERIAL study included repeat
re-intervention on the same lesion, target lesion revascularization
(TLR). The rate of subsequent interventions, or TLRs, in the
EluviaTM stent group was 4.5 percent compared to 9.0 percent
in the Zilver[supreg] PTX stent group. The applicant asserted that the
TLR rate in the EluviaTM group represents a substantial
reduction in re-intervention on the target lesion compared to that of
the Zilver[supreg] PTX stent group.
[[Page 19316]]
With regard to decreasing the number of future hospitalizations or
physician visits, the applicant asserted that the substantial reduction
in the lesion revascularization rate led to a reduced need to provide
additional intensive care, distinguishing the EluviaTM group
from the Zilver[supreg] PTX stent group. In the IMPERIAL study,
EluviaTM-treated patients required fewer days of re-
hospitalization. Patients in the EluviaTM group averaged
13.9 days of re-hospitalization for all adverse events compared to 17.7
days of re-hospitalization for patients in the Zilver[supreg] PTX stent
group. Patients in the EluviaTM group were re-hospitalized
for 2.8 days for TLR/Total Vessel Revascularization (TVR) compared to
7.1 days in the Zilver[supreg] PTX stent group. And lastly, patients in
the EluviaTM group were re-hospitalized for 2.7 days for
procedure/device-related adverse events compared to 4.5 days from the
Zilver[supreg] PTX stent group.
With regard to reducing hospital readmission rates, the applicant
asserted that patients treated in the EluviaTM group
experienced reduced rates of hospital readmission following the index
procedure compared to those in the Zilver[supreg] PTX stent group.
Hospital readmission rates at 12 months were 3.9 percent for the
EluviaTM group compared to 7.1 percent for the
Zilver[supreg] PTX stent group. Similar results were noted at 1 and 6
months; 1.0 percent versus 2.6 percent and 2.4 percent versus 3.8
percent, respectively.
With regard to reducing the rate of device-related complications,
the applicant asserted that while the rates of adverse events were
similar in total between treatment arms in the IMPERIAL study, there
were measurable differences in device-related complications. Device-
related adverse-events were reported in 8 percent of the patients in
the EluviaTM group compared to 14 percent of the patients in
the Zilver[supreg] PTX stent group.
Lastly, with regard to achieving similar functional outcomes and
EQ-5D index values, while associated with half the rate of TLRs, the
applicant asserted that narrowed or blocked arteries within the SFA can
limit the supply of oxygen-rich blood throughout the lower extremities,
causing pain or discomfort when walking (claudication). The applicant
further asserted that performing physical activities is often
challenging because of decreased blood supply to the legs, typically
causing symptoms to become more challenging over time unless treated.
While functional outcomes appear similar between the
EluviaTM and Zilver[supreg] PTX stent groups at 12 months,
these improvements for the Zilver[supreg] PTX stent group are
associated with twice as many TLRs to achieve similar EQ-5D index
values.\167\ Secondary endpoints improved after stent implantation and
were generally similar between the groups. At 12 months, of the
patients with complete Rutherford assessment data, 241 (86 percent) of
281 patients in the EluviaTM group and 120 (85 percent) of
142 patients in the Zilver[supreg] PTX group had symptoms reported as
Rutherford Category 0 or 1 (none to mild claudication). The mean ankle-
brachial index was 1.0 (SD 0.2) in both groups at 12 months (baseline
mean ankle-brachial index 0.7 [SD 0.2] for EluviaTM; 0.8
[0.2] for Zilver[supreg] PTX), with sustained hemodynamic improvement
for approximately 80 percent of the patients in both groups. Walking
function improved significantly from baseline to 12 months in both
groups, as measured with the Walking Impairment Questionnaire and the
6-minute walk test. In both groups, the majority of patients had
sustained improvement in the mobility dimension of the EQ-5D and
roughly half had sustained improvement in the pain or discomfort
dimension. No significant between-group differences were observed in
the Walking Impairment Questionnaire, 6-minute walk test, or EQ-5D.
Secondary endpoint results for the EluviaTM stent and
Zilver[supreg] PTX stent groups are as follows:
---------------------------------------------------------------------------
\167\ Gray, W.A., Keirse, K., Soga, Y., et al., ``A polymer-
coated, paclitaxel-eluting stent (Eluvia) versus a polymer-free,
paclitaxel-coated stent (Zilver PTX) for endovascular
femoropopliteal intervention (IMPERIAL): a randomized, non-
inferiority trial,'' Lancet, 2018, published online Sept 22, https://dx.doi.org/10.1016/S0140-6736(18)32262-1.
---------------------------------------------------------------------------
Hemodynamic improvement in walking--80.8 percent versus
78.7 percent;
Walking impairment questionnaire scores (change from
baseline)--40.8 (36.5) versus 35.8 (39.5);
Distance (change from baseline)--33.2 (38.3) versus 29.5
(38.2);
Speed (change from baseline)--18.3 (29.5) versus 18.1
(28.7);
Stair climbing (change from baseline)--19.4 (36.7) versus
21.1 (34.6); and
6-Minute walk test distance (m) (change from baseline)--
44.5 (119.5) versus 51.8 (130.5).
We are concerned that the IMPERIAL study, which showed significant
differences in primary patency at 12 months, was designed for non-
inferiority and not superiority. We also note the results of a recently
published meta-analysis of randomized controlled trials of the risk of
death associated with the use of paclitaxel-coated balloons and stents
in the femoropopliteal artery of the leg, which found that there is
increased risk of death following application of paclitaxel-coated
balloons and stents in the femoropopliteal artery of the lower limbs
and that further investigations are urgently warranted,\168\ although
the EluviaTM system was not included in the meta-analysis.
We are inviting public comments on whether the EluviaTM
system meets the substantial clinical improvement criterion, including
the implications of the conclusion of the meta-analysis results with
respect to a finding of substantial clinical improvement for
EluviaTM.
---------------------------------------------------------------------------
\168\ Katsanos, K., et al., ``Risk of Death Following
Application of Paclitaxel-Coated Balloons and Stents in the
Femoropopliteal Artery of the Leg: A Systematic Review and Meta-
Analysis of Randomized Controlled Trials,'' JAHA, vol. 7(24).
---------------------------------------------------------------------------
Below we summarize and respond to a written public comment we
received in response to the New Technology Town Hall meeting notice
published in the Federal Register regarding the substantial clinical
improvement criterion for EluviaTM.
Comment: With regard to the applicant's assertion that the
EluviaTM stent achieves statistically superior primary
patency over the Zilver[supreg] PTX stent, the commenter noted that the
non-inferior primary patency of EluviaTM as compared to the
Zilver[supreg] PTX stent was the primary efficacy endpoint of the
IMPERIAL study. The commenter stated that the authors of the IMPERIAL
study published a paper in The Lancet that noted a post-hoc analysis
that suggested that EluviaTM's primary patency was superior
to Zilver[supreg] PTX stent. The commenter further noted that in the FY
2020 New Technology Add-On Payment Town Hall presentation, the
EluviaTM Drug-Eluting Vascular Stent System's presenter used
this analysis as a predicator to substantiate the substantial clinical
improvement provided by the use of the EluviaTM stent. The
commenter questioned the basis of the applicant's assertion of
substantial clinical improvement contingent upon this rationale
because, according to the commenter, primary patency in this study was
measured by duplex ultrasound obtained on each enrollee at 12 months.
The commenter indicated that this is an endpoint based on imaging, and
in and of itself, may not have any direct clinical significance. The
commenter suggested that a loss of patency alone, without an associated
recurrence or increase of clinical signs or symptoms (pain, walking
impairment, ulcer development, etc.,) is
[[Page 19317]]
not a clinically-relevant measure. As such, the commenter believed that
the rationale used in that post-hoc analysis to determine superiority
in primary patency does not offer support for an assertion of clinical
improvement. The commenter noted that it is an interesting finding, but
as discussed further below, the commenter does not believe this
translates into a representation of substantial clinical improvement.
The commenter further stated that ``the pre-specified primary endpoint
of the study indicated non-inferiority of primary patency of
EluviaTM when compared to the Zilver[supreg] PTX stent, with
a non-significant difference of 5.3 percent (95 percent confidence
interval: -2.5 percent, 13.1 percent); and this information was not
included in the New Technology Town Hall presentation''.
With regard to the applicant's assertion that the
EluviaTM stent reduces the rate of subsequent therapeutic
interventions by 50 percent, the commenter noted that ``Subsequent
Therapeutic Interventions'' was not further defined in the New
Technology Town Hall presentation nor in the IMPERIAL study. The
commenter stated that it would appear from the presentation materials,
however, that it is referring specifically to ``target lesion
revascularizations (TLR)''.
The commenter referred to the EluviaTM New Technology
Town Hall presentation slide deck, and stated that the presenter
displayed graphs showing ``Clinically-driven TLR Rates'' for both the
EluviaTM stent and the Zilver[supreg] PTX stent. The
commenter stated that the graph showed a TLR rate for
EluviaTM of 4.5 percent, and a corresponding TLR rate of 9.0
percent for the Zilver[supreg] PTX stent, with that slide also
displaying a p-value of 0.0672. The commenter explained that because a
p-value of less than 0.05 is widely accepted in the scientific and
clinical communities as a threshold to establish a statistically
significant difference, a p-value of 0.0672 suggests that the
difference between the devices' TLR rates is not statistically
significant. The commenter believed that, given that the difference in
TLR rates is not statistically significant, no conclusions can or
should be drawn regarding substantial clinical improvement based on
these TLR rates. The commenter stated that the Lancet study paper
itself reported a TLR rate of 4.5 percent for EluviaTM and
8.7 percent for the Zilver[supreg] PTX stent, with an even higher p-
value of 0.0746,\169\ and the commenter believes that the difference in
TLR rates is more questionably meaningful. With regard to the
applicant's assertion that EluviaTM achieves similar
functional outcomes with half as many TLRs (repeat procedures) at 1
year, the commenter stated that based on the data presented during the
New Technology Town Hall presentation and discussed at length in the
Lancet study paper, ``functional'' clinical outcomes between the
EluviaTM and the Zilver[supreg] PTX patients were similar.
These clinical outcome measures included walking function (assessed
with the Walking Impairment Questionnaire and 6-minute walk test),
Rutherford scores, EQ-5D quality of life scores, and ankle-brachial
index measures. The commenter believed that these similar results
dispute the conclusion that EluviaTM represents a
substantial clinical improvement compared to the Zilver[supreg] PTX
stent. Further, the commenter stated that this section of the
presentation once again references and is based on the difference in
TLR rates. As noted above, the commenter believed that this difference
in rates was not demonstrated to be significant and, therefore, should
not be the basis for a conclusion of clinical improvement.
Additionally, the commenter also noted that, although not described in
the New Technology Town Hall presentation, the Lancet publication
indicates that the calculations of clinical improvement and hemodynamic
improvement already account for TLR as a failure. Therefore, the
commenter believed that stating that the outcomes are similar with half
as many TLRs is misleading. The commenter further stated that similar
clinical outcomes and TLR rates do support the study's conclusions of
non-inferiority, but should not form the basis for an assertion of
superiority.
---------------------------------------------------------------------------
\169\ Gray, W.A., et al., ``A polymer-coated, paclitaxel-eluting
stent (Eluvia) versus a polymer-free, paclitaxel-coated stent
(Zilver PTX) for endovascular femoropopliteal intervention
(IMPERIAL): a randomised, non-inferiority trial,'' Lancet, September
24, 2018.
---------------------------------------------------------------------------
With regard to the applicant's assertion that the use of the
EluviaTM stent reduces hospital readmission rates, the
commenter noted that during the New Technology Town Hall presentation,
the presenter noted that the EluviaTM group had a hospital
readmission rate at 12 months of 3.9 percent compared to the
Zilver[supreg] PTX group's rate of 7.1 percent, and that no p-value was
included on the slide used for the presentation to offer an assessment
of the statistical significance of this difference. The commenter noted
that this particular data comparison was not discussed in the main body
of the Lancet paper, but could be found in the online appendix. The
commenter further noted that as with the presentation slide, no p-value
was offered in the appendix. The commenter indicated that its
statistics team did, however, calculate a p-value of 0.17 for this
comparison. The commenter noted that a p-value of 0.17 is well above
the standard p-value threshold of 0.05 needed to draw a conclusion of
statistical significance. Given that this difference is not
statistically significant, the commenter believed that based on this
submitted data, this assertion should also not be used to substantiate
a representation of substantial clinical improvement for the
EluviaTM stent.
With regards to longer-term data on the Zilver[supreg] PTX stent
and the EluviaTM stent, the commenter noted that in the
commentary in The Lancet paper accompanying the IMPERIAL study, Drs.
Salvatore Cassese and Robert Byrne write that a follow-up duration of
12 months is insufficient to assess late failure, which is not
infrequently observed. According to Drs. Cassese and Byrne, the
preclinical models of restenosis after stenting of peripheral arteries
have shown that stents permanently overstretch the arterial wall, thus
stimulating persistent neointimal growth, which might cause a catch-up
phenomenon and late failure. The paper noted that in this regard, data
on outcomes beyond 1 year will be important to confirm the durability
of the efficacy of the EluviaTM stent.\170\ The commenter
stated that at this point in time, very limited longer-term data is
available on the use of the EluviaTM stent and that the
IMPERIAL study offers only 12-month data, although data out to 3 years
has been published from the relatively small 57-patient single-arm
MAJESTIC study. The commenter noted that the MAJESTIC study
demonstrates a decrease in primary patency from 96.4 percent at 1 year
to 83.5 percent at 2 years; and a doubling in TLR rates from 1 year to
2 years (3.6 percent to 7.2 percent) and again from 2 years to 3 years
(7.2 percent to 14.7 percent). The commenter stated that this is not
inconsistent with Drs. Cassese and Byrne's commentary regarding late
failure, and that the relatively small, single-arm design of the study
does not lend itself well to direct comparison to other SFA treatment
options such as the Zilver[supreg] PTX stent.
---------------------------------------------------------------------------
\170\ Cassese, S., & Byrne, R.E., ``Endovascular stenting in
femoropopliteal arteries,'' The Lancet, 2018, vol. 392(10157), pp.
1491-1493.
---------------------------------------------------------------------------
The commenter stated that EluviaTM's lack of long-term
data contrasts with 5-year data that is available from the
Zilver[supreg] PTX stent's pivotal 479-patient
[[Page 19318]]
RCT comparing the use of the Zilver[supreg] PTX stent to angioplasty
(with a sub-randomization comparing provisional use of Zilver[supreg]
PTX stenting to bare metal Zilver stenting in patients experiencing an
acute failure of percutaneous transluminal angioplasty (PTA)). The
commenter believed that these 5-year data demonstrate that the
superiority of the use of the Zilver[supreg] PTX stent demonstrated at
12 and 24 months is maintained through 5 years compared to PTA and
provisional bare metal stenting, and actually increases rather than
decreases over time. The commenter also believed that, given that these
stent devices are permanent implants and they are used to treat a
chronic disease, long-term data is important to fully understand an SFA
stent's clinical benefits. The commenter stated that with 5-year data
available to support the ongoing safety and effectiveness of the use of
the Zilver[supreg] PTX stent, but no such corresponding data available
for the use of the EluviaTM stent, it seems incongruous to
suggest that the use of the EluviaTM stent results in a
substantial clinical improvement compared to the Zilver[supreg] PTX
stent.
The commenter further stated that, in addition to the very limited
long-term data available for the EluviaTM stent, there is
also a lack of clinical data for the use of the EluviaTM
stent to confirm the benefit of the device outside of a strictly
controlled clinical study population. The commenter stated that in
contrast, the Zilver[supreg] PTX stent has demonstrated comparable
outcomes across a broad patient population, including a 787-patient
study conducted in Europe with 2-year follow-up and a 904-patient study
of all-comers (no exclusion criteria) in Japan with 5-year follow-up
completed. The commenter believed that with no corresponding data for
the use of the EluviaTM stent in a broad patient population,
it seems unreasonable to suggest that the use of the
EluviaTM stent results in a substantial clinical improvement
compared to the Zilver[supreg] PTX stent.
Response: We appreciate the information provided by the commenter.
We will take these comments into consideration when deciding whether to
approve new technology add-on payments for the EluviaTM
Drug-Eluting Vascular Stent System for FY 2020.
g. ELZONRISTM (tagraxofusp, SL-401)
Stemline Therapeutics submitted an application for new technology
add-on payments for ELZONRISTM for FY 2020.
ELZONRISTM (tagraxofusp, SL-401) is a targeted therapy for
the treatment of blastic plasmacytoid dendritic cell neoplasm (BPDCN)
administered via infusion. The applicant stated that BPDCN, previously
known as blastic natural killer (NK) cell leukemia/lymphoma, is a rare,
highly aggressive hematologic malignancy with a median overall survival
of 8 to 14 months from diagnosis that occurs predominantly in the
elderly (median age at diagnosis is 67 years old) and in male patients
(75 percent). The applicant cited data from the Surveillance,
Epidemiology, and End Results Program (SEER) registry that the
estimated incidence of BPDCN is less than 100 new cases per year in the
U.S. However, the applicant believes that registries likely
underestimate the true incidence of BPDCN due to changing nomenclature
and lack of a standardized disease characterization prior to 2008, and
that additional patients may be eligible for treatment.
According to the applicant, ELZONRISTM is a targeted
therapy directed to the interleukin-3 receptor (IL-3 receptor). The IL-
3 receptor is composed of two chains: An alpha chain, also known as
CD123, and a [beta] chain. Together, the two chains form a high-
affinity cell surface receptor for interleukin-3 (IL-3). The binding of
IL-3 to the IL-3 receptor initiates signaling that stimulates the
proliferation and differentiation of certain hematopoietic cells. The
alpha unit of the IL-3 receptor (also known as CD123) has also been
found to be expressed in a variety of cancers, including BPDCN, a
malignancy derived from plasmacytoid dendrite cells (pDCs).
The applicant explained that ELZONRISTM is a recombinant
protein composed of human IL-3 genetically fused to a truncated
diphtheria toxin (DT) payload. The applicant stated that
ELZONRISTM binds with high affinity to the IL-3 receptor and
is engineered such that IL-3 replaces the native receptor-binding
domain of DT and thereby acts like a homing device, targeting the DT
cytotoxic payload specifically to CD123-expressing cells. Upon binding
to the IL-3 receptor, ELZONRISTM is internalized into
endosomes, where the low pH environment enables proteolytic cleavage
and release of the catalytic domain of DT into the cytoplasm. The
target of DT's catalytic domain is elongation factor 2 (EF-2), a key
protein involved in protein translation. Inactivation of EF-2 leads to
termination of protein synthesis, which ultimately results in cell
death. The applicant asserted that ELZONRISTM is engineered
such that IL-3 targets the cytotoxic payload specifically to CD123-
expressing cells.
The applicant indicated that the regimens historically employed for
the treatment of patients who have been diagnosed with BPDCN have
generally consisted of those regimens, or modified versions of those
regimens, used for aggressive hematologic malignancies, including
regimens normally used in the treatment of acute lymphoblastic
leukemia, acute myeloid leukemia, and lymphoma. The applicant
summarized the mechanisms of various drugs and regimens currently used
to treat BPDCN, including:
Etoposide, which the applicant explained works by
inhibiting topoisomerase II, which in turn disrupts the ligation step
of the cell cycle, leading to apoptosis and cell death.
Hyper CVAD, which the applicant explained is a regimen
consisting of cyclophosphamide, vincristine and doxorubicin,
dexamethasone, methotrexate, and cytarabine. Cyclophosphamide damages
DNA by binding to it and causing the formation of cross-links.
Vincristine prevents cell duplication by binding to the protein
tubulin. Dexamethasone is a steroid to counteract side effects.
Methotrexate is an antimetabolite that competitively inhibits an enzyme
that is used in in folate synthesis, arresting cell reproduction.
CHOP, which the applicant explained is a regimen of
cyclophosphamide, doxorubicin, vincristine, and prednisone.
AspaMetDex L-asparaginase, Methotrexate, Dexamethasone.
The applicant explained that L-asparaginase catalyzes the conversion of
L-asparagine to aspartic acid and ammonia, depriving leukemic cells of
L-asparagine, leading to cell death.
Ara-C regimen (cytarabine), which the applicant explained
interferes with synthesis of DNA by altering the sugar component of
nucleosides.
The applicant stated that there are no approved therapies or
established standards of care for the treatment of patients who have
been diagnosed with BPDCN, either for treatment-naive or previously-
treated patients. The applicant asserted that current treatments for
patients who have been diagnosed with BPDCN might temporarily help to
slow disease progression, but they fail to eradicate cancer stem cells
(CSCs), and no specific treatment regimen has been shown to be
effective or is recommended. According to the applicant, only half of
reported patients show initial response to the regimens historically
employed for treatment of a diagnosis of BPDCN, and these reported
responses do not generally appear to be
[[Page 19319]]
durable, with many patients experiencing a quick relapse. Overall
survival is typically low, ranging from 8 to 14 months across various
treatment regimens.
With respect to the newness criterion, according to the applicant,
the FDA accepted the applicant's Biologics License Application (BLA)
filing for ELZONRISTM in August 2018 for the treatment of
patients who have been diagnosed with blastic plasmacytoid dendritic
cell neoplasm. The FDA granted this application Breakthrough Therapy,
Priority Review, and Orphan Drug designations, and on December 21,
2018, approved ELZONRISTM for the treatment of blastic
plasmacytoid dendritic cell neoplasm in adults and in pediatric
patients 2 years old and older. Currently, there are no ICD-10-PCS
procedure codes to uniquely identify procedures involving
ELZONRISTM. We note that the applicant has submitted a
request for approval for a unique ICD-10-PCS code for the
administration of ELZONRISTM beginning in FY 2020.
As discussed above, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would not be considered ``new''
for purposes of new technology add-on payments.
With regard to the first criterion, whether a product uses the same
or a similar mechanism of action to achieve a therapeutic outcome,
according to the applicant, ELZONRISTM treats BPDCN via
target antigen specificity, attacking cells with the IL-3 receptor
(CD123) overexpressed in cancer stem cells (CSCs) and tumor bulk, but
minimally expressed or absent on normal hematopoietic stem cells. The
applicant indicated that ELZONRISTM's mechanism of action
involves a receptor-mediated endocytosis, inhibition of protein
synthesis, and interference with IL-3 signal transduction pathways,
leading to growth arrest and apoptosis in leukemia blasts and CSCs. The
applicant asserted that current BPDCN treatments are not targeted, and
their mechanisms of action aim to arrest quickly-dividing cells through
DNA alkylation and intercalation, as well as through protein binding to
prevent cell duplication. The applicant also asserted that current
treatments for patients who have been diagnosed with BPDCN might
temporarily help to slow disease progression, but they fail to
eradicate CSCs. The applicant stated that in contrast,
ELZONRISTM utilizes a payload that is not cell cycle-
dependent and, therefore, it is able to kill not just highly
proliferative tumor bulk, but also the relatively quiescent CSCs. The
applicant noted that there are similar targeted therapies currently
under investigation, although the applicant asserted that these other
therapies are all in much earlier stages of development. Therefore, the
applicant asserted that ELZONRISTM utilizes a different
mechanism of action than currently available treatment options.
With respect to the second criterion, whether a product is assigned
to the same or a different MS-DRG, the applicant stated that because
BPDCN is a distinct and rare hematologic malignancy and there are no
other approved therapies or established standard-of-care, cases
representing patients receiving treatment involving
ELZONRISTM would not be assigned to the same MS-DRG(s) when
compared to cases representing patients receiving treatment involving
existing technologies. We note that, as explained below in the
discussion of the cost criterion, the applicant stated that potential
cases representing patients who may be eligible for treatment involving
ELZONRISTM would be assigned to MS-DRGs that contain cases
representing patients who are receiving chemotherapy without acute
leukemia as a secondary diagnosis.
With respect to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, according to the
applicant, the use of ELZONRISTM would involve treatment of
a dissimilar patient population as compared to other therapies. The
applicant stated that the World Health Organization standardized the
current name and specific category of disease for BPDCN in 2016,
designating it as a distinct entity within the acute myeloid neoplasms
and acute leukemias. The applicant indicated that no BPDCN standard-of-
care has been established and currently patients who have been
diagnosed with BPDCN are being treated with therapies used for other
diseases. Therefore, the applicant asserted that ELZONRISTM
would be used in the treatment of a new patient population because the
patient population in question is distinguishable from others by the
ICD-10-CM diagnosis code specific to BPDCN: C86.4 (Blastic NK-cell
lymphoma), for which there is no specific treatment regimen that has
been shown to be effective or is recommended, as stated above.
As summarized above, the applicant maintains that
ELZONRISTM meets the newness criterion and is not
substantially similar to existing technologies because it has a unique
mechanism of action; potential cases representing patients who may be
eligible for treatment involving the use of ELZONRISTM would
be assigned to a different MS-DRG when compared to existing
technologies; and the use of the technology would treat a new patient
population. We are inviting public comments on whether
ELZONRISTM is substantially similar to any existing
technologies and whether ELZONRISTM meets the newness
criterion.
With regard to the cost criterion, the applicant used the FY 2017
MedPAR Hospital Limited Data Set (LDS) to assess the MS-DRGs to which
cases representing potential patient hospitalizations that may be
eligible for treatment involving ELZONRISTM would most
likely be assigned. The applicant identified these potential cases
using the ICD-10-CM diagnosis code C86.4 (Blastic NK-cell lymphoma),
which the applicant stated is another name for BPDCN. The applicant
identified 65 cases reporting ICD-10-CM diagnosis code C86.4 spanning
28 different MS-DRGs. The applicant asserted that cases representing
patients hospitalized who may be eligible to receive treatment
involving ELZONRISTM would most likely appear in MS-DRGs 847
(Chemotherapy without Acute Leukemia as Secondary Diagnosis with CC)
and 846 (Chemotherapy without Acute Leukemia as Secondary Diagnosis
with MCC). Therefore, the applicant limited the analysis to the cases
in MS-DRG 847 and MS-DRG 846 that also reported the ICD-10-CM diagnosis
code C86.4. The cases identified in these two MS-DRGs accounted for 24
(37 percent) of the 65 cases reporting ICD-10-CM diagnosis code C86.4.
The applicant indicated that because the number of cases reporting
ICD-10-CM diagnosis code C86.4 is so low and it was difficult to
discern the costs of the predecessor therapies that would be replaced
by the use of ELZONRISTM, the applicant performed the cost
criterion analysis under two different scenarios. Both scenarios use
the 24 cases identified in the FY 2017 MedPAR data and increase the
sample size by using an additional 18 cases identified in the FY 2016
MedPAR data mapping to the same MS-DRGs and reporting the same ICD-10-
CM diagnosis code, for a combined total of 42 cases with an average
case-weighted unstandardized charge per case of $67,947. For the first
scenario, because the applicant was unable to determine the appropriate
costs for the predecessor therapies, the applicant did not remove any
predecessor charges from the cases analyzed, although the applicant
noted that it might be extreme
[[Page 19320]]
to assume that no products or services would be replaced if
ELZONRISTM were used. For the second scenario, the applicant
removed all charges from the cases so that only ELZONRISTM
was used as the cost of the case. The applicant characterized this as a
conservative assumption, as it assumes that the only charges related to
these cases would be the cost of ELZONRISTM.
The applicant then standardized the FY 2017 charges using the FY
2017 impact file and then inflated the charges to FY 2019 using the 2-
year inflation factor of 8.59 percent (1.085868) that the applicant
indicated was published in the FY 2019 IPPS/LTCH PPS final rule. The
applicant standardized FY 2016 charges using the FY 2016 impact file
and then inflated the charges to FY 2019 using a 3-year inflation
factor of 13.15 percent (1.131529), which was calculated based on the
1-year inflation factor (1.04205) that the applicant indicated was
listed in the FY 2019 IPPS/LTCH PPS final rule. We note that the
inflation factors used by the applicant were the proposed 1-year and 2-
year inflation factors, which were published in the FY 2019 IPPS/LTCH
PPS final rule in the summary of FY 2019 IPPS proposals (83 FR 41718).
The final 1-year and 2-year inflation factors published in the FY 2019
IPPS/LTCH PPS final rule are 1.04338 and 1.08864, respectively (83 FR
41722), and a 3-year inflation factor calculated based on these numbers
is 1.13587. We note that these figures were revised in the FY 2019
IPPS/LTCH PPS final rule correction notice. The corrected final 1-year
and 2-year inflation factors are 1.04396 and 1.08986, respectively (83
FR 49844), and a 3-year inflation factor calculated based on the
corrected final numbers is 1.13776.
The applicant then added charges for ELZONRISTM in both
scenarios. To determine the charges for ELZONRISTM, the
applicant calculated the average per discharge cost of
ELZONRISTM inflated by the inverse of the national average
CCR for pharmacy costs of 0.191. The applicant then calculated an
average case-weighted standardized charge per case for each scenario
and compared it with the average case-weighted threshold amount. The
applicant stated that ELZONRISTM exceeded the average-case-
weighted threshold amount under each scenario and, therefore, meets the
cost criterion. Results of the analyses of both scenarios are
summarized in the table below:
----------------------------------------------------------------------------------------------------------------
Average case-
weighted new Final inflated
Number of technology average Amount
Medicare cases add-on case[dash]weighted exceeded
payment standardized threshold
threshold charge per case
----------------------------------------------------------------------------------------------------------------
FY 2016 and FY 2017 MedPAR Data; No 42 $52,049 $1,066,195 $1,014,146
Predecessor Charges Removed................
FY 2016 and FY 2017 MedPAR Data; All 42 52,049 1,010,455 958,406
Predecessor Charges Removed................
----------------------------------------------------------------------------------------------------------------
We note that the applicant used the proposed rule values to inflate
the standardized charges. However, we further note that even when using
either the final rule values or corrected final rule values to inflate
the charges, the average case-weighted standardized charge per case for
each scenario exceeded the average case-weighted threshold amount. We
are inviting public comments on whether ELZONRISTM meets the
cost criterion.
With respect to the substantial clinical improvement criterion, the
applicant stated that it believes ELZONRISTM represents a
substantial clinical improvement because: (1) ELZONRISTM is
the only treatment indicated specifically for the treatment of patients
who have been diagnosed with BPDCN, a disease without a defined
standard-of-care; (2) ELZONRISTM offers a treatment option
for a patient population ineligible for aggressive chemotherapy
regimens used to treat BPDCN; (3) ELZONRISTM exhibits high
complete remission rates, potentially superior to other regimens used
to treat a diagnosis of BPDCN; (4) ELZONRISTM significantly
improves overall survival (OS) in the treatment of patients diagnosed
with BPDCN as compared to currently available treatment regimens; (5)
ELZONRISTM significantly improves clinical outcomes in the
BPDCN patient population because it may allow more patients to bridge
to stem cell transplantation, an effective treatment not currently
administered to most patients due to their inability to tolerate the
requisite conditioning therapies; (6) ELZONRISTM exhibits a
manageable profile that is consistent over increasing patient exposure
and experience, demonstrating a well-tolerated targeted therapy
suitable for the majority of patients who are unable to receive
intensive chemotherapy; and (7) ELZONRISTM is more efficient
than other chemotherapeutic drugs at killing BPDCN in preclinical
studies, suggesting clinical benefit would also be exhibited if head-
to-head comparison was pursued.
In support of the claim that ELZONRISTM is the only
treatment indicated specifically for the treatment of patients who have
been diagnosed with BPDCN, the applicant submitted a 2016 review
article which indicated that no standardized therapeutic approach has
been established yet for the treatment of BPDCN, and the optimal
therapy remains to be defined.\171\
---------------------------------------------------------------------------
\171\ Pagano, L., Valentini, C.G., Grammatico, S., Pulsoni, A.,
``Blastic plasmacytoid dendritic cell neoplasm: diagnostic criteria
and therapeutical approaches,'' British Journal of Haematology,
2016, vol. 174(2), pp. 188-202.
---------------------------------------------------------------------------
Second, in support of the claim that ELZONRISTM offers a
treatment option for a patient population ineligible for aggressive
chemotherapy regimens used to treat BPDCN, the applicant submitted a
2016 review of treatment modalities for patients who have been
diagnosed with BPDCN to establish that there is a clear unmet need for
targeted treatment. The study reported that seven BPDCN patients
treated with Hyper-CVAD, an aggressive chemotherapy regimen, achieved
an overall response of 86 percent and complete remission of 67 percent;
\172\ however, the applicant noted that the evidence is limited to a
small number of patients. Another 2016 review article indicated that
supportive care or palliative chemotherapy is used in the treatment of
many patients who have been diagnosed with BPDCN because of their age
or comorbidities, and may be the only option for elderly patients with
a low performance status or characterized by the presence of relevant
co-morbidities, suggesting that targeted therapy has the potential for
improving patient outcomes.\173\
---------------------------------------------------------------------------
\172\ Falcone, U., Sibai, H., Deotare, U., ``A critical review
of treatment modalities for blastic plasmacytoid dendritic cell
neoplasm,'' Critical Reviews in Oncology/Hematology, 2016, vol. 107,
pp. 156-162.
\173\ Pagano, L., Valentini, C.G., Grammatico, S., Pulsoni, A.,
``Blastic plasmacytoid dendritic cell neoplasm: diagnostic criteria
and therapeutical approaches,'' British Journal of Haematology,
2016, vol. 174(2), pp. 188-202.
---------------------------------------------------------------------------
[[Page 19321]]
Third, the applicant maintained that ELZONRISTM exhibits
high complete remission rates, potentially superior to other regimens
used to treat patients who have been diagnosed with BPDCN. The
applicant submitted a 2013 retrospective case study of patients who had
been diagnosed with BPDCN, in which 15/41 (37 percent) of evaluable
patients achieved CR with induction therapies; 2 partial responders
subsequently became complete responders with consolidation therapy (17/
41: 41 percent). This study noted a high death rate of 17 percent
following induction treatment.\174\ The applicant reported prospective
clinical trial data from ELZONRISTM's pivotal trial
(ELZONRISTM 12 [micro]g/kg/day), which observed a complete
response plus a complete clinical response of 72 percent in treatment-
naive patients (21/29 patients).\175\
---------------------------------------------------------------------------
\174\ Pagano, L., Valentini, C.G., Pulsoni, A., et al., for
GIMEMA-ALWP (Gruppo Italiano Malattie EMatologiche dell'Adulto,
Acute Leukemia Working Party), ``Blastic plasmacytoid dendritic cell
neoplasm with leukemic presentation: an Italian multicenter study,''
Haematologica, 2013, vol. 98(2), pp. 239-246.
\175\ Pemmaraju, N., et al., ``Results of Pivotal Phase 2 Trial
of SL-401 in Patients with Blastic Plasmacytoid Dendritic Cell
Neoplasm (BPDCN),'' Proceedings from the 2018 European Hematology
Association Congress, 2018, Abstract 214438.
---------------------------------------------------------------------------
Fourth, the applicant maintained that ELZONRISTM
significantly improves overall survival (OS) in patients who have been
diagnosed with BPDCN as compared to currently available treatment
regimens. The applicant submitted a 2013 retrospective case study of
patients who have been diagnosed with BPDCN, which found that the
median overall survival was just 8.7 months in 43 patients.\176\ The
applicant reported prospective clinical trial data from
ELZONRISTM's pivotal trial (ELZONRISTM 12
[micro]g/kg/day), which found that median overall survival has not yet
been reached, with a median follow-up of 23 months [0.2-41 +
months].\177\
---------------------------------------------------------------------------
\176\ Pagano, L., Valentini, C.G., Pulsoni, A., et al., for
GIMEMA-ALWP (Gruppo Italiano Malattie EMatologiche dell'Adulto,
Acute Leukemia Working Party), ``Blastic plasmacytoid dendritic cell
neoplasm with leukemic presentation: an Italian multicenter study,''
Haematologica, 2013, vol. 98(2), pp. 239-246.
\177\ Pemmaraju, N., et al., ``Results of Pivotal Phase 2
Clinical Trial of Tagraxofusp (SL-401) in Patients with Blastic
Plasmacytoid Dendritic Cell Neoplasm (BPDCN),'' Proceedings from the
2018 American Society of Hematology (ASH), 2018, Abstract S765.
---------------------------------------------------------------------------
Fifth, the applicant maintained that ELZONRISTM
significantly improves clinical outcomes in the treatment of the BPDCN
patient population because it may allow more patients to bridge to stem
cell transplantation, an effective treatment not currently administered
to most patients due to their inability to tolerate the requisite
conditioning therapies. The applicant submitted a 2011 retrospective
study that included 6 cases of elderly patients who had been diagnosed
with BPDCN in which 4 patients underwent allogenic stem cell
transplantation (SCT) following moderately reduced intensity of
conditioning chemotherapy regimens; 2 patients who received stem cell
transplant while in remission lived disease free 57 months and 16
months post-SCT, and 2 patients transplanted with active disease
achieved complete remission but relapsed 6 and 18 months after
transplantation. Conditioning chemotherapy regimens were reduced in
intensity due to the patients' elderly age.\178\ The applicant also
submitted a 2015 retrospective study of 25 BPDCN cases in which
patients were treated with SCT. Of 11 BPDCN patients treated with
autologous SCT and 14 patients treated with allogenic SCT, overall
survival (OS) at 4 years was 82 percent and 69 percent, respectively,
and no relapses were observed.\179\ The applicant also submitted a 2013
retrospective study of 43 BPDCN cases in which only 6 out of 43
patients (14 percent) received allogenic SCT.\180\ The applicant
submitted a 2010 retrospective study of BPDCN cases in which only 10
out of 47 patients (21 percent) received SCT.\181\ The applicant
submitted a 2016 review article which concluded that early results from
clinical trials for ELZONRISTM indicate that it could be
used to consolidate the effects of first-line chemotherapy and/or
reduce minimal residual disease before allogenic SCT.\182\ The
applicant reported prospective clinical trial data from
ELZONRISTM's pivotal trial (ELZONRISTM 12 [mu]g/
kg/day), for which the median age among the patients with BPDCN who
received treatment involving ELZONRISTM was 70 years old, in
which 45 percent (13/29) of treatment-na[iuml]ve patients treated with
ELZONRISTM (12 [micro]g/kg/day) were bridged to SCT in
remission.\183\
---------------------------------------------------------------------------
\178\ Dietrich, S., et al., ``Blastic plasmacytoid dendritic
cell neoplasia (BPDC) in elderly patients: results of a treatment
algorithm employing allogeneic stem cell transplantation with
moderately reduced conditioning intensity,'' Biology of Blood and
Marrow Transplantation, 2011, vol. 17, pp. 1250-1254.
\179\ Aoki, T., et al., ``Long-term survival following
autologous and allogenic stem cell transplantation for Blastic
plasmacytoid dendritic cell neoplasm,'' Blood, 2015, vol. 125(23),
pp. 3559-3562.
\180\ Pagano, L., Valentini, C.G., Pulsoni, A., et al., for
GIMEMA-ALWP (Gruppo Italiano Malattie EMatologiche dell'Adulto,
Acute Leukemia Working Party), ``Blastic plasmacytoid dendritic cell
neoplasm with leukemic presentation: an Italian multicenter study,''
Haematologica, 2013, vol. 98(2), pp. 239-246.
\181\ Dalle, S., et al., ``Blastic plasmacytoid dendritic cell
neoplasm: is transplantation the treatment of choice?,'' The British
Journal of Dermatology, 2010, vol. 162, pp. 74-79.
\182\ Pagano, L., Valentini, C.G., Grammatico, S., Pulsoni, A.,
``Blastic plasmacytoid dendritic cell neoplasm: diagnostic criteria
and therapeutical approaches,'' British Journal of Haematology,
2016, vol. 174(2), pp. 188-202.
\183\ Pemmaraju, N., et al., ``Results of Pivotal Phase 2 Trial
of SL-401 in Patients with Blastic Plasmacytoid Dendritic Cell
Neoplasm (BPDCN),'' Proceedings from the 2018 European Hematology
Association Congress, 2018, Abstract 214438.
---------------------------------------------------------------------------
Sixth, the applicant maintained that ELZONRISTM exhibits
a manageable profile that demonstrates a well-tolerated targeted
therapy suitable for the majority of patients who are unable to receive
intensive chemotherapy. The prospective clinical trial data from
ELZONRISTM's pivotal trial (ELZONRISTM 12
[micro]g/kg/day) found that ELZONRISTM's side effect profile
remained consistent over increasing patient exposure and experience. No
evidence of cumulative toxicity was seen over multiple cycles of
ELZONRISTM.
Myelosuppression (thrombocytopenia, anemia, neutropenia) was
modest, reversible, and was not dose-limiting for any patient. The most
common treatment-related adverse events included increased alanine
aminotransferase levels, increased aspartate aminotransferase levels
and hypoalbuminemia, mostly restricted to the first cycle of therapy.
The most serious side effect was capillary leak syndrome; most reports
were Grade II in severity.\184\
---------------------------------------------------------------------------
\184\ Ibid.
---------------------------------------------------------------------------
Lastly, the applicant asserts that ELZONRISTM is more
efficient than other chemotherapeutic drugs at killing BPDCN in
preclinical studies, suggesting clinical benefit would also be
exhibited if head-to-head comparison to cytotoxic agents commonly used
for the treatment of hematologic malignancies was pursued. The
applicant submitted a 2015 preclinical study that found malignant cells
from patients who had been diagnosed with BPDCN were more sensitive to
ELZONRISTM than to a wide variety of cytotoxic agents
commonly used for treatment of hematologic malignancies, including
drugs such as cytosine arabinoside, cyclophosphamide, vincristine,
dexamethasone, methotrexate, Erwinia L-asparaginase, and
asparaginase.\185\
---------------------------------------------------------------------------
\185\ Angelot-Delettre, F., Roggy, A., Frankel, A.E., Lamarthee,
B., Seilles, E., Biichle, S., et al., ``In vivo and in vitro
sensitivity of blastic plasmacytoid dendritic cell neoplasm to SL-
401, an interleukin-3 receptor targeted biologic agent,''
Haematologica, 2015, vol. 100(2), pp. 223-30.
---------------------------------------------------------------------------
[[Page 19322]]
After reviewing the information submitted by the applicant as part
of its FY 2020 new technology add-on payment application for
ELZONRISTM, we are concerned that some of the evidence
submitted by the applicant to demonstrate substantial clinical
improvement over existing technologies is based on preclinical studies.
We also are unsure if the study populations in the 2013 retrospective
study that the applicant used to compare remission rates are composed
of treatment-na[iuml]ve, previously-treated, or a mix of patients.
In addition, the applicant reported that the interim results of the
Phase II trial of treatment of BPDCN with ELZONRIS TM
demonstrated high response rates in BPDCN, including: 90 percent
overall response in treatment na[iuml]ve patients (26/29) and 69
percent overall response in relapse/refractory patients (9/13); 72
percent complete response plus complete clinical response in treatment
na[iuml]ve patients (21/29) and 38 percent complete response plus
complete clinical response in relapse/refractory patients (5/13); and
45 percent of patients treated in first-line setting were bridged to
stem cell transplant in remission (13/29).\186\ However, we are
concerned that the small number of patients in the study and the lack
of baseline data against which to compare this technology may make it
more difficult to determine whether these interim results support a
finding of substantial clinical improvement. We also note that because
the clinical trial is ongoing and the final outcomes are not available,
we are concerned that there may not be enough information on the
efficacy to determine substantial clinical improvement at this time. We
also note that the applicant's December 2018 New Technology Town Hall
meeting presentation includes information that differs slightly from
the application materials, and we are not clear whether the study
results submitted with the application reflect the most current
information available. We are inviting public comments on whether
ELZONRIS TM meets the substantial clinical improvement
criterion, including with respect to the concerns we have raised.
---------------------------------------------------------------------------
\186\ Pemmaraju, N., et al., ``Results of Pivotal Phase 2 Trial
of SL-401 in Patients with Blastic Plasmacytoid Dendritic Cell
Neoplasm (BPDCN),'' Proceedings from the 2018 European Hematology
Association Congress, 2018, Abstract 214438.
---------------------------------------------------------------------------
We did not receive any written comments in response to the New
Technology Town Hall meeting notice published in the Federal Register
regarding the substantial clinical improvement criterion for ELZONRIS
TM or at the New Technology Town Hall meeting.
h. Erdafitinib
Johnson & Johnson Health Care Systems, Inc. (on behalf of Janssen
Oncology, Inc.) submitted an application for new technology add-on
payments for Erdafitinib for FY 2020. The proposed indication for the
use of Erdafitinib is the second-line treatment of adult patients who
have been diagnosed with locally advanced or metastatic urothelial
carcinoma whose tumors exhibit certain fibroblast growth factor
receptor (FGFR) genetic alterations as detected by an FDA-approved
test, and who have disease progression during or following at least one
line of prior chemotherapy including within 12 months of neoadjuvant or
adjuvant chemotherapy.
According to the applicant, Erdafitinib is an oral pan-fibroblast
growth factor receptor (FGFR) tyrosine kinase inhibitor being evaluated
in Phase II and III clinical trials in patients who have been diagnosed
with advanced urothelial cancer. FGFRs are a family of receptor
tyrosine kinases, which may be upregulated in various tumor cell types
and may be involved in tumor cell differentiation and proliferation,
tumor angiogenesis, and tumor cell survival. Erdafitinib is a pan-
fibroblast FGFR inhibitor with potential antineoplastic activity. Upon
oral administration, Erdafitinib binds to and inhibits FGFR, which may
result in the inhibition of FGFR-related signal transduction pathways
and, therefore, the inhibition of tumor cell proliferation and tumor
cell death in FGFR-overexpressing tumor cells.
The applicant indicated that urothelial cancer (also known as
transitional cell cancer or bladder cancer) is the sixth most common
type of cancer diagnosed in the U.S. In 2018, an estimated 81,190 new
cases of bladder cancer were expected to be diagnosed (approximately
62,380 in men and 18,810 in women), and result in 17,240 deaths
(approximately 1 out of 5 diagnosed men and 1 out of 4 diagnosed
women).\187\ According to the applicant, for patients with metastatic
disease, outcomes can be dire due to the often rapid progression of the
tumor and the lack of efficacious treatments, especially in cases of
relapsed or refractory disease. The applicant further stated that the
relative 5-year survival rate for patients with metastatic disease is 5
percent.
---------------------------------------------------------------------------
\187\ American Cancer Society, ``Key Statistics for Bladder
Cancer,'' www.cancer.org/cancer/bladder-cancer/about/key-statistics.html.
---------------------------------------------------------------------------
According to the applicant, in regard to current second-line
treatment, patients who have been diagnosed with locally advanced or
metastatic urothelial cancer have limited options and favor anti-
programmed death ligand 1/anti-programmed death 1 (anti-PD-L1/anti-PD-
1) therapies (also known as checkpoint inhibitors) as opposed to
conventional cytotoxic chemotherapy. With objective response rates
ranging from approximately 20 to 25 percent with currently approved
therapies and treatments, the applicant stated that new effective
treatment options are needed for this patient population. Although
there are five FDA-approved immune checkpoint inhibitors, the applicant
stated that studies have shown that not all patients benefit from PD-1
blockade. The applicant explained that patients harboring FGFR
alternates, which occurs at a frequency of approximately 20 percent,
are thought to have immunologically ``cold tumors'' that are less
likely to benefit from PD-1 blockade therapy.
The applicant noted that Erdafitinib was granted Breakthrough
Therapy designation by the FDA on March 15, 2018, for the treatment of
patients who have been diagnosed and treated for urothelial cancer
whose tumors have certain FGFR genetic alterations. Erdafitinib has not
received FDA premarket approval as of the time of the development of
this proposed rule. Although there are no currently approved ICD-10-PCS
procedure codes to uniquely identify the use of Erdafitnib, facilities
can report the oral administration of Erdafitinib with the use of the
following ICD-10-PCS code: 3E0DX05 (Introduction of Other
Antineoplastic into Mouth and Pharynx, External Approach). We note that
the applicant has submitted a request for approval at the March 2019
ICD-10 Coordination and Maintenance Committee Meeting for a unique ICD-
10-PCS procedure code to specifically identify cases involving the
administration of Erdafitinib. According to the applicant, this request
was discussed at the September 11, 2018 ICD-10 Coordination and
Maintenance Committee meeting, and at that meeting CMS recommended the
establishment of a New Technology Section ``X'' code to distinctly
identify cases involving the administration of Erdafitinib.
As discussed above, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would not be
[[Page 19323]]
considered ``new'' for purposes of new technology add-on payments.
With regard to the first criterion, whether a product uses the same
or a similar mechanism of action to achieve a therapeutic outcome, the
applicant asserted that Erdafitinib is not substantially similar to any
existing treatment options because its inhibitory mechanism of action
is novel. Specifically, the applicant stated that Erdafitinib is a pan-
fibroblast FGFR inhibitor with potential antineoplastic activity. Upon
oral administration, Erdafitinib binds to and inhibits FGFR, which may
result in the inhibition of FGFR-related signal transduction pathways
and, therefore, the inhibition of tumor cell proliferation and tumor
cell death in FGFR-overexpressing tumor cells. The applicant stated
that Erdafitinib is a potent pan-FGFR (1-4) tyrosine kinase inhibitor
with IC50 (drug concentration at which 50 percent of target enzyme
activity is inhibited) in the single-digit nanomolar range. According
to the applicant, Erdafitinib will, therefore, represent a first-in-
class FGFR inhibitor because of its novel mechanism of action.
With respect to the second criterion, whether a product is assigned
to the same or a different MS-DRG, the applicant stated that potential
cases representing patients who may be eligible for treatment involving
Erdafitinib are likely to be assigned to a wide variety of MS-DRGs
because patients who may receive treatment involving Erdafitinib in the
inpatient setting would likely be hospitalized due to other conditions
than urothelial cancer. The applicant stated that potential cases
representing patients who may be eligible for treatment involving the
use of Erdafitinib may be assigned to the same MS-DRGs as cases
representing patients treated with currently available treatment
options for urothelial cancer.
With respect to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, the applicant
asserted that the treatment involving Erdafitnib is specific to a
select subset of patients who have been diagnosed with locally advanced
or metastatic urothelial carcinoma and previously treated, but
subsequently present with FGFR alterations. According to the applicant,
while patients who have been diagnosed with metastatic or unresectable
urothelial cancer may be offered second-line therapy options of a
checkpoint inhibitor or systemic chemotherapy, treatment involving
Erdafitinib is specific to a subset of patients with certain FGFR-
genetic alterations. Therefore, the applicant believes that Erdafitinib
treats a different patient population than currently available
treatments.
We are inviting public comments on whether Erdafitinib is
substantially similar to any existing technology and whether it meets
the newness criterion.
With regard to the cost criterion, the applicant conducted the
following analysis. The applicant searched the FY 2017 MedPAR Hospital
Limited Data Set (LDS) for inpatient hospital claims for potential
cases representing patients who may be eligible for treatment using
Erdafitinib. The applicant noted that because the inpatient admission
for the potential cases identified would likely be unrelated to the
proposed indication for the use of Erdafitinib, it is unlikely that the
administration of Erdafitinib would be initiated during an inpatient
hospitalization. In addition, the applicant assumed that most hospitals
would not utilize Erdafitinib for short-stay inpatient hospitalization,
and the applicant therefore eliminated all identified potential cases
representing inpatient hospitalizations of 3 days or fewer from its
analysis. The applicant also assumed that any inpatient hospitalization
of 4 days or longer would involve the daily administration of
Erdafitinib and calculated the drug's costs on a case-by-case basis,
multiplying the length-of-stay times the cost of the drug.
The applicant used a combination of ICD-10-CM diagnosis codes to
identify these potential cases. The applicant first identified claims
with one of the following ICD-10-CM diagnosis codes listed in the table
below.
------------------------------------------------------------------------
ICD-10-CM diagnosis code Code description
------------------------------------------------------------------------
C67.8..................... Malignant neoplasm of overlapping sites of
bladder.
C67.9..................... Malignant neoplasm of bladder, unspecified.
C68.8..................... Malignant neoplasm of overlapping sites of
urinary organs.
C68.9..................... Malignant neoplasm of urinary organ,
unspecified.
------------------------------------------------------------------------
The applicant then searched the MedPAR data file for inpatient
hospital claims that also had one of the following ICD-10-CM diagnosis
codes listed in the table below to identify a combination of applicable
codes.
------------------------------------------------------------------------
ICD-10-CM diagnosis code Code description
------------------------------------------------------------------------
C77.2..................... Secondary and unspecified malignant neoplasm
of intra-abdominal lymphnodes.
C77.4..................... Secondary and unspecified malignant neoplasm
of inguinal and lower limb lymph nodes.
C77.5..................... Secondary and unspecified malignant neoplasm
of intrapelvic lymph nodes.
C77.8..................... Secondary and unspecified malignant neoplasm
of lymph nodes of multiple regions.
C77.9..................... Secondary and unspecified malignant neoplasm
of lymph node, unspecified.
C78.00.................... Secondary malignant neoplasm of unspecified
lung.
C78.7..................... Secondary malignant neoplasm of unspecified
lung.
C79.00.................... Secondary malignant neoplasm of unspecified
kidney and renal pelvis.
C79.19.................... Secondary malignant neoplasm of other
urinary organs.
C79.51.................... Secondary malignant neoplasm of bone.
C79.82.................... Secondary malignant neoplasm of genital
organs.
------------------------------------------------------------------------
Based on this search, the applicant identified 2,844 cases mapping
to a wide range of MS-DRGs. The applicant identified and used in its
analysis those MS-DRGs to which more than 1 percent of the total
identified cases were assigned, as listed in the table below.
[[Page 19324]]
------------------------------------------------------------------------
MS-DRG MS-DRG title
------------------------------------------------------------------------
871....................... Septicemia or Severe Sepsis without MV >96
Hours with MCC.
654....................... Major Bladder Procedures with CC.
687....................... Kidney & Urinary Tract Neoplasms with CC.
686....................... Kidney & Urinary Tract Neoplasms with MCC.
872....................... Septicemia or Severe Sepsis without MV >96
Hours without MCC.
683....................... Renal Failure with CC.
698....................... Other Kidney & Urinary Tract Diagnoses with
MCC.
669....................... Transurethral Procedures with CC.
690....................... Kidney & Urinary Tract Infections without
MCC.
682....................... Renal Failure with MCC.
699....................... Other Kidney & Urinary Tract Diagnoses with
CC.
653....................... Major Bladder Procedures with MCC.
853....................... Infectious & Parasitic Diseases with O.R.
Procedure with MCC.
543....................... Pathological Fractures & Musculoskeletory &
Connective Tissue Malignancy with CC.
948....................... Signs & Symptoms without MCC.
668....................... Transurethral Procedures with MCC.
542....................... Pathological Fractures & Musculoskeletory &
Connective Tissue Malignacy with MCC.
657....................... Kidney & Ureter Procedures For Neoplasm with
CC.
641....................... Miscellaneous Disorders of Nutrition,
Metabolism, Fluids/Electrolytes without
MCC.
180....................... Respiratory Neoplasms with MCC.
291....................... Heart Failure & Shock with MCC or Peripheral
Extracorporeal Membrane Oxygenation (ECMO).
------------------------------------------------------------------------
Using 100 percent of the cases assigned to these MS-DRGs, the
applicant determined an average case-weighted unstandardized charge per
case of $86,302. The applicant did not remove any charges for prior
therapies because the applicant indicated that the use of Erdafitinib
would not replace any other therapies. The applicant standardized the
charges for each case and inflated each case's charges by applying the
FY 2019 IPPS/LTCH PPS final rule outlier charge inflation factor of
1.08864 (83 FR 41722). (We note that the 2-year charge inflation factor
was revised in the FY 2019 IPPS/LTCH PPS final rule correction notice.
The revised factor is 1.08986 (83 FR 49844). However, we note that even
when using either the revised final rule values or the corrected final
rule values published in the correction notice to inflate the charges,
the final inflated average case-weighted standardized charge per case
for Erdafitinib would exceed the average case-weighted threshold
amount.) The applicant then added the charges for the cost of
Erdafitinib. To determine the charges for the cost of Erdafitinib, the
applicant used the inverse of the FY 2019 IPPS/LTCH PPS final rule
pharmacy national average CCR of 0.191. The applicant's reported
average case-weighted threshold amount was $62,435 and its reported
final inflated average case-weighted standardized charge per case was
$111,713. Based on this analysis, the applicant believes Erdafitinib
meets the cost criterion because the final inflated average case-
weighted standardized charge per case exceeds the average case-weighted
threshold amount. We are inviting public comments on whether
Erdafitinib meets the cost criterion.
The applicant asserts that Erdafitinib represents a substantial
clinical improvement over existing technologies because it offers a
treatment option for a patient population unresponsive to or ineligible
for currently available treatments. The applicant stated that
Erdafitinib provides a substantial clinical improvement for a select
group of patients who have been diagnosed with locally advanced or
metastatic urothelial carcinoma who have failed first-line treatment
and have limited second-line treatment options, despite the recent
introduction of checkpoint inhibitors. The applicant further stated
that the use of Erdafitinib will be the first available treatment
option specific for the subset of patients who have certain fibroblast
growth factor receptor (FGFR) genetic alterations that are detected by
an FDA-approved test. The applicant also believes that Erdafitinib
represents a significant clinical improvement because the technology
reduces mortality, decreases pain, and reduces recovery time.
To support its assertions of substantial clinical improvement, the
applicant submitted the results of a Phase I dose-escalation study for
the use of Erdafitinib in the target patient population for which the
applicant asserts Erdafitinib would be the first available treatment
option and represents a substantial clinical improvement, which is
patients who had been diagnosed with advanced solid tumors for which
standard curative treatment appeared no longer effective. With a sample
size of 65 patients, patients received escalating oral doses of
Erdafitinib ranging from 0.5 mg to 12 mg, administered continuously
daily, or oral doses of Erdafitinib of 10 mg or 12 mg administered on a
7-days-on/7-days-off intermittent schedule. The study intended to
identify the Recommended Phase II Dose (RP2D) and investigate the
safety and pharmacodynamics of the drug. The applicant stated that the
initial RP2D was considered 9 mg continuous daily dosing and 10 mg for
intermitted dosing on the basis of improved tolerability.
The applicant also provided data from a multi-center, open-label
Phase II study of 99 patients, ages 36 years old to 87 years old, with
the median age being 68 years old, who had been diagnosed with
metastatic or unresectable urothelial carcinoma that had specific FGFR
alterations and were treated with a starting daily dose of Erdafitinib
of 8 mg. The applicant noted the study included 87 patients who
progressed after at least or more than 1 line of prior chemotherapy or
within 12 months of (neo) adjuvant chemotherapy. According to the
applicant, the objective response rate (ORR) measured by Response
Evaluation Criteria in Solid Tumors (RECIST) version 1.1 criteria was
40.4 percent (95 percent confidence interval [CI], 30.7 percent to 50.1
percent; 3.0 percent complete responses and 37.4 percent partial
responses). The disease control rate (complete responses, partial
responses, and stable disease) was 79.8 percent. The ORRs were similar
in chemotherapy-na[iuml]ve patients versus patients who progressed/
relapsed after chemotherapy (41.7 percent versus 40.2 percent) and in
patients who had visceral metastases versus those who did not (38.5
percent versus 47.6 percent). The median time to response was 1.4
months, and the median duration of response was 5.6
[[Page 19325]]
months (95 percent CI, 4.2 months to 7.2 months). The applicant noted
that the results demonstrated a median progression-free survival of 5.5
months (95 percent CI, 4.2 months to 6.0 months) and a median overall
survival of 13.8 months (95 percent CI, 9.8 months-not estimable). In
an exploratory analysis of 22 patients previously treated with
immunotherapy, the ORR was 59 percent; response to prior immunotherapy
(per investigator) in these patients was 5 percent.188 189
---------------------------------------------------------------------------
\188\ Nishina, T., Takahashi, S., Iwasawa, R., et al., ``Safety,
pharmacokinetic, and pharmacodynamics of erdafitinib, a pan-
fibroblast growth factor receptor (FGFR) tyrosine kinase inhibitor,
in patients with advanced or refractory solid tumors,'' Invest New
Drugs, 2018, vol. 36, pp. 424-434.
\189\ Tabernero, J., Bahleda, R., Dienstmann, R., et al.,
``Phase I Dose-Escalation Study of JNJ-42756493, an Oral Pan-
Fibroblast Growth Factor Receptor Inhibitor, in Patients With
Advanced Solid Tumors,'' J Clin Onc, Vol. 33(30), October 20, 2015,
pp. 3001-3008.
---------------------------------------------------------------------------
The applicant also referenced an ongoing Phase III study, but
indicated that the data was not available at the time of the
application's submission.
We have the following concerns with regard to whether the
technology meets the substantial clinical improvement criterion. First,
the applicant did not provide substantial data comparing Erdafitinib to
existing therapies. Additionally, the studies that were provided were
based on small sample sizes, open-labeled, and presented without a
complete comparison to existing therapies. Due to the limited nature of
available data, we have concerns that we may not have enough
information to determine if Erdafitinib represents a substantial
clinical improvement over existing technologies.
We are inviting public comments on whether Erdafitinib meets the
substantial clinical improvement criterion.
We did not receive any written public comments in response to the
New Technology Town Hall meeting notice published in the Federal
Register regarding the substantial clinical improvement criterion for
Erdafitinib or at the New Technology Town Hall meeting.
i. ERLEADATM (Apalutamide)
Johnson & Johnson Health Care Systems Inc., on behalf of Janssen
Products, LP, Inc., submitted an application for new technology add-on
payments for ERLEADATM (apalutamide) for FY 2020.
ERLEADATM received FDA approval on February 14, 2018. This
oral drug is an androgen receptor inhibitor indicated for the treatment
of patients who have been diagnosed with non-metastatic castration-
resistant prostate cancer (nmCRPC).
Prostate cancer is the second leading cause of cancer death in
men.\190\ Androgens, a type of hormone that includes testosterone, can
promote tumor growth. Androgen-deprivation therapy (ADT) is initially
an effective way to treat prostate cancer. However, almost all men with
prostate cancer eventually develop castration-resistant disease, or
cancer that continues to grow despite treatment with hormone therapy or
surgical castration.\191\ Non-metastatic castration-resistant prostate
cancer (nmCRPC) is a clinical state in which cancer has not spread to
other parts of the body, but continues to grow despite treatment with
ADT, either medical or surgical, that lowers testosterone levels.
Delaying metastases, or extending metastasis-free survival (MFS), may
delay symptomatic progression, morbidity, mortality, and healthcare
resource utilization. According to the applicant, nearly all men who
die from prostate cancer have antecedent metastases to bone or other
sites. ERLEADATM blocks the effect of androgens on the tumor
in order to delay metastases, a major cause of complications and death
among men with prostate cancer. Prior to ERLEADATM, there
were no FDA-approved treatments for nmCRPC to delay the onset of
metastatic castration-resistant prostate cancer (mCRPC).\192\ The U.S.
incidence of nmCRPC is estimated to be 50,000 to 60,000 cases per
year.\193\
---------------------------------------------------------------------------
\190\ American Cancer Society. https://www.cancer.org/research/cancer-facts-statistics/all-cancer-facts-figures/cancer-facts-figures-2019.html.
\191\ Dai, C., Heemers, H., Sharifi, N., ``Androgen signaling in
prostate cancer,'' Cold Spring Harb Perspect Med, 2017, vol. 7(9),
pp. a030452.
\192\ Center for Drug Evaluation and Research. NDA/BLA Multi-
Disciplinary Review and Evaluation (Summary Review, Office Director,
Cross Discipline Team Leader Review, Clinical Review, Non-Clinical
Review, Statistical Review and Clinical Pharmacology Review) NDA
210951--ERLEADA (apalutamide)--Reference ID: 4221387. Available at:
https://www.accessdata.fda.gov/drugsatfda_docs/nda/2018/210951Orig1s000MultidisciplineR.pdf. Published March 19, 2018.
\193\ Beaver, Julia A., Kluetz, Paul, Pazdur, Richard,
``Metastasis-free Survival--A New End Point in Prostate Cancer
Trials,'' 2018, N Eng J of Med, vol. 378, pp. 2458-2460, 10.1056/
NEJMp1805966.
---------------------------------------------------------------------------
With respect to the newness criterion, ERLEADATM
(apalutamide) was granted Fast Track and Priority Review designations
under FDA's expedited programs, and received FDA approval on February
14, 2018 for the treatment of patients who have been diagnosed with
non-metastatic castration-resistant prostate cancer. Currently, there
are no ICD-10-PCS procedure codes to uniquely identify the
administration of ERLEADATM. We note that the applicant
submitted a request for approval for a unique ICD-10-PCS code for the
administration of ERLEADATM beginning in FY 2020.
As discussed above, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would not be considered ``new''
for purposes of new technology add-on payments.
With regard to the first criterion, whether a product uses the same
or a similar mechanism of action to achieve a therapeutic outcome, the
applicant maintained that ERLEADATM is new because it was
the first drug approved by the FDA with its mechanism of action.
Specifically, ERLEADATM is an androgen receptor (AR)
inhibitor that binds directly to the ligand-binding domain of the AR.
It has a trifold mechanism of action. Apalutamide inhibits AR nuclear
translocation, inhibits DNA binding, and impedes AR-mediated
transcription, which together inhibit tumor cell growth.\194\ According
to the applicant, in non-clinical studies, apalutamide administration
caused decreased tumor cell proliferation and increased apoptosis
leading to decreased tumor volume in mouse xenograft models of prostate
cancer. Furthermore, the applicant asserted that in additional non-
clinical studies, apalutamide was shown to have a higher binding
affinity to the androgen receptor than bicalutamide (CASODEX), a first-
generation anti-androgen that has been used in clinical practice for
the treatment of nmCRPC. However, the applicant noted that bicalutamide
is not FDA-approved for this indication nor is there Phase III data
available on its use in this population. In addition, according to the
applicant, apalutamide has a different mechanism of action than
bicalutamide because it does not show antagonist-to-antagonist switch
like bicalutamide.
---------------------------------------------------------------------------
\194\ Clegg, N.J., Wongvipat, J., Joseph, J.D., et al., ``ARN-
509: a novel antiandrogen for prostate cancer treatment,'' Cancer
Res, 2012, vol. 72(6), pp. 1494-503.
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With regard to the second criterion, whether a product is assigned
to the same or different MS-DRG, the applicant noted that patients who
may be eligible to receive treatment involving ERLEADATM in
the inpatient setting will likely be hospitalized due to other
conditions. Therefore, the applicant explained that potential cases
eligible to receive treatment involving ERLEADATM are likely
to be assigned to a wide variety of MS-DRGs, and
[[Page 19326]]
ERLEADATM is similar to existing technologies in this
respect.
With regard to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, the applicant
maintained that ERLEADATM was the first FDA-approved
treatment option for patients who have been diagnosed with nmCRPC.
According to the applicant, there are a number of therapies currently
available for patients who have been diagnosed with mCRPC, including
chemotherapy, continuous ADT, immunotherapy, radiation therapy,
radiopharmaceutical therapy, and androgen pathway treatments, including
secondary hormonal therapies and supportive care. However, prior to
ERLEADATM, there were no FDA-approved treatment options for
patients who have been diagnosed with nmCRPC to delay the onset of
mCRPC. Therefore, according to the applicant, ERLEADATM
provides a treatment option to patients who have been diagnosed with a
stage of prostate cancer that previously had no other approved
treatment options available, and the standard approach was ``watch and
wait/observation.'' The applicant stated that both the National
Comprehensive Cancer Network[supreg] (NCCN[supreg]) guidelines for
prostate cancer and American Urological Association (AUA) guidelines
for castration-resistant prostate cancer note the limited treatment
options for nmCRPC as compared to mCRPC. The applicant pointed out that
apalutamide is highly recommended, as one of the two treatments with a
Category 1 recommendation included in the NCCN[supreg] guidelines and
standard treatment options for asymptomatic nmCRPC based on evidence
level Grade A in the AUA guidelines.195 196 Therefore, the
applicant posited that ERLEADATM involves the treatment of a
new patient population because it is a new treatment option for
patients who have been diagnosed with nmCRPC and have limited available
treatment options.
---------------------------------------------------------------------------
\195\ NCCN Clinical Practice Guidelines in Oncology (NCCN
Guidelines[supreg]): Prostate Cancer (Version 4.2018). National
Comprehensive Cancer Network. Available at: www.nccn.org. Published
August 15, 2018.
\196\ Lowrance, W.T., Murad, M.H., Oh, W.K., et al.,
``Castration-Resistant Prostate Cancer: AUA Guideline Amendment
2018,'' J Urol, 2018, pii: S0022-5347(18)43671-3.
---------------------------------------------------------------------------
As summarized above, the applicant maintained that
ERLEADATM meets the newness criterion and is not
substantially similar to existing technologies because it has a unique
mechanism of action and offers an effective treatment option to a new
patient population with limited available treatment options. We are
inviting public comments on whether ERLEADATM meets the
newness criterion.
With regard to the cost criterion, the applicant conducted the
following analysis to demonstrate that the technology meets the cost
criterion. In order to identify the range of MS-DRGs to which cases
representing potential patients who may be eligible for treatment using
ERLEADATM may map, the applicant identified cases that would
be eligible for use of ERLEADATM by the presence of two ICD-
10-CM diagnosis code combinations: C61 (Malignant neoplasm of prostate)
in combination with R97.21 (Rising PSA following treatment for
malignant neoplasm of prostate); or C61 in combination with Z19.2
(Hormone resistant malignancy status). The applicant searched the FY
2017 MedPAR final rule file (claims from FY 2015) for claims with the
presence of the two code combinations above. Cases identified mapped to
a wide variety of MS-DRGs. The applicant eliminated all hospital stays
of fewer than 4 days from its analysis because of its assumption that
most hospitals would not provide ERLEADATM for short-stay
inpatients. The applicant also assumed that any hospital stay 4 days or
longer would involve the daily provision of ERLEADATM. This
resulted in 493 cases across 152 MS-DRGs, with approximately 33 percent
of all cases mapping to the following 9 MS-DRGs: MS-DRG 871 (Septicemia
or Severe Sepsis without MV >96 Hours with MCC); MS-DRG 543
(Pathological Fractures and Musculoskeletal and Connective Tissue
Malignancy with CC); MS-DRG 683 (Renal Failure with CC); MS-DRG 723
(Malignancy, Male Reproductive System with CC); MS-DRG 722 (Malignancy,
Male Reproductive System with MCC); MS-DRG 698 (Other Kidney and
Urinary Tract Diagnoses with MCC); MS-DRG 699 (Other Kidney and Urinary
Tract Diagnoses with CC); MS-DRG 682 (Renal Failure with MCC); and MS-
DRG 948 (Signs and Symptoms without MCC).
For the 493 identified cases, the average case-weighted
unstandardized charge per case was $66,559. The applicant then
standardized the charges using the FY 2017 IPPS/LTCH PPS final rule
Impact file. Because ERLEADATM would not replace any other
therapies occurring during the inpatient stay, the applicant did not
remove any charges for the current treatment. The applicant then
applied the 2-year inflation factor of 8.59 percent (1.085868)
published in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41718) to
inflate the charges from FY 2017 to FY 2019. We note that the inflation
factors were revised in the FY 2019 IPPS/LTCH PPS final rule correction
notice. The corrected final 2-year inflation factor is 1.08986 (83 FR
49844). The applicant converted the costs of ERLEADATM to
charges using the inverse of the FY 2019 IPPS/LTCH PPS final rule
pharmacy national average CCR of 0.191 (83 FR 41273) to include the
charges in its estimate. Based on the FY 2019 IPPS/LTCH PPS final rule
correction notice data file thresholds, the average case-weighted
threshold amount was $52,362. The average case-weighted standardized
charge per case was $76,901. Because the average case-weighted
standardized charge per case exceeds the average case-weighted
threshold amount, the applicant maintained that the technology meets
the cost criterion.
The applicant submitted an additional cost analysis including
hospital stays shorter than 4 days to demonstrate that
ERLEADATM also meets the cost criterion using all discharges
in the analysis, regardless of length of stay. While the applicant
maintained that ERLEADATM is unlikely to be administered by
the hospital for inpatient stays fewer than 4 days, the applicant
demonstrated that the average case-weighted standardized charge per
case ($57,150) continues to exceed the average case-weighted threshold
amount ($50,225) using all discharges (932 cases).
We note that the applicant used the proposed rule values to inflate
the standardized charges above. However, we further note that even when
using either the final rule values or the corrected final rule values
to inflate the charges, the average case-weighted standardized charge
per case exceeded the average case-weighted threshold amount in each
analysis. We are inviting public comments on whether
ERLEADATM meets the cost criterion.
With respect to the substantial clinical improvement criterion, the
applicant asserted that ERLEADATM represents a substantial
clinical improvement because: (1) The technology offers a treatment
option for a patient population previously ineligible for treatments,
because ERLEADATM is the first FDA-approved treatment for
patients who have been diagnosed with nmCRPC; and (2) use of the
technology significantly improves clinical outcomes for a patient
population because ERLEADATM was shown to significantly
improve a number of clinical outcomes in the
[[Page 19327]]
randomized Phase III SPARTAN trial,\197\ including significant
improvement in metastasis-free survival (MFS).
---------------------------------------------------------------------------
\197\ Smith, M.R., et al., ``Apalutamide Treatment and
Metastasis-free Survival in Prostate Cancer,'' N Engl J Med, 2018,
vol. 12;378(15), pp. 1408-1418.
---------------------------------------------------------------------------
First, the applicant stated that there were no FDA-approved
treatments to delay metastasis for patients who have been diagnosed
with nmCRPC, a small but important clinical state within the spectrum
of prostate cancer, prior to the FDA approval of ERLEADATM.
The applicant emphasized that until the FDA approved the use of
ERLEADATM, Medicare patients who have been diagnosed with
nmCRPC had extremely limited treatment options, and the standard
approach was ``watch and wait/observation.'' The applicant asserted
that ERLEADATM offers a promising new treatment option and
has been shown to improve MFS in a Phase III trial \198\ with a
demonstrated safety and tolerability profile and no negative impact to
health-related quality of life based on patient-reported outcomes.
Therefore, the applicant stated that the ``robust results'' of the
clinical trial demonstrate that ERLEADATM is a substantial
clinical improvement over existing technologies because it provides an
effective treatment option for a patient population previously
ineligible for treatments.
---------------------------------------------------------------------------
\198\ Ibid.
---------------------------------------------------------------------------
Second, the applicant maintained that ERLEADATM is a
substantial clinical improvement because ERLEADATM was shown
to significantly improve a number of clinical outcomes, most notably
MFS. Metastases are a major cause of complications and death among men
with prostate cancer. Therefore, according to the applicant, delaying
metastases may delay symptomatic progression, morbidity, mortality, and
healthcare resource utilization. ERLEADATM was approved by
the FDA based on a prostate cancer trial using the primary endpoint of
MFS, with overall survival used as a secondary endpoint.
The SPARTAN trial was a randomized, double-blind, placebo-
controlled, Phase III trial which included men who had been diagnosed
with nmCRPC and a prostate-specific antigen doubling time of 10 months
or less. Patients were randomly assigned, in a 2:1 ratio, to receive
apalutamide (240 mg per day) or placebo. A total of 1,207 men underwent
randomization (806 to the apalutamide group and 401 to the placebo
group). All of the patients continued to receive androgen-deprivation
therapy. The primary end point of MFS was defined as the time from
randomization to the first detection of distant metastasis on imaging
or death. The study team calculated that a sample of 1,200 patients
with 372 primary end-point events would provide the trial with 90
percent power to detect a hazard ratio for metastasis or death in the
apalutamide group versus the placebo group of 0.70, at a two-sided
significance level of 0.05. The Kaplan-Meier method was used to
estimate medians for each trial group. The primary statistical method
of comparison for time-to-event end points was a log-rank test with
stratification according to the pre-specified factors. Cox
proportional-hazards models were used to estimate the hazard ratios and
95 percent confidence intervals.
According to the applicant, results of the primary endpoint
analysis for MFS were both statistically significant and clinically
meaningful. Median MFS was 40.5 months in the apalutamide group as
compared with 16.2 months in the placebo group (hazard ratio [HR]=0.28;
95 percent confidence interval [CI]: 0.23, 0.35; P<0.0001). In other
words, ERLEADATM significantly prolonged MFS by 2 years in
men who had been diagnosed with nmCRPC. In a multi-variate analysis,
treatment with ERLEADATM was an independent predictor for
longer MFS (HR: 0.26; 95 percent CI: 0.21-0.32; P<0.0001). The
treatment effect of ERLEADATM on MFS was consistently
favorable across pre-specified subgroups, including patients with
Prostate Specific Antigen doubling time (PSADT) of less than 6 months
versus more than 6 months (short PSA doubling time is a predictor of
metastasis), use of bone-sparing agents, and local-regional disease.
Additionally, the applicant stated that the validity of the primary
endpoint results is supported by improvements in all secondary
endpoints, with significant improvement observed in time to metastasis,
progression-free survival (PFS), and time to symptomatic progression
(all P<0.001) for ERLEADATM compared to placebo.
According to the applicant, treatment with ERLEADATM
significantly extended time to metastasis by almost 2 years (40.5
months versus 16.6 months, P<0.001). In addition, time to bone
metastasis and nodal metastasis in particular were both significantly
longer (P<0.0001) in the ERLEADATM group compared to the
placebo group.
According to the applicant, ERLEADATM was also
associated with a significant improvement in the secondary endpoint of
PFS, at 40.5 months for the ERLEADATM group versus 14.7
months for the placebo group (P<0.001). In a multi-variate analysis of
patients treated in the SPARTAN study, treatment with
ERLEADATM was an independent predictor for longer time to
symptomatic progression (reached versus not reached; P<0.001).
The applicant also included the results of additional secondary
endpoints for CMS consideration as evidence of substantial clinical
improvement, including a suggested overall survival (OS) benefit;
demonstrated safety profile; maintained quality of life; and decreased
prostate specific antigen (PSA) levels.
While OS data were not mature at the time of final MFS analysis
(only 24 percent of the required number of OS events were available for
analysis), the applicant asserted that OS results suggested a benefit
of treatment using ERLEADATM as compared to placebo. The
applicant explained that, according to a statistical analysis model
correlating the proportion of variability of OS attributable to the
variability of MFS, patients who developed metastases at 6, 9, and 12
months had significantly shorter median OS compared with those patients
without metastasis.
The applicant also stated that treatment using ERLEADATM
provides an effective option with a demonstrated safety profile and
tolerability for patients who have been diagnosed with nmCRPC. The
safety of the use of ERLEADATM was assessed in the SPARTAN
trial, and adverse events (AEs) that occurred at >=15 percent in either
group included: Fatigue, hypertension, rash, diarrhea, nausea, weight
loss, arthralgia, and falls. The applicant asserted that in considering
the risks and benefits of treatment involving the use of
ERLEADATM for patients who have been diagnosed with nmCRPC,
the FDA noted that there were no FDA-approved treatments for the
indication and that ERLEADATM had a favorable risk-benefit
profile.
Next, the applicant stated that the use of ERLEADATM
also has a substantial clinical improvement benefit of maintaining
quality of life. According to the applicant, patients who have been
diagnosed with nmCRPC are generally asymptomatic, so it is a positive
outcome if the addition of a therapy does not cause degradation of
health-related quality of life. The applicant maintained that in
asymptomatic men who have been diagnosed with high-risk nmCRPC, health-
related quality of life (HRQOL) was maintained after
[[Page 19328]]
initiation of the use of ERLEADATM.\199\ According to the
applicant, patient-reported outcomes using the Functional Assessment of
Cancer Therapy-Prostate [FACT-P] questionnaire and European Quality of
Life-5 Dimensions-3 Levels [EQ-5D-3L] questionnaire results indicated
that patients who received treatment involving ERLEADATM
maintained stable overall HRQOL outcomes over time from both treatment
groups.
---------------------------------------------------------------------------
\199\ Saad, F., et al., ``Effect of apalutamide on health-
related quality of life in patients with non-metastatic castration-
resistant prostate cancer: an analysis of the SPARTAN randomized,
placebo- controlled, phase 3 trial,'' Lancet Oncology, 2018 Oct;
Epub 2018 Sep 10.
---------------------------------------------------------------------------
Additionally, the applicant discussed prostate specific antigen
(PSA) outcomes as another secondary result demonstrating substantial
clinical improvement. PSA, a protein produced by the prostate gland, is
often present at elevated levels in men who have been diagnosed with
prostate cancer and PSA tests are used to monitor the progression of
the disease. According to the applicant, at 12 weeks after
randomization, the median PSA level had decreased by 89.7 percent in
the ERLEADATM group versus an increase of 40.2 percent in
the placebo group. In an exploratory analysis performed by the
applicant of patients treated in the SPARTAN study, the use of
ERLEADATM decreased the risk of PSA progression by 94
percent compared with the patients in the placebo group (not reached vs
3.71 months; HR: 0.064; 95 percent CI: 0.052-0.080; P<0.0001). Overall,
a >=90 percent maximum decline in PSA from baseline at any time during
the study was reported in 66 percent of the patients in the
ERLEADATM group and 1 percent of the patients in the placebo
group, according to the applicant. The applicant noted that increase in
time to PSA progression is relevant from a clinical standpoint for
clinicians and patients alike because PSA monitoring, rather than the
use of regularly scheduled surveillance imaging, as was the case with
SPARTAN, is often the most practical method of screening for
progression of nmCRPC.
We have the following concerns regarding the applicant's assertions
of substantial clinical improvement:
Regarding the SPARTAN trial design, we are concerned that
the study enrollment may not be representative of the U.S. population
considering that North American enrollment was only 35 percent of
patients overall, and only approximately 6 percent of enrolled patients
were black. Underrepresentation of black patients is of particular
concern considering that, in the United States, African-American
patients are disproportionately affected by prostate cancer. According
to the CDC,\200\ the rate of new prostate cancers by race is 158.3 per
100,000 men for African-Americans, compared to 90.2 for whites, 78.8
for Hispanics, 51.0 for Asian/Pacific Islanders, and 49.6 for American
Indians/Alaska Natives. We are concerned that, based on an exploratory
subgroup analysis performed by the applicant, black patients may not
have performed better in the treatment group; while the hazard ratio of
0.63 (95 percent confidence interval: 0.23, 1.72) suggests a benefit to
the group treated with ERLEADATM, the median MFS for this
subgroup was reported as shorter for the ERLEADATM group at
25.8 months than for the placebo group, at 36.8 months.\201\
Additionally, we note that 23 percent of the patients in the SPARTAN
trial did not have definitive local therapy at baseline for their
diagnosis of prostate cancer, which is accepted standard-of-care in the
United States.
---------------------------------------------------------------------------
\200\ U.S. Department of Health and Human Services, Centers for
Disease Control and Prevention and National Cancer Institute, U.S.
Cancer Statistics Working Group, U.S. Cancer Statistics Data
Visualizations Tool, based on November 2017 submission data (1999-
2015), Availavle at: www.cdc.gov/cancer/dataviz, June 2018.
\201\ Smith, M.R., et al., ``Apalutamide Treatment and
Metastasis-free Survival in Prostate Cancer,'' N Engl J Med, 2018,
vol. 12;378(15), pp. 1408-1418.
---------------------------------------------------------------------------
In response to this concern about low North American enrollment and
subgroup underrepresentation, the applicant submitted additional
information claiming a consistent treatment effect across all
subpopulations and regions. The applicant also pointed to the low
hazard ratio for the subgroup of black patients as support for the
benefit of the use of ERLEADATM. We welcome additional
information and public comments on whether the SPARTAN trial results
are generalizable to the U.S. population, and in particular, African-
American patients.
We also note regarding the SPARTAN trial that a total of
7.0 percent of the patients in the ERLEADATM group and 10.6
percent of the patients in the placebo group withdrew consent from the
trial. Additional explanation from the applicant of how those that
withdrew were considered in the analysis, and whether there was any
analysis of potential impact of withdrawals on the study results would
be helpful.
We also have concerns about the primary endpoint used for
the SPARTAN trial, MFS. The applicant explained that MFS was determined
to be a reasonable end point for patients who have been diagnosed with
nmCRPC because of the difficulty in using OS as a primary endpoint;
multiple drugs can be used sequentially for advanced disease,
necessitating larger and longer trials and potentially confounding
interpretation of results if attempting to prove that a prostate cancer
drug lengthens OS. Nevertheless, because MFS is not identical to OS and
data on OS was not mature at the time of the study's results, we note
that it may be difficult to conclude based on the current data whether
the use of ERLEADATM improves OS.
To address this concern, the applicant submitted additional
information on MFS as a surrogate clinical endpoint for OS, including a
recent study by the International Clinical Endpoints for Cancer of the
Prostate (ICECaP) Working Group showing a correlation between MFS and
OS in several prostate cancer studies.\202\ The applicant explained
that based on review of 19 randomized, controlled trials evaluating 21
study units in 12,712 men with localized prostate cancer, the
correlation between OS and MFS was 0.91 (95 percent CI: 0.91-0.91) at
the patient level, as measured by Kendall's [tau]. To demonstrate that
MFS is closely linked with OS, the applicant cited a retrospective
analysis of electronic health record database for patients who have
been diagnosed with nmCRPC in which MFS independently predicted
mortality risk; patients developing metastasis within 1 year had 4.4-
fold greater risk for mortality (95 percent CI: 2.2-8.8) than those who
remained metastasis-free at year 3.\203\ The applicant also reiterated
that a significant positive correlation between MFS and OS was observed
in the SPARTAN trial (Pearson's correlation coefficient=0.66;
Spearman's correlation coefficient=0.62, P<0.0001; and Kendall [tau]
statistic=0.52, parametric Fleischer's statistical model correlation
coefficient of 0.69 (standard error, 0.002; 95 percent CI: 0.69-0.70)).
---------------------------------------------------------------------------
\202\ ICECaP Working Group, Sweeney, C., Nakabayashi, M., et
al., ``The development of intermediate clinical endpoints in cancer
of the prostate (ICECaP)'', J Natl Cancer Inst, 2015, vol. 107(12),
pp. djv261.
\203\ Li S, Ding Z, Lin J.H., et al., ``Association of prostate-
specific antigen (PSA) trajectories with risk for metastasis and
mortality in nonmetastatic castration-resistant prostate cancer
(nmCRPC),'' Abstract presented at: 2018 Genitorurinary Cancers
Symposium, February 8-10, 2018, San Francisco, CA.
---------------------------------------------------------------------------
We are inviting public comments on whether ERLEADATM
meets the substantial clinical improvement criterion for patients who
have been
[[Page 19329]]
diagnosed with nmCRPC. We did not receive any written comments in
response to the New Technology Town Hall meeting notice published in
the Federal Register regarding the substantial clinical improvement
criterion for ERLEADATM or at the New Technology Town Hall
meeting.
j. SPRAVATO (Esketamine)
Johnson & Johnson Health Care Systems, Inc., on behalf of Janssen
Pharmaceuticals, Inc., submitted an application for new technology add-
on payments for SPRAVATO (Esketamine) nasal spray for FY 2020. The FDA
indication for SPRAVATO is treatment-resistant depression (TRD).
According to the applicant, major depressive disorder affects
nearly 300 million people of all ages globally and is the leading cause
of disability worldwide. People with major depressive disorder (MDD)
suffer from a serious, biologically-based disease which has a
significant negative impact on all aspects of life, including quality
of life and function.\204\ Although currently available anti-
depressants are effective for many of these patients, approximately
one-third do not respond to treatment.\205\ Patients who have not
responded to at least two different anti-depressant treatments of
adequate dose and duration for their current depressive episode are
considered to have been diagnosed with TRD. MDD in older age is marked
by lower response and remission rates, greater disability and
functional decline, decreased quality of life, and greater mortality
from suicide.206 207 208
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\204\ World Health Organization. (2018, March). Depression.
Available at: https://www.who.int/mediacentre/factsheets/fs369/en/.
\205\ National Institute of Mental Health. (2006, January).
Questions and Answers about the NIMH Sequenced Treatment
Alternatives to Relieve Depression (STAR*D)--Background. Available
at: https://www.nimh.nih.gov/funding/clinical-research/practical/stard/backgroundstudy.shtml.
\206\ Manthorpe, J., & Iliffe, S., ``Suicide in later life:
Public health and practitioner perspectives,'' International Journal
of Geriatric Psychiatry, 2010, vol. 25(12), pp. 1230-1238.
\207\ Lenze, E., Sheffrin, M., Driscoll, H., Mulsant, B.,
Pollock, B., Dew, M., Reynolds, C., ``Incomplete response in late-
life depression: Getting to remission,'' Dialogues in Clinical
Neuroscience, 2008, vol. 10(4), pp. 419-430.
\208\ Alexopoulos, G., & Kelly, R., ``Research advances in
geriatric depression,'' World Psychiatry, 2009, vol. 8(3), pp. 140-
149.
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According to the applicant, currently available pharmacologic
treatments for depression include Selective Serotonin Reuptake
Inhibitors (SSRIs), Serotonin-norepinephrine reuptake inhibitors
(SNRIs), monoamine oxidase inhibitors (MAOIs), tricyclic anti-
depressants (TCAs), other atypical anti-depressants, and adjunctive
atypical antipsychotics. In addition to SPRAVATO, the only
pharmacologic treatment currently approved for treatment-resistant
depression is a combination of two drugs: An antipsychotic and an SSRI
(fluoxetine/olanzapine combination). Currently available non-
pharmacological medical treatments include electroconvulsive therapy,
vagal nerve stimulation, deep brain stimulation (DBS), transcranial
direct current stimulation (tDCS), and repetitive transcranial magnetic
stimulation (rTMS).
According to the applicant, SPRAVATO is a non-competitive, subtype
non-selective, activity-dependent glutamate receptor modulator. The
applicant indicates that SPRAVATO works through increased glutamate
release resulting in downstream neurotrophic signaling facilitating
synaptic plasticity, thereby bringing about rapid and sustained
improvement in people who have been diagnosed with TRD. The applicant
explained that, through glutamate receptor modulation, SPRAVATO helps
to restore connections between brain cells in people who have been
diagnosed with TRD.\209\
---------------------------------------------------------------------------
\209\ Sanacora, G., et. al., ``Targeting the Glutamatergic
System to Develop Novel, Improved Therapeutics for Mood Disorders,''
Nat Rev Drug Discov., 2008, pp. 426-437.
---------------------------------------------------------------------------
According to the applicant, the nasal spray device is a single-use
device that delivers a total of 28 mg of SPRAVATO in two sprays (one
spray per nostril). The applicant has approved dosages of 56 mg (two
devices) or 84 mg (three devices), with a 28 mg (one device) available
for patients 65 years old and older. The treatment session consists of
healthcare supervision of the patient's self-administration of SPRAVATO
HCL to ensure proper usage and post-administration observation to
ensure patient stability. Specifically, clinicians will need to monitor
blood pressure and mental status changes. The applicant states that
monitoring will be required at every administration session.
With respect to the newness criterion, the applicant submitted a
New Drug Application (NDA) for SPRAVATO HCL Nasal Spray based on a
recently completed Phase III clinical development program for
treatment-resistant depression. According to the applicant, SPRAVATO
was granted a Breakthrough Therapy designation in 2013. SPRAVATO HCL
Nasal Spray was approved by the FDA with an effective date of March 5,
2019. Currently there are no ICD-10-PCS procedure codes to uniquely
identify the administration of SPRAVATO HCL Nasal Spray. The applicant
has submitted a request for approval for a unique ICD-10-PCS procedure
code to specifically identify cases involving the administration of
SPRAVATO HCL, beginning in FY 2020.
As discussed above, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would not be considered ``new''
for purposes of new technology add-on payments.
With regard to the first criterion, whether a product uses the same
or similar mechanism of action, the applicant asserts that SPRAVATO has
a unique mechanism of action. The applicant stated that SPRAVATO's
unique mechanism of action is the first new approach in 30 years for
the treatment of major depressive disorder, including treatment-
resistant depression.210 211 According to the applicant,
unlike existing approved anti-depressant pharmacotherapies, SPRAVATO's
anti-depressant activity does not primarily modulate monoamine systems
(norepinephrine, serotonin, or dopamine). The applicant asserts that
SPRAVATO restores connections between brain cells in people with
treatment-resistant depression through glutamate receptor modulation,
which results in downstream neurotropic signaling.\212\
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\210\ Duman, R. (2018). Ketamine and rapid-acting anti-
depressants: a new era in the battle against depression and suicide.
F1000Research, 7, 659. doi:10.12688/f1000research.14344.1.
\211\ Dubovsky, S., ``What Is New about New Anti-depressants?,''
Psychotherapy and Psychosomatics, 2018, vol. 87(3), pp. 129-139,
doi:10.1159/000488945.
\212\ Sanacora, G., et al., ``Targeting the Glutamatergic System
to Develop Novel, Improved Therapeutics for Mood Disorders,'' Nat
Rev Drug Discov., 2008, pp. 426-437.
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With regard to the second criterion, whether the technology is
assigned to the same or different MS-DRG, the applicant asserts that it
is likely that potential cases representing patients who may be
eligible for treatment involving the use of SPRAVATO HCL Nasal Spray
would be assigned to the same MS-DRGs as patients who receive treatment
involving currently available anti-depressants (AD).
With regard to the third criterion, whether the technology treats
the same or a similar disease or the same or similar patient
population, the applicant asserts that potential patients who may be
eligible to receive treatment involving SPRAVATO will be comprised of a
subset of patients who are receiving treatment involving currently
available anti-depressants. The applicant did not specifically
[[Page 19330]]
address the application of this criterion to SPRAVATO.
We are inviting public comments on whether SPRAVATO is
substantially similar to any existing technologies and whether it meets
the newness criterion.
With regard to the cost criterion, the applicant conducted the
following analysis to demonstrate that the technology meets the cost
criterion. To identify cases eligible for SPRAVATO, the applicant
searched the FY 2017 MedPAR data file for claims with the presence of
one of the following ICD-10-CM diagnosis codes: F33 (Major depressive
disorder, recurrent), F33.2 (Major depressive disorder, recurrent
severe without psychotic features), F33.3 (Major depressive disorder,
recurrent, severe with psychotic symptoms), and F33.9 (Major depressive
disorder, recurrent, unspecified). Claims from the FY 2017 MedPAR data
file with the presence of one of these ICD-10-CM diagnosis codes mapped
to a wide variety of MS-DRGs. The applicant excluded claims if they had
one or more diagnoses from the following list: (1) Aneurysmal vascular
disease; (2) intracerebral hemorrhage; (3) dementia; (4)
hyperthyroidism; (5) pulmonary insufficiency; (6) uncontrolled brady-
or tachyarrhythmias; (7) history of brain injury; (8) hypertensive; (9)
encephalopathy; (10) other conditions associated with increased
intracranial pressure; and (10) pregnancy. The applicant believed that
these conditions would preclude the use of SPRAVATO HCL. The applicant
also assumed that hospitals would not allow administration of SPRAVATO
HCL for short-stay inpatient hospitalizations and, therefore, excluded
all hospitalizations of fewer than 5 days. The applicant assumed that
patients would be allowed to administer their first dose on the 5th day
and every 7 days thereafter. Lastly, the applicant assumed that, based
on clinical data, patients would use 2.5 spray devices per treatment,
once a week.
After applying the inclusion and exclusion criteria described
above, the applicant identified a total of 3,437 potential cases
mapping to 439 MS-DRGs, with approximately 54.7 percent of cases
mapping to MS-DRGs 885 (Psychoses), 871 (Septicemia or Severe Sepsis
without MV >96 Hours with MCC), 917 (Poisoning & Toxic Effects of Drugs
with MCC), 897 (Alcohol/Drug Abuse or Dependence without Rehabilitation
Therapy without MCC), 291 (Heart Failure & Shock with MCC or Peripheral
Extracorporeal Membrane Oxygenation (ECMO)), 918 (Poisoning & Toxic
Effects of Drugs without MCC), 190 (Chronic Obstructive Pulmonary
Disease with MCC), 853 (Infectious & Parasitic Diseases with O.R.
Procedure with MCC), 683 (Renal Failure with CC), and 682 (Renal
Failure with MCC). The applicant further defined the potential cases
representing patients who may be eligible for treatment involving the
use of SPRAVATO HCL in the cost criterion analysis by reducing the
number of cases in each MS-DRG by one-third due to clinical data
indicating that approximately one-third of patients who have been
diagnosed with MDD also have been diagnosed with TRD.213 214
---------------------------------------------------------------------------
\213\ National Institute of Mental Health. (2006, January).
Questions and Answers about the NIMH Sequenced Treatment
Alternatives to Relieve Depression (STAR*D)--Background. Available
at: https://www.nimh.nih.gov/funding/clinical-research/practical/stard/backgroundstudy.shtml.
\214\ Rush, A.J., Trivedi, M., Wisniewski, S., Nierenberg, A.,
Steward, J., Warden, D., Fava, M., ``Acute and Longer-term Outcomes
in Depressed Outpatients Requiring One or Several Treatment Steps: A
STAR*D report,'' American Journal of Psychiatry, 2006, vol, 163(11),
pp. 1905-1917.
---------------------------------------------------------------------------
The applicant calculated the average case-weighted unstandardized
charge per case to be $73,119. Because the use of SPRAVATO HCL is not
expected to replace prior treatments, the applicant did not remove any
charges for the prior technology. The applicant then standardized the
charges and applied a 2-year inflation factor of 1.08986 obtained from
the FY 2019 IPPS/LTCH PPS final rule correction notice (83 FR 49844).
The applicant then added charges for the new technology to the inflated
average case-weighted standardized charges per case. No other related
charges were added to the cases. The applicant calculated a final
inflated average case-weighted standardized charge per case of $74,738
and an average case-weighted threshold amount of $48,864. Because the
final inflated average case-weighted standardized charge per case
exceeded the average case-weighted threshold amount, the applicant
maintained that the technology met the cost criterion.
With regard to the analysis above, we are concerned whether it is
appropriate to reduce the number of cases to one-third of the total
potential cases identified. While the supporting statistical data
provided by the applicant suggest that one-third of patients who have
been diagnosed with MDD often also receive diagnoses of TRD, it is
unclear which cases representing patients should be removed. It is
possible that patients who have been diagnosed with MDD are covered by
all 439 MS-DRGs, but patients who have been diagnosed with TRD only
exist in a certain subset of these same MS-DRGs. Further, those
patients who have been diagnosed with TRD could account for the most
costly of patients who have been diagnosed with MDD. Ultimately,
without further evidence, we may not be able to verify that the
assumption that patients who have been diagnosed with TRD comprise one-
third of the identified cases representing patients who have been
diagnosed with MDD and are evenly distributed across all of the MS-DRG
identified cases is appropriate. We are inviting public comments on
this issue and whether the SPRAVATO HCL Nasal Spray meets the cost
criterion.
With respect to the substantial clinical improvement criterion, the
applicant asserted that SPRAVATO HCL Nasal Spray represents a
substantial clinical improvement over existing treatments because it
provides a treatment option for a patient population that failed
available treatments and who have shown inadequate response to at least
two anti-depressants in their current episode of MDD.\215\ According to
the applicant, in addition to SPRAVATO HCL, there is currently only one
other pharmacotherapy used for the treatment for diagnoses of TRD that
is approved by the FDA (Symbyax[supreg], a fluoxetine-olanzapine
combination), but its use is limited by tolerability concerns.\216\ In
support of its assertions of substantial clinical improvement, the
applicant provided several studies regarding SPRAVATO HCL.
---------------------------------------------------------------------------
\215\ Rush, A.J., Trivedi, M., Wisniewski, S., Nierenberg, A.,
Steward, J., Warden, D., Fava, M., ``Acute and Longer-term Outcomes
in Depressed Outpatients Requiring One or Several Treatment Steps: A
STAR*D report,'' American Journal of Psychiatry, 2006, vol. 163(11),
pp. 1905-1917.
\216\ Cristancho, M., & Thase, M, ``Drug safety evaluation of
olanzapine/fluoxetine combination,'' Expert Opinion on Drug Safety,
2014, vol. 13(8), pp. 1133-1141.
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The first study is a Phase II, double-blind, doubly-randomized,
placebo-controlled, multi-center study in adults aged 20 years old to
64 years old.\217\ This study consisted of the following four phases:
The screening, double-blind treatment, the optional open-label
treatment, and post-treatment follow-up. During the treatment phase,
two periods of treatment occurred between the 1st and the 8th day and
the 8th and the 15th day. At the beginning of first treatment period,
participants were randomized 3:1:1:1 to an intranasal placebo, SPRAVATO
HCL 28 mg, 56 mg, or 84 mg twice weekly, respectively. During the
second treatment period,
[[Page 19331]]
patients who were initially randomized to treatment groups remained on
the treatment regimen until the 15th day. Patients initially assigned
to the placebo group and who had moderate to severe symptoms (as
measured by the 16-item quick inventory of depressive symptomatology-
self report total score) were re-randomized 1:1:1:1 to placebo,
SPRAVATO HCL 28 mg, 56 mg, or 84 mg twice weekly groups, respectively.
---------------------------------------------------------------------------
\217\ Daly, E., Singh, J., Fedgchin, M., Cooper, K., Lim, P.,
Shelton, R., Drevets, W., ``Efficacy and Safety of Intranasal
Esketamine Adjunctive to Oral Anti-depressant Therapy in Treatment-
Resistant Depression,'' JAMA Psychiatry, 2018, vol. 75(2), pp. 139-
148.
---------------------------------------------------------------------------
Of the 126 patients screened, 67 were randomized at the beginning
of the first treatment period, with 33 patients receiving placebo, 11
patients receiving 28 mg of SPRAVATO HCL, 11 patients receiving 56 mg
of SPRAVATO HCL, and 12 patients receiving 84 mg of SPRAVATO HCL in
dosages. At the beginning of the second treatment period, those in the
treated group remained on the same treatment regimen, while the 33
placebo patients were re-randomized. Of the placebo group in the first
treatment period, 6 patients were added to the 4 who remained on
placebo, 8 patients received 28 mg of SPRAVATO HCL, 9 patients received
56 mg of SPRAVATO HCL, and 5 patients received 84 mg SPRAVATO HCL in
dosages. Of the 67 respondents randomized, 63 (94 percent) completed
the first treatment phase and 60 (90 percent) completed the first and
second treatment phases. During both treatment phases patients were
assessed at baseline, 2 hours, 24 hours, and at the study period
endpoints for the Montgomery-Asberg Depression Rating Scale (MADRS)
score, Clinical Global Impression of Severity scale score, adverse
events and other safety assessments including the Clinician
Administered Dissociative States Scale (CADSS). The primary efficacy
endpoint, change from baseline to endpoint in MADRS total score, was
analyzed using the analysis of covariance model including treatment and
country as factors and period baseline MADRS total score as a
covariate.\218\
---------------------------------------------------------------------------
\218\ Daly, E., Singh, J., Fedgchin, M., Cooper, K., Lim, P.,
Shelton, R., Drevets, W., ``Efficacy and Safety of Intranasal
Esketamine Adjunctive to Oral Anti-depressant Therapy in Treatment-
Resistant Depression,'' JAMA Psychiatry, 2018, vol. 75(2), pp. 139-
148.
---------------------------------------------------------------------------
At the end of the first treatment period, the least square mean
change (standard error) for the placebo group was -4.9 (1.74). As
compared to the placebo, the least square mean difference from placebo
(standard error) for the SPRAVATO HCL treatment groups was -5.0 (2.99)
for 28 mg of SPRAVATO HCL in dosage, -7.6 (2.91) for 56 mg of SPRAVATO
HCL in dosage, and -10.5 (2.79) for 84 mg of SPRAVATO HCL in dosage;
these differences were statistically significant at or beyond p<0.05.
Similar differences were seen at 2 hours and 24 hours for these groups
with the only non-significant difference occurring for 56 mg of
SPRAVATO HCL in dosage at 2 hours as compared to baseline. At the end
of the second treatment period, the least square mean change (standard
error) for the placebo group was -4.5 (2.92), for the SPRAVATO HCL-
treated groups was -3.1 (2.99) from the placebo for 28 mg of SPRAVATO
HCL in dosage, -4.4 (3.06) from the placebo for 56 mg of SPRAVATO HCL
in dosage, and -6.9 (3.41) from the placebo for 84 mg of SPRAVATO HCL
in dosage. Only the 84 mg of SPRAVATO HCL dosage difference from the
mean was statistically significant (p<.05). When the results from the
first and second treatment periods were pooled, all three groups had
statistically significant differences from the placebo. Based on these
results, the applicant asserts that all three SPRAVATO HCL treatment
groups were superior to the placebo.
When considering the safety profile of the use of SPRAVATO HCL, the
study reports that 3 (5 percent) of the treated patients and 1 (2
percent) open-label patient experienced adverse events leading to
discontinuation (syncope, headache, dissociative syndrome, ectopic
pregnancy). There was a noted dose response for the adverse events of
dizziness and nausea only. Most of the treated patients experienced
transient elevations in blood pressure and heart rate on dosing days,
as well as perceptual changes and/or dissociate symptoms (as measured
by CADSS) that began shortly after dosing and typically resolved by 2
hours.\219\
---------------------------------------------------------------------------
\219\ Daly, E., Singh, J., Fedgchin, M., Cooper, K., Lim, P.,
Shelton, R., Drevets, W., ``Efficacy and Safety of Intranasal
Esketamine Adjunctive to Oral Anti-depressant Therapy in Treatment-
Resistant Depression,'' JAMA Psychiatry, 2018, vol. 75(2), pp. 139-
148.
---------------------------------------------------------------------------
The study titled Transform One submitted by the applicant is a
Phase III, randomized, double-blind, active controlled, multi-center
study which enrolled patients 18 years old to 64 years old who had been
diagnosed with treatment-resistant depression for 28 days.\220\
Patients were randomized (1:1:1) to receive SPRAVATO HCL 56 mg, 84 mg,
or a placebo nasal spray administered twice weekly combined with a
newly initiated, open-label oral anti-depressant (AD) administered
daily (duloxetine, escitalopram, sertraline, or venlafaxine extended
release), which was dosed according to a fixed titration schedule.
Patients were assessed on the MADRS, CADSS, and discharge readiness as
measured by overall clinical status and the Global Assessment of
Discharge Readiness (CGADR). Discharge status was assessed at 1 and 1.5
hours. MADRS was assessed at 24 hours post initial dose and weekly
thereafter. CADSS was assessed at baseline and all dosing visits.
---------------------------------------------------------------------------
\220\ Fedgchin, M., Trivedi, M., Daly, E., Melkote, R., Lane,
R., Lim, P., Singh, J., ``Randominzed, Double-blind Study of Fixed-
dosed Intranasal Esketamine Plus Oral Anti-depressant vs. Active
Control in Treatment-resistant Depression,'' 9th Biennial Conference
of the International Society for Affective Disorders (ISAD) and the
Houston Mood Disorders Conference, September 2018.
---------------------------------------------------------------------------
Three hundred and fifteen patients of the 346 were randomized and
completed the treatment phase; 115 patients were randomized to the 56
mg of SPRAVATO HCL dosage group along with 114 to the 84 mg of SPRAVATO
HCL dosage group and 113 to the placebo group. The withdrawal rate was
3-fold higher in the 84 mg of SPRAVATO HCL dosage group (16.4 percent)
than the 56 mg of SPRAVATO HCL dosage group (5.1 percent) and the
placebo group (5.3 percent). Eleven of the 19 84 mg of SPRAVATO HCL
dosage withdrawals withdrew after only receiving the first 56 mg
SPRAVATO HCL dose; the withdrawal rate was not a dose-related safety
finding. Baseline statistics show few differences between groups: The
56 mg of SPRAVATO HCL dosage group has a higher proportion of patients
who have 1 or 2 previous AD medications (69 percent) as compared to the
patients in the 84 mg of SPRAVATO HCL dosage group (51.8 percent) and
placebo group (59.3 percent), and the placebo group (193.1) has a
notably shorter duration of the current episode of depression in weeks
as compared to the 56 mg of SPRAVATO HCL dosage group (202.8) and 84 mg
of SPRAVATO HCL dosage group (212.7). The MADRS score was assessed by a
mixed model for repeated measures with change from baseline as the
response variable and the fixed effect model terms for treatment
dosage, day, region, class of oral AD, a treatment-by-day moderating
effect, and baseline value as a covariate.
The primary efficacy measure was assessed by change in MADRS score
from baseline at 28 days. At the end of the study the 56 mg and 84 mg
of SPRAVATO HCL dosage groups had a difference of least square means of
-4.1 and -3.2, respectively. Neither of these were statistically
significant differences as compared to the placebo. The least square
mean treatment difference of MADRS score as compared to the placebo
were also assessed longitudinally at baseline and the 2nd day (-3.0 for
the 56 mg of SPRAVATO
[[Page 19332]]
HCL dosage group and -2.2 for the 84 mg of SPRAVATO HCL dosage group),
the 8th day (-3.0 for the 56 mg of SPRAVATO HCL dosage group and -2.7
for the 84 mg of SPRAVATO HCL dosage group), the 15th day (-3.8 for the
56 mg of SPRAVATO HCL dosage group and -3.6 for the 84 mg of SPRAVATO
HCL dosage group), the 22nd day (-5.0 for the 56 mg of SPRAVATO HCL
dosage group and -3.7 for the 84 mg of SPRAVATO HCL dosage group), and
the 28th day (-4.0 for the 56 mg of SPRAVATO HCL dosage group and -3.6
for the 84 mg of SPRAVATO HCL dosage group). In a graph provided by the
applicant, the lines plus standard errors plotted for the 56 mg and 84
mg of SPRAVATO HCL dosage groups overlap with each other at each time
point, but do not appear to overlap with the placebo group (calculated
confidence intervals would necessarily be wider and would possibly
overlap).
A secondary efficacy measure was the rate of patients who are
responders and remitters. Response is defined as greater than or equal
to 50 percent improvement on MADRS from baseline. Remission is defined
as a MADRS total score less than or equal to 12. The 56 mg and 84 mg of
SPRAVATO HCL dosage treatment groups, 54.1 percent and 53.1 percent,
respectively, had higher response rates than the placebo treatment
group at 38.9 percent. The 56 mg and 84 mg of SPRAVATO HCL dosage
treatment groups, 36.0 percent and 38.8 percent, had higher remission
rates than the placebo treatment group at 30.6 percent.
Lastly, safety was assessed by adverse events and CADSS. Both the
56 mg and 84 mg of SPRAVATO HCL dosage treatment groups had spikes of
CADSS scores, which spiked approximately 40 minutes post dose and
resolved at 90 minutes. These post dose spikes gradually decreased from
day 1 to day 25, but remained higher than the placebo group. The 84 mg
of SPRAVATO HCL dosage treatment group had higher CADSS score spikes
than the 56 mg of SPRAVATO HCL dosage treatment group at all periods
except day 1. The top 5 of 12 pooled treatment group adverse events and
percentages experienced are as follows: Nausea (29.4 percent),
dissociation (26.8 percent), dizziness (25.1 percent), vertigo (20.8
percent), and headache (20.3 percent).
The study titled Transform Two is a Phase III, randomized (1:1),
control trial, multi-center study enrolling patients 18 years old to 64
years old who had been diagnosed with treatment-resistant
depression.\221\ One hundred and fourteen patients were randomized to
the treatment group and 109 to the control group; 101 and 100 of the
treated and control groups respectively finished the study. For the
treatment group, doses of SPRAVATO HCL began at 56 mg on the 1st day,
with potential increases up to 84 mg until the 15th day at which point
the dose remained stable. Two-thirds of the SPRAVATO HCL-treated
patients were receiving the 84 mg dosage at the end of the study. For
both the placebo and treatment groups, a newly-initiated AD was
assigned by the investigator (duloxetine, escitalopram, sertraline, and
venlafaxine extended release) following a fixed titration dosing.
---------------------------------------------------------------------------
\221\ Popova, V., Daly, E., Trivedi, M., Cooper, K., Lane, R.,
Lim, P., Singh, J., ``Randomized, Double-blind Study of Flexibly-
dosed Intranasal Esketamine Pus Oral Anti-depressant vs. Active
Control in Treatment-resistant Depression,'' Canadian College of
Neuropsychopharmacology (CCNP) 41st Annual Meeting, 2018.
---------------------------------------------------------------------------
The primary efficacy endpoint was the change from baseline at day
28 in MADRS total score, which was analyzed using a mixed-effects model
using repeated measures (MMRM). The model included baseline MADRS total
score as a covariate, and treatment, country, class of AD (SNRI or
SSRI), day, and day-by-treatment moderator as fixed effects, and a
random patient effect. The key secondary efficacy endpoints were as
follows: The proportion of patients showing onset of clinical response
by the 2nd day that was maintained for the duration of the treatment
phase, the change from baseline in socio-occupational disability using
the Sheehan Disability Scale (SDS) using the MMRM model, and the change
from baseline in depressive symptoms using the patient health
questionnaire 9-item (PHQ-9) using the MMRM model.
There were no apparent differences between the SPRAVATO HCL
treatment and placebo groups at baseline. At day 28, the difference of
least square means (standard error) for the SPRAVATO HCL-treated group
was -4.0 (1.69) as compared to the placebo-treated group (p<0.05).
Similar to Transform One, the difference of least square means for the
SPRAVATO HCL-treated group as compared to the placebo-treated group
were plotted for baseline and the 2nd, 8th, 15th, 22nd, and 28th day.
At all treatment periods, except baseline and the 15th day, the
SPRAVATO HCL treatment group had statistically significant lower scores
than the placebo-treated group as indicated by 95 percent confidence
intervals. The difference between the SPRAVATO HCL-treated and placebo-
treated groups for the early onset of sustained clinical response was
substantively similar and not statistically different. The difference
of least square means (standard error) in socio-occupational disability
as measured by SDS was -4.0 (1.17) for those in the SPRAVATO HCL-
treated group as compared to the placebo-treated group (p<0.05). The
difference of least square means (standard error) for the PHQ-9 total
score for the SPRAVATO HCL-treated group compared to the placebo-
treated group was -2.4 (0.88) (p<0.05). Lastly, 69.3 percent of the
SPRAVATO HCL-treated patients as compared to 52.0 percent of the
placebo-treated patients were considered responders and 52.5 percent of
the SPRAVATO HCL-treated patients as compared to 31.0 percent of the
placebo patients were considered remitters. The adverse events list,
post dosing blood pressure increase, and post dosing CADSS spike were
similar to those seen in the previous Transform One study.\222\
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\222\ Fedgchin, M., Trivedi, M., Daly, E., Melkote, R., Lane,
R., Lim, P., Singh, J., ``Randominzed, Double-blind Study of Fixed-
dosed Intranasal Esketamine Plus Oral Anti-depressant vs. Active
Control in Treatment-resistant Depression,'' 9th Biennial Conference
of the International Society for Affective Disorders (ISAD) and the
Houston Mood Disorders Conference, September 2018.
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A post-hoc analysis based on Transform Two, which included 46
SPRAVATO HCL-treated and 44 placebo-treated patients was conducted to
assess for differences in efficacy and safety between the U.S.
population and the overall study population.\223\ Efficacy was again
assessed by MADRS, SDS, and PHQ-9 scores using the MMRM and with safety
assessments for treatment-emergent adverse events (TEAEs), serious
adverse events (SAEs), CADSS and other measures. At baseline the
treated group of SPRAVATO HCL plus an AD was similar to the placebo-
treated group who took only an AD on most measures to include average
age, sex, race, class of oral ADs, MADRS, CGI-S, SDS, and PHQ-9 scores.
The placebo-treated group had a longer average duration of current
episode at 177.6 days as compared to 132.2 days for the SPRAVATO HCL-
treated group; the placebo-treated group had a higher proportion of
patients having 3 or more previous AD medications (50.1 percent) as
compared to the SPRAVATO HCL treatment group (32.7 percent).
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\223\ Alphs, L., Cooper, K., Starr, L., DiBernardo, A., Shawi,
M., Jamieson, C., Singh, J., ``Clinical Efficacy and Safety of
Flexibly Dosed Esketamine Nasal Spray in a US Population of Patients
With Treatment-Resistant Depression,'' American Psychiatry
Association, 2018, Chicago.
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Both the SPRAVATO HCL-treated and placebo-treated groups showed
[[Page 19333]]
improvement on the efficacy measures after 28 days. At the endpoint of
28 days, the SPRAVATO HCL treatment group had a statistically
significant MADRS total score least square mean difference of -5.5
(p<0.05) from the placebo treatment group. At the endpoint the median
scores on the clinician-rated severity of depressive illness as
measured by CGI-S were -1.5 and -1.0 for the SPRAVATO HCL-treated and
placebo-treated groups respectively (one-sided p value >0.07). For the
measure of patient-rated severity of depressive illness, the SPRAVATO
HCL treatment group had a least square mean difference in PHQ-9 of -3.1
(p<0.05) as compared to the placebo treatment group. On the measure of
functional impairment, the SPRAVATO HCL treatment group had a least
square mean difference in SDS of -5.2 (p<0.01) as compared to the
placebo treatment group. Overall treatment-emergent adverse events were
observed in 91.3 percent of SPRAVATO HCL-treated patients and 77.3
percent of placebo-treated patients. One SPRAVATO HCL-treated patient
experienced a serious adverse event of cerebral hemorrhage. Lastly, the
top five most common adverse events were dizziness, nausea, headache,
dysgeusia, and throat irritation.
The study titled Transform Three is a randomized (1:1), double-
blind, active-controlled, multi-center study in elderly patients 65
years old and older who had been diagnosed with TRD.\224\ Randomization
was stratified by country and class of oral AD (SNRI and SSRI). All
treatment patients started on a 28 mg dosage of SPRAVATO HCL and
flexibly increased dosages of 56 mg or 84 mg based on investigator's
determination of efficacy and tolerability. Both SPRAVATO HCL-treated
(n=72) and placebo-treated (n=66) patients were started on a newly
initiated AD (duloxetine, escitalopram, sertraline, and venlafaxine
extended release). One hundred and twenty-two patients completed the
double-blind phase, with 63 patients in the SPRAVATO HCL-treated group
and 60 patients in the placebo-treated group.
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\224\ Ochs-Ross, R., Daly, E., Lane, R., Zhang, Y., Lim, P.,
Foster, K., Sign, J., ``Efficacy and Safety of Esketamine Nasal
Spray Plus an Oral Anti-depressant in Elderly Patients with
Treatment-resistant Depression,'' 2018 Annual Meeting of the
American Psychiatric Association (APA), 2018, New York.
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The primary endpoint was the change in MADRS total score from the
1st day to the 28th day. Secondary endpoints included the evaluation of
response and remission rates by group and the Clinical Global
Impression--Severity (CGI-S) scores. The safety endpoints were
evaluated by adverse event occurrence, laboratory tests, vital sign
measurements, physical exams, and other exams.
At baseline, there were substantive differences between the
placebo-treated and SPRAVATO HCL treatment groups in three measures.
Patients from the SPRAVATO HCL treatment group (48.6 percent) were more
likely to be from the European Union as compared to the placebo-treated
group (36.9 percent). Patients from the SPRAVATO HCL treatment group
were more likely to have 1 (20.8 percent versus 9.2 percent) to 4 (16.7
percent versus 6.2 percent) previous ADs as compared to the placebo-
treated group. On the measure of duration of current episode of
depression in weeks, the SPRAVATO HCL-treated group had an average
(standard deviation) of 163.1 (277.04) as compared to the placebo-
treated group with 274.1 (395.47). The primary endpoint, the change
from baseline to Day 28 of MADRS score difference of least square means
(95 percent CI) for the SPRAVATO HCL treatment group was -3.6 (-
7.20,0.07) as compared to the placebo group. As with previous studies,
the longitudinal change in MADRS total score is presented for baseline
and at the 8th, 15th, 22nd, and 28th day. The results for the SPRAVATO
HCL-treated group overlap with the placebo-treated group at each time
point. At Day 28, 27.0 percent of the SPRAVATO HCL-treated patients as
compared to 13.3 percent of the placebo-treated patients were
considered responders and 17.5 percent of the SPRAVATO HCL-treated
patients as compared to 6.7 percent of the placebo-treated patients
were considered remitters. At baseline and the end of the study, 83.4
percent and 38.1 percent, respectively, of the SPRAVATO HCL-treated
patients were rated as experiencing severe or marked symptoms on the
CGI-S scale as compared to 66.1 percent and 54.4 percent, respectively,
for those on the placebo.
Of the 72 patients who were treated with SPRAVATO HCL, 51 (70.8
percent) experienced a treatment-emergent adverse event (TEAE) as
compared to 39 of the 65 (60.0 percent) placebo-treated patients. Five
patients reported serious adverse events during the double-blind phase,
three of whom were SPRAVATO HCL-treated patients and two of whom were
placebo-treated patients. The top 5 of the 16 adverse events among the
treated patients are dizziness (20.8 percent), nausea (18.1 percent),
blood pressure increase (12.5 percent), fatigue (12.5 percent), and
headache (12.5 percent).
A post-hoc analysis, which included 34 SPRAVATO HCL-treated
patients and 36 placebo-treated patients from the Transform Three
study, was performed to examine the response and remission associated
with treatments in a subset of respondents 65 years old and older in
the United States.\225\ The MADRS, CGI-S, PHQ-9, and adverse event data
were utilized to assess clinical outcomes. Remission was defined as a
50 percent or greater decrease in MADRS baseline score and remission
was defined as a MADRS score of 12 or lower or a PHQ-9 score of less
than 5. At baseline the SPRAVATO HCL-treated and placebo-treated groups
were similar on the measures of age, sex, race, class of oral AD, age
at major depressive disorder diagnosis, MADRS score, and CGI-S score.
The SPRAVATO HCL treatment group differed from the placebo treatment
group on the measures of mean duration of current depressive episode in
weeks (187.6 versus 420.9) and mean PHQ-9 score (15.2 versus 18.2).
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\225\ Starr, L., Ochs-Ross, R., Zhang, Y., Singh, J., Lim, P.,
Lane, R., Alphs, L., ``Clinical Response, Remission, and Safety of
Esketamine Nasal Spray in a US Population of Geriatric Patients With
Treatment-Resistant Depression,'' American Psychiatric Association,
2018, New York.
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At the 28-day endpoint, response rates based on MADRS scores were
26.7 percent (n=30) for the SPRAVATO HCL-treated group and 14.7 percent
(n=34) for the placebo-treated group. At the endpoint, remission rates
based on MADRS scores were 16.7 percent (n=30) for the SPRAVATO HCL-
treated group and 2.9 percent (n=34) for the placebo-treated group.
Patient remission rates based on the PHQ-9 scores for SPRAVATO HCL-
treated and placebo-treated patients were 9.4 percent (n=32) and 22.6
percent (n=31), respectively. Clinically meaningful response as
measured by a one point or greater decrease in the CGI-S score was 63.3
percent (n=30) for the SPRAVATO HCL-treated group and 29.4 percent
(n=34) for those on the placebo. Clinically significant response as
measured by a decrease of two or greater on the CGI-S scale was 43.3
percent (n=30) for the SPRAVATO HCL-treated group and 11.8 percent
(n=34) for those on the placebo. Lastly, 67.7 percent of the SPRAVATO
HCL-treated patients and 58.3 percent of placebo-treated patients
experienced a treatment-emergent adverse event. There was one serious
adverse event in the SPRAVATO HCL-treated group (hip fracture) and
placebo-treated group (dizziness) each. The top 5 most common adverse
events in the 34
[[Page 19334]]
SPRAVATO HCL-treated patients were dysphoria (11.8 percent), fatigue
(11.8 percent), headache (11.8 percent), insomnia (11.8 percent), and
nausea (11.8 percent).
The study titled Sustain One concerns a double-blind, randomized
withdrawal, multi-center study entering either directly or after
completing the double-blind phase of an acute, short-term study.\226\ A
total of 705 patients were enrolled in this study of which 437 entered
directly into the study and the remainder transferred from one of two
short-term SPRAVATO HCL studies (fixed dose, n=150; flexible dose,
n=118). During the maintenance phase of this study, analyses were
performed on two mutually exclusive groups: (1) On the stable remitters
who were those randomized patients who were in stable remission at the
end of the optimization phase and who received at least one dose of the
study drug with one dose of an AD; and (2) on the stable responders who
were those randomized patients who were stable responders at the end of
optimization and who received at least one dose of the study drug with
one dose of an AD. A relapse was defined as a MADRS total score of 22
or greater for 2 consecutive assessments separated by 5 to 15 days or
hospitalization for worsening depression or any other clinically
relevant event suggestive of relapse.
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\226\ Daly, E., Trivedi, M., Janik, A., Li, H., Zhang, Y., Li,
X., Singh, J., ``A Randomized Withdrawal, Double-blind, Multicenter
Study of Esketamine Nasal Spray Plus an Oral Anti-depressant for
Relapse Prevent in Treatment-resistant Depression,'' 2018 Annual
Meeting of the American Society of Clinical Psychopharmacology
(ASCP), 2018, Miami.
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Of those classified in stable remission, 90 patients were receiving
treatment with SPRAVATO HCL in combination with an AD and 86 patients
were receiving treatment with the placebo in combination with an AD. Of
those classified in stable response, 62 patients were receiving
treatment with SPRAVATO HCL in combination with an AD and 59 patients
were receiving treatment with the placebo in combination with an AD. At
baseline, between group and within group randomization seems
substantively successful, except for a lower proportion of placebo-
treated stable responders being male (28.8 percent) as compared to
SPRAVATO HCL-treated stable responders (38.7 percent), placebo-treated
stable remitters (31.4 percent), and SPRAVATO HCL-treated stable
remitters (35.6 percent).
Kaplan-Meier estimates of patients who remained relapse free were
performed for both study groups. For both remitters and responders, the
SPRAVATO HCL-treated had a higher percent of patients without relapse
for longer than the control group. Overall, among the stable remitters,
24 (26.7 percent) of the patients in the SPRAVATO HCL-treated group and
39 (45.3 percent) of the patients in the placebo-treated group
experienced a relapse event during the maintenance phase; among stable
responders, 16 (25.8 percent) of the patients and 34 (57.6 percent) of
the patients in the respective groups relapsed. Treatment with SPRAVATO
HCL in combination with an AD decreased the risk of relapse by 51
percent (estimated hazard ratio = 0.49; 95 percent CI: 0.29, 0.84)
among stable remitters and by 70 percent (hazard ratio = 0.30; 95
percent CI: 0.16, 0.55) among stable responders, as compared to the
placebo.
Safety and adverse events were presented similarly to the
previously discussed study data. The top 5 of the 22 adverse events
were dysgeusia (27.0 percent), vertigo (25.0 percent), dissociation
(22.4 percent), somnolence (21.1 percent), and dizziness (20.4
percent). The applicant stated that most adverse events were mild to
moderate, observed post dose on dosing days, and generally resolved in
the same day. Serious adverse events considered related to the study
drug were reported for six patients in the SPRAVATO HCL treatment group
(disorientation, hypothermia, lacunar stroke, sedation, and suicidal
ideation for one patient each, and autonomic nervous system imbalance
and simple partial seizure for one patient). The investigator
considered the lacunar infarct as probably related to the treatment,
while the sponsor considered the events of lacunar infarct and
hypothermia as doubtfully related to the treatment. As with the
previous studies, present-state dissociative symptoms and transient
perceptual effects measured by the CADSS total score began shortly
after the start of SPRAVATO HCL dosing, peaked at 40 minutes, and
resolved by 1.5 hours.
The next study presented by the applicant titled Sustain Two
concerns an open-label, long-term (up to 1 year of exposure), multi-
center, single-arm, Phase III study for patients who had been diagnosed
with TRD who entered into the study as either direct-entry or
transferred-entry (patients who completed the double-blind, randomized,
4-week, Phase III, efficacy and safety study in elderly patients).\227\
A total of 802 patients were enrolled; 779 entered in the induction
phase (691 as direct-entry and 88 as transferred-entry non-responders).
A total of 603 patients entered the optimization/maintenance phase (580
from the induction phase and 23 were transferred-entry responders). A
total of 150 (24.9 percent) of the patients completed the optimization/
maintenance phase. At that time, the predefined total patient exposure
was met and the study was stopped by the sponsor; 331 (54.9 percent) of
the patients were still receiving treatment and, therefore,
discontinued the study. Patients treated had a starting dose of 56 mg
of SPRAVATO HCL, or 28 mg for patients who were 65 years old or older,
followed by flexible dosing increases (28 mg to 84 mg per clinical
judgment) twice a week for 4 weeks. Dosages became stable at 15 days
for those under 65 years old, and at 18 days for those 65 years old and
older.
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\227\ Wajs, E., Aluisio, L., Morrison, R., Daly, E., Lane, R.,
Lim, P., Singh, J., ``Long-term Safety of Esketamine Nasal Spray
Plus Oral Anti-depressant in Patients with Treatment-resistant
Depression: Phase III, Open-label, Safety and Efficacy Study
(SUSTAIN-2),'' 2018 Annual Meeting of the American Society of
Clinical Psychopharmacology (ASCP), 2018, Miami.
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At baseline, 802 respondents had an average age of 52.2 years old,
62.6 percent were women, 85.5 percent were white, an average BMI of
27.9 percent, and 43.1 percent with a family history of depression. The
anti-depressants prescribed to these respondents were duloxetine (31.1
percent), escitalopram (29.6 percent), sertraline (19.6 percent), and
venlafaxine extended release (19.5 percent). Of the respondents at
baseline, 39.9 percent had used 3 or more ADs prior to the study with
no response. Safety measures were reported at 4 weeks, 48 weeks, and
pooled. For TEAEs, 83.8 percent of patients experienced at least one at
4 weeks and 85.6 percent at 48 weeks. TEAEs occurred in 90.1 percent
(n=723) of all patients and led to discontinuation in 9.5 percent of
both the pooled 4 and 48 week patient samples. TEAEs caused 2 deaths
(acute respiratory and cardiac failure, and completed suicide; neither
death considered as related by investigator) at 48 weeks. The top 5
most common TEAEs for the 4-week and 48-week time points were dizziness
(29.3 percent and 22.4 percent), dissociation (23.1 percent and 18.6
percent), nausea (20.2 percent and 13.9 percent), headache (17.6
percent and 18.9 percent), and somnolence (12.1 percent and 14.1
percent). At 4 weeks, 2.2 percent of the patients experienced at least
1 serious adverse event and 6.3 percent at 48 weeks. Of the 68 serious
adverse events, 63 were assessed as not related or doubtfully related
to
[[Page 19335]]
treatment involving SPRAVATO HCL by the investigator. Five of the
serious adverse events (anxiety, delusion, delirium, suicidal ideation
and suicide attempt) were considered as treatment related. Overall,
performance on multiple cognitive domains including visual learning and
memory, as well as spatial memory/executive function either improved or
remained stable post baseline in both elderly and younger patients.
Based on all of the above, the applicant concluded that the use of
SPRAVATO HCL represents a substantial clinical improvement over
existing technologies. CMS has the following concerns regarding whether
SPRAVATO HCL meets the substantial clinical improvement criterion.
First, we are concerned that the use of the placebo in combination
with a newly prescribed anti-depressant may not be the most appropriate
comparator when assessing the clinical improvement of the use of
SPRAVATO HCL as compared to existing therapies. In its application, the
applicant listed multiple treatment options aside from the use of anti-
depressants, which are currently available to treat diagnoses of TRD.
It is possible that other treatments approved for diagnoses of TRD may
obtain better treatment outcomes than changing to a new single anti-
depressant (as was the method used in the studies submitted in support
of this application). Comparisons with existing treatments for
treatment-resistant major depressive disorders would help us better
evaluate the clinical improvements offered by the use of SPRAVATO HCL.
Second, we are not certain that the results in the studies
submitted consistently show that the use of SPRAVATO HCL represents a
substantial clinical improvement when compared to existing therapies.
There does not appear to be a consistent statistically significant
positive primary efficacy outcome for SPRAVATO HCL-treated patients
compared to placebo-treated patients. Based on the data provided, we
also are uncertain of the extent to which the findings from the
submitted studies apply to the broader Medicare population. We are
particularly concerned that there are few substantive and statistically
significant improvements in depression outcomes with SPRAVATO HCL
treatment among the Medicare-aged participants of the study samples. In
addition, the studies which limit their analyses to Medicare-aged study
participants have limited racial diversity amongst small samples. In
addition, we note that the submitted studies excluded patients with
significant medical and psychiatric comorbidities through exclusion
criteria. However, the likelihood of having multiple chronic comorbid
conditions is increased amongst those with a mental health disorder
228 229 and for the elderly.230 231 The existence
of comorbidities increases the likelihood that the negative effects of
poly-pharmacy and drug-drug interactions could be experienced among the
Medicare population. Given that the provided studies utilized exclusion
criteria, which excluded those with serious comorbidities, we are
concerned that the limited results do not adequately represent the
average or even the majority of the Medicare population.
---------------------------------------------------------------------------
\228\ Thorpe, K., Jain, S., & Joski, P., ``Prevalence and
Spending Associated with Patients Who have a Behavioral Health
Disorder and Other Conditions,'' Health Affairs, 2017, vol. 36(1),
pp. 124-132, doi:10.1377/hlthaff.2016.0875.
\229\ Druss, B., & Walker, E., 2011, ``Mental Disorders and
Medical Comorbidity,'' Robert Wood Johnson Foundation, 2011.
Available at: https://www.policysynthesis.org.
\230\ Kim, J., & Parish, A., ``Polypharmcy and Medication
Management in Older Adults,'' Nurs Clin N Am, 2017, vol. 52, pp.
457-468, doi:https://dx.doi.org/10.1016/j.cnur.2017.04.007.
\231\ Kim, L., Koncilja, K., & Nielsen, C., ``Medication
Management in Older Adults,'' Cleveland Clinic Journal of Medicine,
2018, vol. 85(2), pp. 129-135, doi:10.3949/ccjm.85a.16109.
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Third, we have concerns regarding the primary and secondary
endpoints for several of these studies. It is unclear whether the
primary endpoint of these studies (change in baseline MADRS) is the
most appropriate endpoint to assess substantial clinical improvement,
particularly as it unclear what threshold degree of change was defined
as meeting the definition of change from baseline in the analyses, and
whether this degree of change translates to clinical improvement (for
example, response and remissions rates). In addition, we have concerns
regarding the potential for physician behavior to have introduced bias,
which could impact the study results. The studies state that anti-
depressants are physician assigned and not randomized. Some of the
provided studies control for the type of anti-depressant prescribed
(SSRI and SNRI). We believe there is the potential for an interaction
effect between the prescribed anti-depressant and SPRAVATO HCL. It is
possible that one particular anti-depressant (of the anti-depressants
used in the studies)/SPRAVATO HCL combination accounts for the entirety
of the differences seen between the treated groups and the control
groups. Without consistently controlling for the specific anti-
depressants prescribed in multivariate analyses, we may not be able to
parse this potentially complex relation apart.
Fourth, given that SPRAVATO HCL is comprised of the drug ketamine,
we are concerned with the potential for abuse. Ketamine is accepted as
a medication for which there is a strong possibility for
abuse.232 233 234 As one publication finds, current abuse of
intravenous ketamine occurs intranasally.\235\ While clinical trials
assess the short-term benefits of ketamine treatment, there exists a
paucity of long-term studies to assess whether chronic usage of this
product may increase the likelihood of abuse.\236\ In light of the
potential for addictive behavior, we are concerned that despite any
demonstrated short-term clinical benefits, there may be potential
negatives for the use of this drug in the longer term.
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\232\ Schak, K., Vande Voort, J., Johnson, E., Kung, S., Leung,
J., Rasmussen, K., Frye, M., ``Potential Risks of Poorly Monitored
Ketamine Use in Depression Treatment,'' American Journal of
Psychiatry, 2016, vol. 173(3), pp. 215-218. Available at: https://www.ajp.psychiatryonline.org.
\233\ Freedman, R., Brown, A., Cannon, T., Druss, B., Earls, F.,
Escobar, J., Xin, Y., ``Can a Framework be Established for the Safe
Use of Ketamine?,'' American Journal of Psychiatry, 2018, vol. 7,
pp. 587-589. Available at: https://www.ajp.psychiatryonline.org.
\234\ Sanacora, G., Frye, M., McDonald, W., Mathew, S., Turner,
M., Schatzberg, A., Nemeroff, C., ``A Consensus Statement on the Use
of Ketamine in the Treatment of Mood Disorders,'' JAMA Psychiatry,
2017, Special Communication, E1-E6. doi:10.1001/
jamapsychiatry.2017.0080.
\235\ Schak, K., Vande Voort, J., Johnson, E., Kung, S., Leung,
J., Rasmussen, K., Frye, M., ``Potential Risks of Poorly Monitored
Ketamine Use in Depression Treatment,'' American Journal of
Psychiatry, 2016, vol. 173(3), pp. 215-218. Available at: https://www.ajp.psychiatryonline.org.
\236\ Sanacora, G., Frye, M., McDonald, W., Mathew, S., Turner,
M., Schatzberg, A., Nemeroff, C., ``A Consensus Statement on the Use
of Ketamine in the Treatment of Mood Disorders,'' JAMA Psychiatry,
2017, Special Communication, E1-E6. doi:10.1001/
jamapsychiatry.2017.0080.
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We are inviting public comments on whether SPRAVATO HCL meets the
substantial clinical improvement criterion. We did not receive any
written comments in response to the New Technology Town Hall meeting
notice published in the Federal Register regarding the substantial
clinical improvement criterion for SPRAVATO HCL or at the New
Technology Town Hall meeting.
k. XOSPATA
Astellas Pharma U.S., Inc. submitted an application for new
technology add-on payments for XOSPATA[supreg] (gilteritinib) for FY
2020. XOSPATA[supreg] received FDA approval November 28, 2018, and is
indicated for the treatment of adult patients who have been diagnosed
with relapsed or refractory acute myeloid leukemia (AML) with a
[[Page 19336]]
FMS-like tyrosine kinase 3 (FLT3) mutation as detected by an FDA-
approved test.
According to the applicant, XOSPATA[supreg] is an oral, small
molecule FMS-like tyrosine kinase 3 (FLT3). The applicant states that
XOSPATA[supreg] inhibits FLT3 receptor signaling and proliferation in
cells exogenously expressing FLT3, including FLT3 internal tandem
duplication (ITD), tyrosine kinase domain mutations (TKD) FLT3D835Y and
FLT3-ITD-D835Y and that it induces apoptosis in leukemic cells
expressing FLT3-ITD. FLT3 is a member of the class III receptor
tyrosine kinase family that is normally expressed on the surface of
hematopoietic progenitor cells, but it is over expressed in the
majority of AML cases.
The applicant states that AML is a type of cancer in which the bone
marrow makes abnormal myeloblasts (a type of white blood cell), red
blood cells, or platelets. According to the applicant, AML is a rare
and rapidly progressing form of cancer of the blood and bone marrow,
characterized by the proliferation of immature white blood cells known
as blast cells. The applicant states that while the specific cause of
AML is unknown, AML is generally characterized by aberrant
differentiation and increased proliferation of malignantly transformed
myeloid progenitor cells. It is considered a heterogeneous disease
state with various molecular and genetic abnormalities, which result in
variable clinical outcomes. When untreated or refractory to available
treatments, AML results in the accumulation of these transformed cells
within the bone marrow and suppression of the production of normal
blood cells (resulting in severe neutropenia and/or thrombocytopenia).
AML may be associated with infiltration of these cells into other
organs and tissues and can be rapidly fatal.
Almost 90 percent of leukemia cases are diagnosed in adults 20
years of age and older, among whom the most common types are chronic
lymphocytic leukemia and AML.\237\ AML accounts for approximately 80
percent of acute leukemias diagnosed in adults, with a median age at
diagnosis of 66 years old. It has been estimated that 19,520 people are
diagnosed annually with AML in the United States.\238\ In general, the
incidence of AML increases with advancing age; the prognosis is poorer
in older patients, and the tolerability of the currently available
standard-of-care treatment for patients who have been diagnosed with
AML is much poorer for older patients.\239\
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\237\ Atlanta: American Cancer Society; 2017 [cited October
2018]. Available from: https://www.cancer.org/content/dam/cancerorg/research/cancer-facts-and-statistics/cancer-treatment-and-survivorship-facts-and-figures/cancer-treatment-and-survivorshipfacts-and-figures-2016-2017.pdf.
\238\ Siegel, R.L., Miller, K.D., Jemal, A., ``Cancer
statistics, 2018,'' CA Cancer J Clin, 2018, vol. 68(1), pp. 7-30.
\239\ Tallman, M.S., ``New strategies for the treatment of acute
myeloid leukemia including antibodies and other novel agents,''
Hematology Am Soc Hematol Educ Program, 2005, pp. 143-50.
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According to the applicant, approximately 30 percent of adult
patients who have been diagnosed with AML are refractory, meaning
unresponsive, to induction therapy. Furthermore, of those who achieve
complete response (CR), approximately 75 percent will relapse. These
patients are then determined to have relapsed/refractory (R/R) AML.
According to the applicant, several chemotherapy regimens have been
used for the treatment of patients who have been diagnosed with
resistant or relapsed disease; however, the chemotherapy combinations
are universally dose-intensive and cannot always be easily administered
to older patients because of a high-risk of unacceptable toxicity. The
applicant indicated that, while these regimens may generate second
remission rates of up to 50 percent in patients with a first remission
of more than 1 year, toxicity is high in most patients who are frail or
over 60 years old.240 241 242 Additionally, the applicant
stated that if patients (including younger patients) relapse within 6
months of their initial CR, the chance of attaining a second remission
is less than 20 percent with chemotherapy alone.\243\ Furthermore, 5-
year survival after first relapse is approximately 10 percent,
demonstrating the lack of an effective cure for patients who have been
diagnosed with relapsed AML.\244\ Salvage therapy utilizing low-dose
chemotherapy provides a therapy that is more tolerable; however, the
low response rates (17 to 21 percent) makes the benefit of these agents
limited.245 246 Patients who are in second relapse or are
refractory to first salvage, meaning unresponsive to both the preferred
treatment, as well as the secondary choice of treatment, have an
extremely poor prognosis, with survival measured in weeks.\247\
Additionally, patients who have been diagnosed with R/R AML have poor
quality of life, higher hospitalization and total resource use burden,
and higher total healthcare costs.248 249 250 251
---------------------------------------------------------------------------
\240\ Rowe, J.M., Tallman, M.S., ``How I treat acute myeloid
leukemia,'' Blood, 2010, vol. 116(17), pp. 3147-56.
\241\ Breems, D.A., Van Putten, W.L., Huijgens, P.C.,
Ossenkoppele, G.J., Verhoef, G.E., Verdonck, L.F., et al.,
``Prognostic index for adult patients with acute myeloid leukemia in
first relapse,'' J Clin Oncol, 2005, vol. 23(9), pp. 1969-78.
\242\ Karanes, C., Kopecky, K.J., Head, D.R., Grever, M.R.,
Hynes, H.E., Kraut, E.H., et al., ``A Phase III comparison of high
dose ARA-C (HIDAC) versus HIDAC plus mitoxantrone in the treatment
of first relapsed of refractory acute myeloid leukemia Southwest
Oncology Group Study,'' Leuk Res, 1999, vol. 23(9), pp. 787-94.
\243\ Forman, S.J., Rowe, J.M., ``The myth of the second
remission of acute leukemia in the adult,'' Blood, 2013, vol.
121(7), pp. 1077-82.
\244\ Rowe, J.M., Tallman, M.S., ``How I treat acute myeloid
leukemia,'' Blood, 2010, vol. 116(17), pp. 3147-56.
\245\ Itzykson, R., Thepot, S., Berthon, C., et al.,
``Azacitidine for the treatment of relapsed and refractory AML in
older patients,'' Leuk Res, 2015, vol. 39, pp. 124-130.
\246\ Khan, N., Hantel, A., Knoebel, R., et al., ``Efficacy of
single-agent decitabine in relapsed and refractory acute myeloid
leukemia,'' Leuk Lymphoma, 2017, vol. 58, pp. 1-7.
\247\ Giles, F., O'Brien, S., Cortes, J., Verstovsek, S., Bueso-
Ramos, C., Shan, J., et al., ``Outcome of patients with acute
myelogenous leukemia after second salvage therapy,'' Cancer, 2005,
vol. 104(3), pp. 547-54.
\248\ Goldstone, A.H., et al., ``Attempts to improve treatment
outcomes in acute myeloid leukemia (AML) in older patients: the
results of the United Kingdom Medical Research Council AML11
trial,'' Blood, 2001, vol. 98(5), pp. 1302-1311.
\249\ Pandya, B.J., et al., ``Quality of life of Acute Myeloid
Leukemia Patients in a Real-World Setting,'' JCO, 2017, vol. 35(15)
suppl., e18525.
\250\ Medeiros, B.C., et al., ``Economic Burden of Treatment
Episodes in Acute Myeloid Leukemia (AML) Patients in the US: A
Retrospective Analysis of a Commercial Payer Database,'' ASH, 2017
Poster.
\251\ Aly, A., et al., ``Economic Burden of Relapsed/Refractory
AML in the U.S.,'' ASH, 2017 Poster.
---------------------------------------------------------------------------
The applicant indicated that patients who have been diagnosed with
AML with FLT3 positive mutations are a well-established subpopulation
of AML patients, but there are no approved therapies for patients who
have been diagnosed with R/R AML with FLT3 mutations. Approximately 30
percent of patients newly diagnosed with AML have mutations in the FLT3
gene.252 253 FLT3 is a member of the class III receptor
tyrosine kinase family that is normally expressed on the surface of
hematopoietic progenitor cells. FLT3 and its ligand play an important
role in proliferation, survival, and differentiation of multipotent
stem cells. The applicant explained that FLT3 is overexpressed in the
majority of patients diagnosed with AML. In addition, activated FLT3
with internal tandem duplication (ITD) or tyrosine kinase domain (TKD)
mutations at around D835 in the activation loop are present in 20
percent to 25 percent and
[[Page 19337]]
5 percent to 10 percent of AML cases, respectively.\254\ These
activated mutations in FLT3 are oncogenic and show transforming
activity in cells.\255\
---------------------------------------------------------------------------
\252\ The Cancer Genome Atlas Research Network, ``Genomic and
Epigenomic Landscapes of Adult De Novo Acute Myeloid Leukemia,'' N
Engl J Med, 2013, vol. 368(22), pp. 2059-2074.
\253\ Leukemia and Lymphoma Society Facts 2016-2017. Available
at: https://www.lls.org/facts-and-statistics/facts-and-statistics-overview, [Last accessed March 7, 2018].
\254\ Kindler, T., Lipka, D.B., Fischer, T., ``FLT3 as a
therapeutic target in AML: still challenging after all these
years,'' Blood, 2010, vol. 116(24), pp. 5089-102.
\255\ Yamamoto, Y., Kiyoi, H., Nakano, Y., Suzuki, R., Kodera,
Y., Miyawaki, S., et al., ``Activating mutation of D835 within the
activation loop of FLT3 in human hematologic malignancies,'' Blood,.
2001, vol. 97, pp. 2434-9.En
---------------------------------------------------------------------------
Compared to patients with wild-type FLT3, AML patients with FLT3
mutation experience shorter remission duration at 2 years, according to
the applicant. Approximately 30 percent of FLT3-ITD patients relapse
versus approximately 16 percent of other AML patients.\256\
Additionally, these patients experience poorer survival outcomes. The
estimated median OS for patients who have been newly diagnosed with
FLT3 mutations is 15.2 to 15.5 months compared to 19.3 to 28.6 months
for patients with wild-type FLT3.\257\ Patients who have been diagnosed
with R/R FLT3 mutation positive AML have lower remission rates with
salvage chemotherapy, shorter durations of remission to second relapse
and decreased overall survival relative to FLT3 mutation negative
patients.258 259 260 According to the applicant, patients
who have been diagnosed with FLT3 mutation positive R/R AML have a
substantial unmet medical need for treatment.
---------------------------------------------------------------------------
\256\ Brunet, S., et al., ``Impact of FLT3 Internal Tandem
Duplication on the Outcome of Related and Unrelated Hematopoietic
Transplantation for Adult Acute Myeloid Leukemia in First Remission:
A Retrospective Analysis,'' J Clin Oncol, March 1, 2012, vol. 30(7),
pp. 735-41.
\257\ Sotak, M.L., et al., ``Burden of Illness of FLT3 Mutated
Acute Myeloid Leukemia (AML),'' Blood, 2011, vol. 118(21), pp. 4765
4765.
\258\ Konig, H., Levis, M., ``Targeting FLT3 to treat leukemia.
Expert Opin Ther Targets,'' 2015, vol. 19(1), pp. 37-54.
\259\ Chevallier, P., Labopin, M., Turlure, P., Prebet, T.,
Pigneux, A., Hunault, M., et al., ``A new Leukemia Prognostic
Scoring System for refractory/relapsed adult acute myelogeneous
leukaemia patients: a GOELAMS study,'' Leukemia, 2011, vol. 25(6),
pp. 939-44.
\260\ Levis, M., Ravandi, F., Wang, E.S., Baer, M.R., Perl, A.,
Coutre, S., et al., ``Results from a randomized trial of salvage
chemotherapy followed by lestaurtinib for patients with FLT3 mutant
AML in first relapse,'' Blood, 2011, vol. 117(12), pp. 3294-301.
---------------------------------------------------------------------------
The applicant asserts that currently there are no unique ICD-10-PCS
codes to describe the administration of XOSPATA[supreg]. We note that
the applicant has submitted a request to the ICD-10 Coordination and
Maintenance Committee for approval for a unique ICD-10-PCS code to
identify procedures involving the use of XOSPATA[supreg], beginning in
FY 2020.
As discussed earlier, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and, therefore, would not be
considered ``new'' for purposes of new technology add-on payments.
With regard to the first criterion, whether a product uses the same
or a similar mechanism of action to achieve a therapeutic outcome, the
applicant asserted that XOSPATA[supreg] has a unique mechanism of
action and, therefore, should be considered new under this criterion.
The applicant stated that XOSPATA[supreg] is an oral, small molecule
FMS-like tyrosine kinase 3 (FLT3) inhibitor. According to the
applicant, XOSPATA[supreg] inhibits FLT3 receptor signaling and
proliferation in cells exogenously expressing FLT3, including FLT3
internal tandem duplication (ITD), tyrosine kinase domain mutations
(TKD) FLT3-D835Y and FLT3-ITD D835Y, and it induces apoptosis in
leukemic cells expressing FLT3-ITD. The applicant asserted that
XOSPATA[supreg] is the only FLT3-targeting agent approved by the FDA
for the treatment of relapsed or refractory FLT3mut+ AML.
With regard to the second criterion, whether a product is assigned
to the same or a different MS-DRG, the applicant asserted that cases
involving patients being medically treated for the type of AML
indicated for XOSPATA[supreg] would map to the following MS-DRGs: 834
(Acute Leukemia without Major O.R. Procedure with MCC), 835 (Acute
Leukemia without Major O.R. Procedure with CC), and 836 (Acute Leukemia
without Major O.R. Procedure without CC/MCC). Under current coding
conventions, it appears likely that cases involving treatment with the
use of XOSPATA[supreg] would map to the same MS-DRGs as existing
therapies.
With regard to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population when compared to an
existing technology, the applicant stated that XOSPATA[supreg] is FDA-
approved for the treatment of adult patients who have relapsed or
refractory AML with a FLT3 mutation. Cases representing potential
patients that may be eligible for treatment involving XOSPATA[supreg]
would be identified by ICD-10-CM diagnostic codes C92.02 (Acute
myeloblastic leukemia, in relapse) and C92.A2 (Acute myeloid leukemia
with multilineage dysplasia, in relapse). The applicant further
asserted that there are currently no other FLT3-targeting agents
approved for the treatment of patients who have been diagnosed with
relapsed or refractory FLT3mut+ AML. Therefore, the applicant asserted
that XOSPATA[supreg] is indicated to treat a new patient population for
which there are no other technologies currently available.
We are inviting public comments on whether XOSPATA[supreg] is
substantially similar to any existing technologies, and whether it
meets the newness criterion.
With regard to the cost criterion, the applicant conducted the
following analysis to demonstrate that the technology meets the cost
criterion.
The applicant searched the FY 2017 MedPAR data file for cases
reporting ICD-10-CM diagnosis codes C92.02 (Acute myeloblastic
leukemia, in relapse) and C92.A2 (Acute myeloid leukemia with
multilineage dysplasia, in relapse) listed as a primary or secondary
diagnosis that mapped to MS-DRGs 834, 835, and 836. The applicant
applied the following trims to the cases:
Excluded Health Maintenance Organization (HMO) and IME
Only claims;
Excluded cases for bone marrow transplant because
potential eligible patients who may receive treatment involving
XOSPATA[supreg] would not receive a bone marrow transplant during the
same admission as they received chemotherapy;
Excluded cases indicating an O.R. procedure;
Excluded cases treated at 8 providers that were not listed
in the FY 2019 IPPS/LTCH PPS final rule correction notice impact file
(these are predominately cancer hospitals).
After applying the trims above, 407 potential cases remained. The
applicant noted that it used only departmental charges that are used by
CMS for ratesetting.
Using the 407 cases, the applicant determined an average case-
weighted unstandardized charge per case of $166,389. The applicant then
removed all pharmacy charges because the applicant believed that
patients would typically receive other pharmaceuticals such as anti-
emetics during the hospital stay and patients receiving treatment
involving the use of XOSPATA[supreg] would continue to receive those
receive other pharmaceuticals. Additionally, according to the
applicant, blood charges were reduced because some patients receiving
treatment involving the use of XOSPATA[supreg] became infusion
independent in the clinical trial. The applicant standardized the
charges for each case and inflated each case's charges by applying the
proposed outlier charge inflation factor of 1.085868 (included in the
FY 2019
[[Page 19338]]
IPPS/LTCH PPS proposed rule (83 FR 20581)). The applicant calculated an
average case-weighted standardized charge per case of $157,034 using
the percent distribution of MS-DRGs as case-weights. Based on this
analysis, the applicant determined that the technology met the cost
criterion because the final inflated average case-weighted standardized
charge per case for XOSPATA[supreg] exceeded the average case-weighted
threshold amount of $88,479 by $68,555. As noted, the inflation factor
used by the applicant was the proposed 2-year inflation factor, which
was discussed in the FY 2019 IPPS/LTCH PPS final rule summation of the
calculation of the FY 2019 IPPS outlier charge inflation factor for the
proposed rule (83 FR 41718 through 41722). The final 2-year inflation
factor published in the FY 2019 IPPS/LTCH PPS final rule was 1.08864
(83 FR 41722), which was revised in the FY 2019 IPPS/LTCH PPS final
rule correction notice to 1.08986 (83 FR 49844).
We note that, although the applicant used the proposed rule value
to inflate the standardized charges, even when using the final rule
value or the corrected final rule value revised in the correction
notice to inflate the charges, the final inflated average case-weighted
standardized charge per case for XOSPATA[supreg] would exceed the
average case-weighted threshold amount. We are inviting public comments
on whether XOSPATA[supreg] meets the cost criterion.
With regard to substantial clinical improvement, the applicant
submitted one central study to support its assertion that
XOSPATA[supreg] represents a substantial clinical improvement over
existing technologies because it offers a treatment option for FLT3mut+
AML patients ineligible for currently available treatments. The
applicant also asserted that XOSPATA[supreg] represents a substantial
clinical improvement because the technology reduces mortality,
decreases the number of subsequent diagnostic or therapeutic
interventions, and reduces the number of future hospitalizations due to
adverse events as shown by its studies.\261\
---------------------------------------------------------------------------
\261\ Astellas, ``A Phase 3 Open-label, Multicenter, Randomized
Study of ASP2215 versus Salvage Chemotherapy in Patients with
Relapsed or Refractory Acute Myeloid Leukemia (AML) with FLT3
Mutation, Clinical Study Report,'' March 2018.
---------------------------------------------------------------------------
According to the applicant, the efficacy of XOSPATA[supreg] in the
treatment of patients who have been diagnosed with R/R AML has been
demonstrated in a U.S.-based, multi-national, active-controlled, Phase
III study (ADMIRAL, 2215-CL-0301). This study was designed to determine
the clinical benefit of the use of XOSPATA[supreg] in patients who have
been diagnosed with FMS-like tyrosine kinase (FLT3) mutated AML who are
refractory to, or have relapsed, after first-line AML therapy as shown
with overall survival (OS) compared to salvage chemotherapy, and to
determine the efficacy of the use of XOSPATA[supreg] as assessed by the
rate of complete remission and complete remission with partial
hematological recovery (CR/CRh) in these patients.\262\
---------------------------------------------------------------------------
\262\ Ibid.
---------------------------------------------------------------------------
In the ADMIRAL (2215-CL-0301) study, the applicant noted that
XOSPATA[supreg] demonstrated clinically meaningful CR and CRh rates, as
well as a clinically meaningful duration of CR/CRh in the patients
studied. The CR/CRh rate was 21.8 percent, with 31/142 patients
achieving a CR/CRh, 18/142 patients achieving CR (12.7 percent) and 13/
142 patients achieving a CRh (9.2 percent). Of the 31 patients (21.8
percent) who achieved CR/CRh, the median duration of remission was 4.5
months. For the 18 patients who achieved CR and the 13 patients who
achieved CRh, the median duration of response was 8.7 months and 2.9
months, respectively.\263\
---------------------------------------------------------------------------
\263\ Draft XOSPATA[supreg] (package insert) Northbrook, IL,
Astellas Pharma US, Inc., 2018.
---------------------------------------------------------------------------
The safety evaluation of XOSPATA[supreg] is based on 292 patients
who had been diagnosed with relapsed or refractory AML treated with 120
mg of XOSPATA[supreg] daily. The applicant noted that when looking at
the ADMIRAL study, the most common serious adverse events (SAEs) (Grade
III or above) were lab abnormalities of elevation of liver
transaminases in 43 (15 percent) of patients, fatigue in 14 (5 percent)
of patients, myalgia or arthralgia in 13 (5 percent) of patients, and
gastrointestinal disorders of diarrhea in 8 (3 percent) of patients and
nausea in 4 (1 percent) of patients. Due to the number and type of SAEs
reported, the applicant believed that XOSPATA[supreg] has the potential
to decrease the number of subsequent future hospitalizations or
physician visits as a result of management of adverse events, in
particular serious adverse events.
Transfusion dependence was also evaluated in the XOSPATA[supreg]-
treated patients. In some hematologic disorders, becoming transfusion
independent or receiving fewer transfusions over a specified interval
is defined as improvement or response depending on whether therapy is
given.\264\
---------------------------------------------------------------------------
\264\ Gale, R.P., Barosi, G., Barbui, T., Cervantes, F., Dohner,
K., Dupriez, B., et al., ``What are RBC-transfusion-dependence and -
independence?,'' Leuk. Res, 2011, vol. 35(1).
---------------------------------------------------------------------------
In the ADMIRAL study, at baseline prior to therapy initiation, 34
patients in the XOSPATA[supreg] arm were classified as transfusion
independent and 107 patients were classified as transfusion dependent.
Of these transfusion dependent patients, 34 (31.8 percent) patients
became transfusion independent during XOSPATA[supreg] treatment. Of the
34 patients who were transfusion independent at baseline, 18 (52.9
percent) patients maintained transfusion independence during
XOSPATA[supreg] treatment.
The applicant asserted that the use of XOSPATA[supreg] addresses a
medical need in a patient population that has been difficult to manage
in the past due to limited treatment options. In the ADMIRAL study, the
applicant provided data specific to reduced mortality rate compared to
historical data. Because of the small number of SAEs, the applicant
stated that it anticipates reduction of subsequent diagnostic and
therapeutic interventions, as well as decreased number of future
physician visits and hospitalization as noted previously. However, the
applicant did not provide direct numbers for the comparator arm of the
ADMIRAL study in its application. Because of this, we are concerned
that it may be difficult to determine XOSPATA[supreg]'s comparative
effectiveness. We note that, the ADMIRAL study was designed to evaluate
efficacy and head-to-head trials are lacking. Until the comparative
data for both randomized arms are available, we are concerned that
there may be insufficient evidence to determine that XOSPATA[supreg]
provides a substantial clinical improvement over existing technologies.
We are inviting public comments on whether XOSPATA[supreg] meets
the substantial clinical improvement criterion. We did not receive any
written public comments in response to the New Technology Town Hall
meeting notice published in the Federal Register regarding the
substantial clinical improvement criterion for XOSPATA[supreg] or at
the New Technology Town Hall meeting.
l. GammaTileTM
GT Medical Technologies, Inc. submitted an application for new
technology add-on payments for FY 2020 for the GammaTileTM.
We note that Isoray Medical, Inc. and GammaTile, LLC previously
submitted an application for new technology add-on payments for
GammaTileTM for FY
[[Page 19339]]
2018, which was withdrawn, and also for FY 2019, however the technology
did not receive FDA approval or clearance by July 1, 2018 and,
therefore, was not eligible for consideration for new technology add-on
payments. The GammaTileTM is a brachytherapy technology for
use in the treatment of patients who have been diagnosed with brain
tumors, which uses cesium-131 radioactive sources embedded in a
collagen matrix. GammaTileTM is designed to provide adjuvant
radiation therapy to eliminate remaining tumor cells in patients who
required surgical resection of brain tumors. According to the
applicant, the GammaTileTM technology is a new vehicle of
delivery for and inclusive of cesium-131 brachytherapy sources embedded
within the product. The applicant stated that the technology has been
manufactured for use in the setting of a craniotomy resection site
where there is a high chance of local recurrence of a CNS or dual-based
tumor. The applicant asserted that the use of the
GammaTileTM technology provides a new, unique modality for
treating patients who require radiation therapy to augment surgical
resection of malignancies of the brain. By offsetting the radiation
sources with a 3mm gap of a collagen matrix, the applicant asserted
that the use of the GammaTileTM technology resolves issues
with ``hot'' and ``cold'' spots associated with brachytherapy, improves
safety, and potentially offers a treatment option for patients with
limited, or no other, available options. The GammaTileTM is
biocompatible and bioabsorbable, and is left in the body permanently
without need for future surgical removal. The applicant asserted that
the commercial manufacturing of the product will significantly improve
on the process of constructing customized implants with greater speed,
efficiency, and accuracy than is currently available, and requires less
surgical expertise in placement of the radioactive sources, allowing a
greater number of surgeons to utilize brachytherapy techniques in a
wider variety of hospital settings.
The GammaTileTM technology received FDA clearance under
section 510(k) as a Class II medical device on July 6, 2018. The FDA
application included the indication for GammaTileTM to be
used to provide radiation therapy for patients who have been diagnosed
with recurrent intercranial neoplasms. The applicant submitted a
request for approval for a unique ICD-10-PCS code for the use of the
GammaTileTM technology, which was approved effective October
1, 2017 (FY 2018). The ICD-10-PCS procedure code used to identify
procedures involving the use of the GammaTileTM technology
is 00H004Z (Insertion of radioactive element, cesium-131 collagen
implant into brain, open approach).
As discussed earlier, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would not be considered ``new''
for purposes of new technology add-on payments.
With regard to the first criterion, whether a product uses the same
or a similar mechanism of action to achieve a therapeutic outcome, the
applicant stated that when compared to treatment using external beam
radiation therapy, GammaTileTM uses a new and unique
mechanism of action to achieve a therapeutic outcome. The applicant
explained that the GammaTileTM technology is fundamentally
different in structure, function, and safety from all external beam
radiation therapies, and delivers treatment through a different
mechanism of action. In contrast to external beam radiation modalities,
the applicant further explained that the GammaTileTM is a
form of internal radiation termed brachytherapy. According to the
applicant, brachytherapy treatments are performed using radiation
sources positioned very close to the area requiring radiation treatment
and deliver radiation to the tissues that are immediately adjacent to
the margin of the surgical resection. Conversely, external beam
radiation therapy travels inward and typically exposes radiation to a
large volume of normal brain tissue. As a result, the common clinical
practice to avoid radiation toxicity is to reduce dosage ranges,
limiting overall efficacy.
Due to the custom positioning of the radiological sources and the
use of the cesium-131 isotope, the applicant noted that the
GammaTileTM technology focuses therapeutic levels of
radiation on an extremely small area of the brain. Unlike all external
beam techniques, the applicant stated that this radiation does not pass
externally inward through the skull and healthy areas of the brain to
reach the targeted tissue and, therefore, may limit neurocognitive
deficits seen with the use of external beam techniques. Because of the
rapid reduction in radiation intensity that is characteristic of
cesium-131, the applicant asserted that the GammaTileTM
technology can target the margin of the excision with greater precision
than any alternative treatment option, while sparing healthy brain
tissue from unnecessary and potentially damaging radiation exposure.
The applicant also stated that, when compared to other types of
brain brachytherapy, GammaTileTM uses a new and unique
mechanism of action to achieve a therapeutic outcome. The applicant
explained that cancerous cells at the margins of a tumor resection
cavity can also be irradiated with the placement of brachytherapy
sources in the tumor cavity. However, the applicant asserted that the
GammaTileTM technology is a pioneering form of brachytherapy
for the treatment of brain tumors that uses the isotope cesium-131
embedded in a collagen implant that is customized to the geometry of
the brain cavity. According to the applicant, the use of cesium-131 and
the custom distribution of seeds offset in a three-dimensional collagen
matrix results in a unique and highly effective delivery of radiation
therapy to brain tissue. Specifically, the applicant asserted that the
offset radiation source permits only a prescribed radiation dose to
reach the target surface, reducing the potential for radiation induced
necrosis and the need for reoperation. Additionally, the applicant
stated that because the half-life of cesium-131 used in
GammaTileTM is shorter compared to other brachytherapy
isotopes, this results in a more rapid and effective energy deposition
than other isotopes with longer half-lives. Therefore, applicant
believes that GammaTileTM is unique due to the greater
relative biological effectiveness compared to other brachytherapy
options.
With regard to the second criterion, whether a product is assigned
to the same or a different MS-DRG, the GammaTileTM
technology is a treatment option for patients who have been diagnosed
with brain tumors that progress locally after initial treatment with
external beam radiation therapy, and cases involving this technology
are assigned to the same MS-DRG (MS-DRG 023 (Craniotomy with Major
Device Implant/Acute Complex CNS PDX with MCC or Chemotherapy Implant))
as other current treatment forms of brachytherapy and external beam
radiation therapy.
With regard to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, the applicant
stated that the GammaTileTM technology offers a treatment
option for a patient population with limited, or no other, available
treatment options. The applicant explained that treatment options for
patients who have been
[[Page 19340]]
diagnosed with brain tumors that progress locally after initial
treatment with external beam radiation therapy are limited, and there
is no current standard-of-care in this setting. According to the
applicant, surgery alone for recurrent tumors may provide symptom
relief, but does not remove all of the cancerous cells. The applicant
further stated that repeating external beam radiation therapy for
adjuvant treatment is hampered by an increasing risk of brain injury
because additional external beam radiation therapy will increase the
total dose of radiation to brain tissue, as well as increase the total
volume of irradiated brain tissue. Secondary treatment with external
beam radiation therapy is often performed with a reduced and, therefore
less effective, dose. The applicant stated that the technique of
implanting cesium-131 seeds in a collagen matrix is currently only
available to patients in one location and requires a high degree of
expertise to implant. The manufacturing process of the
GammaTileTM will greatly expand the availability of
treatment beyond research programs at highly specialized cancer
treatment centers.
Based on the above, the applicant concluded that the
GammaTileTM technology is not substantially similar to other
existing technologies and meets the newness criterion.
However, we are concerned that the mechanism of action of the
GammaTileTM may be the same or similar to current forms or
radiation therapy or brachytherapy. Specifically, while the placement
of the cesium-131 source (or any radioactive source) in a collagen
matrix offset may constitute a new delivery vehicle, we are concerned
that this sort of improvement in brachytherapy for the use in the
salvage treatment of radiosensitive malignancies of the brain may not
represent a new mechanism of action. We also question whether the
technology treats a new patient population, as maintained by the
applicant, because of the availability of other implantable treatment
devices that treat the same patient population as the patients treated
by the GammaTileTM.
We are inviting public comments on whether the
GammaTileTM technology is substantially similar to any
existing technologies and whether it meets the newness criterion.
With regard to the cost criterion, the applicant conducted the
following analysis. The applicant worked with the Barrow Neurological
Institute at St. Joseph's Hospital and Medical Center (St. Joseph's) to
obtain actual claims from mid-2015 through mid-2016 for craniotomies
that did not involve placement of the GammaTileTM
technology. The cases were assigned to MS-DRGs 025 through 027
(Craniotomy and Endovascular Intracranial Procedures with MCC, with CC,
and without CC/MCC, respectively). For the 460 claims, the average
case-weighted unstandardized charge per case was $143,831. The
applicant standardized the charges for each case and inflated each
case's charges by applying the outlier charge inflation factor of
1.04205 included in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41718)
by the age of each case (that is, the factor was applied to 2015 claims
3 times and 2016 claims 2 times). The applicant then calculated an
estimate for ancillary charges associated with placement of the
GammaTileTM device, as well as standardized charges for the
GammaTileTM device itself. The applicant determined it meets
the cost criterion because the final inflated average case-weighted
standardized charge per case (including the charges associated with the
GammaTileTM device) of $253,876 exceeds the average case-
weighted threshold amount of $143,749 for MS-DRG 023, the MS-DRG that
would be assigned for cases involving the GammaTileTM
device.
The applicant also noted, in response to a concern expressed by CMS
in the FY 2018 IPPS/LTCH PPS proposed rule, that its analysis does not
include a reduction in costs due to reduced operating room times. The
applicant stated that, while the use the device will reduce operating
times relative to the freehand placement of seeds in other brain
brachytherapy procedures, none of the claims in the cost analysis
involve such freehand placement. We are inviting public comments on
whether the GammaTileTM technology meets the cost criterion.
With regard to substantial clinical improvement, the applicant
stated that the GammaTileTM technology offers a treatment
option for a patient population unresponsive to, or ineligible for,
currently available treatments for recurrent CNS malignancies and
significantly improves clinical outcomes when compared to currently
available treatment options. The applicant explained that therapeutic
options for patients who have been diagnosed with large or recurrent
brain metastases are limited (for example, stereotactic radiotherapy,
additional EBRT, or systemic immunochemotherapy). However, according to
the applicant, the GammaTileTM technology provides a
treatment option for patients who have been diagnosed with
radiosensitive recurrent brain tumors that are not eligible for
treatment with any other currently available treatment option.
Specifically, the applicant stated that the GammaTileTM
device may provide the only radiation treatment option for patients who
have been diagnosed with tumors located close to sensitive vital brain
sites (for example, brain stem) and patients who have been diagnosed
with recurrent brain tumors who may not be eligible for additional
treatment involving the use of external beam radiation therapy. There
is a lifetime limit for the amount of radiation therapy a specific area
of the body can receive. Patients whose previous treatment includes
external beam radiation therapy may be precluded from receiving high
doses of radiation associated with subsequent external beam radiation
therapy, and the GammaTileTM technology can also be used to
treat tumors that are too large for treatment with external beam
radiation therapy. Patients who have been diagnosed with these large
tumors are not eligible for treatment with external beam radiation
therapy because the radiation dose to healthy brain tissue would be too
high.
The applicant summarized how the GammaTileTM technology
improves clinical outcomes compared to existing treatment options,
including external beam radiation therapy and other forms of brain
brachytherapy as: (1) Providing a treatment option for patients with no
other available treatment options; (2) reducing the rate of mortality
compared to alternative treatment options; (3) reducing the rate of
radiation necrosis; (4) reducing the need for re-operation; (5)
reducing the need for additional hospital visits and procedures; and
(6) providing more rapid beneficial resolution of the disease process
treatment.
The applicant cited several sources of data to support these
assertions. The applicant referenced a paper by Brachman, Dardis et
al., which was published in the Journal of Neurosurgery on December 21,
2018.\265\ This study, a follow-up on the progress of 20 patients with
recurrent previously irradiated meningiomasis, is a feasibility or
superior progression-free survival study comparing the patient's own
historical control rate against subsequent treatment with
GammaTileTM.
---------------------------------------------------------------------------
\265\ Brachman, D., et al., ``Resection and permanent
intracranial brachytherpay using modular, biocompatible cesium-131
implants: Results in 20 recurrent previously irradiated
meningiomas,'' J Neurosurgery, December 21, 2018.
---------------------------------------------------------------------------
An additional source of clinical data is from Gamma Tech's internal
review of data from two centers treating brain tumors with
GammaTileTM; the two
[[Page 19341]]
centers are the Barrow Neurological Institute (BNI) at St. Joseph's
Hospital and St. Joseph's Medical Center, Phoenix, AZ, and this
internal review is referred to herein as the ``BNI'' study.\266\ The
BNI study summarized Gamma Tech's experience with the
GammaTileTM technology. Another source of data that the
applicant cited to support its assertions regarding substantial
clinical improvement is an abstract by Pinnaduwage, D., et al. Also
submitted in the application were abstracts from 2014 through 2018 in
which updates from the progression-free survival study and the BNI
study were presented at specialty society clinical conferences. The
following summarizes the findings cited by the applicant to support its
assertions regarding substantial clinical improvement.
---------------------------------------------------------------------------
\266\ Brachman, D., et al., ``Surgery and Permanent
Intraoperative Brachytherapy Improves Time to Progress of Recurrent
Intracranial Neoplasms,'' Society for Neuro-Oncology Conference on
Meningioma, June 2016.
---------------------------------------------------------------------------
Regarding the assertion of local control, the 2018 article which
was published in the Journal of Neurosurgery found that, with a median
follow-up of 15.4 months (range 0.03-47.5 months), there were 2
reported cases of recurrence out of 20 meningiomas, with median
treatment site progression time after surgery and brachytherapy with
the GammaTileTM precursor and prototype devices not yet
being reached, compared to 18.3 months in prior instances. Median
overall survival after resection and brachytherapy was 26 months, with
9 patient deaths. In a presentation at the Society for Neuro-Oncology
in November 2014,\267\ the outcomes of 20 patients who were diagnosed
with 27 tumors covering a variety of histological types treated with
the GammaTileTM prototype were presented. The applicant
noted the following with regard to the patients: (1) All tumors were
intracranial, supratentorial masses and included low and high-grade
meningiomas, metastases from various primary cancers, high-grade
gliomas, and others; (2) all treated masses were recurrent following
treatment with surgery and/or radiation and the group averaged two
prior craniotomies and two prior courses of external beam radiation
treatment; and (3) following surgical excision, the prototype
GammaTileTM were placed in the resection cavity to deliver a
dose of 60 Gray to a depth of 5 mm of tissue; and (4) all patients had
previously experienced regrowth of their tumors at the site of
treatment and the local control rate of patients entering the study was
0 percent.
---------------------------------------------------------------------------
\267\ Dardis, C., ``Surgery and Permanent Intraoperative
Brachytherapy Improves Times to Progression of Recurrent
Intracranial Neoplasms,'' Society for Neuro-Oncology, November 2014.
---------------------------------------------------------------------------
With regard to outcomes, the applicant stated that, after their
initial treatment, patients had a median progression-free survival time
of 5.8 months; post treatment with the prototype
GammaTileTM, at the time of this analysis, only 1 patient
had progressed at the treatment site, for a local control rate of 96
percent; and median progression-free survival time, a measure of how
long a patient lives without recurrence of the treated tumor, had not
been reached (as this value can only be calculated when more than 50
percent of treated patients have failed the prescribed treatment).
The applicant also cited the findings from Brachman, et al. to
support local control of recurrent brain tumors. At the Society for
Neuro-Oncology Conference on Meningioma in June 2016,\268\ a second set
of outcomes on the prototype GammaTileTM was presented. This
study enrolled 16 patients with 20 recurrent Grade II or III
meningiomas, who had undergone prior surgical excision external beam
radiation therapy. These patients underwent surgical excision of the
tumor, followed by adjuvant radiation therapy with the prototype
GammaTileTM. The applicant noted the following outcomes: (1)
Of the 20 treated tumors, 19 showed no evidence of radiographic
progression at last follow-up, yielding a local control rate of 95
percent; 2 of the 20 patients exhibited radiation necrosis (1
symptomatic, 1 asymptomatic); and (2) the median time to failure from
the prior treatment with external beam radiation therapy was 10.3
months and after treatment with the prototype GammaTileTM
only 1 patient failed at 18.2 months. Therefore, the median treatment
site progression-free survival time after the prototype
GammaTileTM treatment had not yet been reached (average
follow-up of 16.7 months, range 1 to 37 months).
---------------------------------------------------------------------------
\268\ Brachman, D., et al, ``Surgery and Permanent
Intraoperative Brachytherapy Improves Time to Progress of Recurrent
Intracranial Neoplasms,'' Society for Neuro-Oncology Conference on
Meningioma, June 2016.
---------------------------------------------------------------------------
A third prospective study was accepted for presentation at the
November 2016 Society for Neuro-Oncology annual meeting.\269\ In this
study, 13 patients who were diagnosed with recurrent high-grade gliomas
(9 with glioblastoma and 4 with Grade III astrocytoma) were treated in
an identical manner to the cases described above. Previously, all
patients had failed the international standard treatment for high-grade
glioma, a combination of surgery, radiation therapy, and chemotherapy
referred to as the ``Stupp regimen.'' For the prior therapy, the median
time to failure was 9.2 months (range 1 to 40 months). After therapy
with a prototype GammaTileTM, the applicant noted the
following: (1) The median time to same site local failure had not been
reached and 1 failure was seen at 18 months (local control 92 percent);
and (2) with a median follow-up time of 8.1 months (range 1 to 23
months) 1 symptomatic patient (8 percent) and 2 asymptomatic patients
(15 percent) had radiation-related MRI changes. However, no patients
required re-operation for radiation necrosis or wound breakdown. Dr.
Youssef was accepted to present at the 2017 Society for Neuro-Oncology
annual meeting, where he provided an update of 58 tumors treated with
the GammaTileTM technology. At a median whole group follow-
up of 10.8 months, 12 patients (20 percent) had a local recurrence at
an average of 11.33 months after implant. Six and 18 month recurrence
free survival was 90 percent and 65 percent, respectively. Five
patients had complications, at a rate that was equal to or lower than
rates previously published for patients without access to the
GammaTileTM technology.
---------------------------------------------------------------------------
\269\ Youssef, E., ``C-131 Implants for Salvage Therapy of
Recurrent High Grade Gliomas,'' Society for Neuro-Oncology Annual
Meeting, November 2016.
---------------------------------------------------------------------------
In support of its assertion of a reduction in radiation necrosis,
the applicant also included discussion of a presentation by D.S.
Pinnaduwage, Ph.D., at the August 2017 annual meeting of the American
Association of Physicists in Medicine. Dr. Pinnaduwage compared the
brain radiation dose of the GammaTileTM technology with
other radioactive seed sources. Iodine-125 and palladium-103 were
substituted in place of the cesium-131 seeds. The study reported
findings that other radioactive sources reported higher rates of
radiation necrosis and that ``hot spots'' increased with larger tumor
size, further limiting the use of these isotopes. The study concluded
that the larger high-dose volume with palladium-103 and iodine-125
potentially increases the risk for radiation necrosis, and the
inhomogeneity becomes more pronounced with increasing target volume.
The applicant also cited a presentation by Dr. Pinnaduwage at the
August 2018 annual meeting of the American Association of Physicists in
Medicine, in which research findings demonstrated that seed migration
in
[[Page 19342]]
collagen tile implantations was relatively small for all tested
isotopes, with Cesium-13 showing the least amount of seed migration.
The applicant asserted that, when considered in total, the data
reported in these presentations and studies and the intermittent data
presented in their abstracts support the conclusion that a significant
therapeutic effect results from the addition of GammaTileTM
radiation therapy to the site of surgical removal. According to the
applicant, the fact that these patients had failed prior best available
treatments (aggressive surgical and adjuvant radiation management)
presents the unusual scenario of a salvage therapy outperforming the
current standard-of-care. The applicant noted that follow-up data
continues to accrue on these patients.
Regarding the assertion that GammaTileTM reduces
mortality, the applicant stated that the use of the
GammaTileTM technology reduces rates of mortality compared
to alternative treatment options. The applicant explained that studies
on the GammaTileTM technology have shown improved local
control of tumor recurrence. According to the applicant, the results of
these studies showed local control rates of 92 percent to 96 percent
for tumor sites that had local control rates of 0 percent from previous
treatment. The applicant noted that these studies also have not reached
median progression-free survival time with follow-up times ranging from
1 to 37 months. Previous treatment at these same sites resulted in
median progression-free survival times of 5.8 to 10.3 months.
The applicant further stated that the use of the
GammaTileTM technology reduces rates of radiation necrosis
compared to alternative treatment options. The applicant explained that
the rate of symptomatic radiation necrosis in the
GammaTileTM clinical studies of 5 to 8 percent is
substantially lower than the 26 percent to 57 percent rate of
symptomatic radiation necrosis requiring re-operation historically
associated with brain brachytherapy, and lower than the rates reported
for initial treatment of similar tumors with modern external beam and
stereotactic radiation techniques. The applicant indicated that this is
consistent with the customized and ideal distribution of radiation
therapy provided by the GammaTileTM technology.
The applicant also asserted that the use of the
GammaTileTM technology reduces the need for re-operation
compared to alternative treatment options. The applicant explained that
patients receiving a craniotomy, followed by external beam radiation
therapy or brachytherapy, could require re-operation in the following
three scenarios:
Tumor recurrence at the excision site could require
additional surgical removal;
Symptomatic radiation necrosis could require excision of
the affected tissue; and
Certain forms of brain brachytherapy require the removal
of brachytherapy sources after a given period of time.
However, according to the applicant, because of the high local
control rates, low rates of symptomatic radiation necrosis, and short
half-life of cesium-131, the GammaTileTM technology will
reduce the need for re-operation compared to external beam radiation
therapy and other forms of brain brachytherapy.
Additionally, the applicant stated that the use of the
GammaTileTM technology reduces the need for additional
hospital visits and procedures compared to alternative treatment
options. The applicant noted that the GammaTileTM technology
is placed during surgery, and does not require any additional visits or
procedures. The applicant contrasted this improvement with external
beam radiation therapy, which is often delivered in multiple fractions
that must be administered over multiple days. The applicant provided an
example where whole brain radiotherapy (WBRT) is delivered over 2 to 3
weeks, while the placement of the GammaTileTM technology
occurs during the craniotomy and does not add any time to a patient's
recovery.
Based on consideration of all of the data presented above, the
applicant believed that the use of the GammaTileTM
technology represents a substantial clinical improvement over existing
technologies.
We are concerned that the clinical efficacy and safety data
provided by the applicant may be limited. The findings presented appear
to be derived from relatively small case-studies and not data from FDA
approved clinical trials. While the applicant described increases in
median time to disease recurrence in support of clinical improvement,
we are concerned with the lack of analysis, meta-analysis, or
statistical tests that indicated that seeded brachytherapy procedures
represented a statistically significant improvement over alternative
treatments, such as external beam radiation or other forms of
brachytherapy. We also are concerned with the lack of studies involving
the actual manufactured device. Finally, while the FDA cleared
GammaTileTM under section 510(k), authorization to market
the device for the cleared indications, we note that the FDA's issuance
of a ``substantially equivalent determination'' did not indicate a
review of any specific superiority claims to a predicate device.
We are inviting public comments on whether the
GammaTileTM technology meets the substantial clinical
improvement criterion. We did not receive any written comments in
response to the New Technology Town Hall meeting notice published in
the Federal Register regarding the substantial clinical improvement
criterion for GammaTileTM or at the New Technology Town Hall
meeting.
m. Imipenem, Cilastatin, and Relebactam (IMI/REL) Injection
Merck & Co., Inc. submitted an application for new technology add-
on payments for IMI/REL for FY 2020. The applicant is seeking an
indication for IMI/REL for the treatment of patients 18 years of age
and older who have been diagnosed with: (a) Complicated intra-abdominal
infections (cIAI) caused by susceptible gram-negative microorganisms
where limited or no alternative therapies are available; and (b)
complicated urinary tract infections (cUTIs), including pyelonephritis,
caused by susceptible gram-negative microorganisms where limited or no
alternative therapies are available. The applicant stated that IMI/REL
does not currently have a trade name, although an NDA was accepted and
is being reviewed for IMI/REL.
The applicant reported that complicated intra-abdominal infections
are a subset of intra-abdominal infections, a term which includes a
diverse set of diseases. It is broadly defined as peritoneal
inflammation in response to micro-organisms, resulting in purulence in
the peritoneal cavity. Complicated intra-abdominal infections extend
beyond the source organ into the peritoneal space. These infections
cause peritoneal inflammation, and are associated with localized or
diffuse peritonitis. Localized peritonitis often manifests as an
abscess with tissue debris, bacteria, neutrophils, macrophages, and
exudative fluid contained in a fibrous capsule. Diffuse peritonitis is
categorized as primary, secondary, or tertiary peritonitis.\270\
---------------------------------------------------------------------------
\270\ Lopez, N., Kobayashi, L., Coimbra, R., ``A Comprehensive
review of abdominal infections,'' World J Emerg Surg, 2011, vol. 6,
pp. 7, Published February 23, 2011, doi:10.1186/1749-7922-6-7.
---------------------------------------------------------------------------
In addition, the applicant stated that complicated intra-abdominal
infections
[[Page 19343]]
are characterized by chills, rigors, or fever (temperature of greater
than or equal to 38.0 [deg]C); elevated white blood cell count (greater
than 10,000/mm\3\), or left shift (greater than 15 percent immature
PMNs); nausea or vomiting; dysuria, increased urinary frequency, or
urinary urgency; and lower abdominal pain or pelvic pain. Acute
pyelonephritis is characterized by chills, rigors, or fever
(temperature of greater than or equal to 38.0 [deg]C); elevated white
blood cell count (greater than 10,000/mm\3\), or left shift (greater
than 15 percent immature PMNs); nausea or vomiting; dysuria, increased
urinary frequency, or urinary urgency; flank pain; and costo-vertebral
angle tenderness on physical examination. Risk factors for infection
with drug-resistant organisms do not, on their own, indicate a
cUTI.\271\
---------------------------------------------------------------------------
\271\ Hooton, T. and Kalpana, G., ``Acute complicated urinary
tract infection (including pyelonephritis) in adults,'' In A. Bloom
(Ed.), UpToDate. Available at: https://www.uptodate.com/contents/acute-complicated-urinary-tract-infectionincluding-pyelonephritis-in-adults.
---------------------------------------------------------------------------
According to the applicant, IMI/REL is a fixed-dose combination of
imipenem/cilastatin (IMI), a [beta]-lactam (BL) antibacterial
(specifically, a carbapenem), and relebactam (REL), a novel [beta]-
lactamase inhibitor (BLI). The applicant stated that IMI was the first
marketed carbapenem when approved by the FDA in 1985. It is a sterile
formulation of imipenem (a thienamycin antibacterial) and cilastatin
sodium (inhibitor of the renal dipeptidase, dehydropeptidase-l). The
applicant asserted that IMI is stable against hydrolysis by many
extended spectrum [beta]-lactamases (ESBLs) and is frequently used for
the treatment of serious bacterial infections in which gram-negative
bacteria and/or anaerobes play a significant role. The applicant
additionally stated that REL is a non-[beta]-lactam, small molecule
diazabicyclooctane (DABCO) BLI with inhibitory activity against various
[beta]-lactamases: Class A carbapenemases (such as KPC), Class C
cephalosporinases (including AmpC), and ESBLs.
The applicant stated that procedures involving the administration
of IMI/REL could be, generally, identified with ICD-10-PCS codes
3E03329 (Introduction of other anti-infective into peripheral vein,
percutaneous approach) or 3E04329 (Introduction of other anti-infective
into central vein, percutaneous approach). However, neither code would
uniquely identify procedures involving the administration of IMI/REL.
The applicant has submitted a request to the ICD-10 Coordination and
Maintenance Committee for approval for an ICD-10-PCS procedure code to
distinctly identify procedures involving the administration of IMI/REL.
The applicant anticipates that the recommended dosage of IMI/REL
will be 500 mg imipenem/500 mg cilastatin/250 mg relebactam, via
intravenous infusion over 30 minutes every 6 hours. The applicant
anticipates that the dosage will be decreased proportionally with
decreases in the renal creatinine clearance category.
As discussed earlier, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would not be considered ``new''
for purposes of new technology add-on payments.
With regard to the first criterion, whether the product uses the
same or a similar mechanism of action as an existing technology to
achieve the same therapeutic outcome, the applicant stated that IMI/
REL's mechanism of action differentiates it from other approved
injectable antibiotics. The applicant noted that there are three other
BL/BLI antibiotics that have recently been FDA-approved, including
Zerbaxa[supreg], Avycaz[supreg], and VABOMERETM. However,
the applicant stated that the properties of REL, a non-[beta]-lactam,
small molecule diazabicyclooctane (DABCO) BLI with inhibitory activity
against various [beta]-lactamases including: Class A carbapenemases
(such as KPC), Class C cephalosporinases (including AmpC), and ESBLs,
when combined with imipenem and cilastatin, used as [beta]-lactams,
gives IMI/REL a different mechanism of action from that of the
aforementioned BL/BLI antibiotics. The applicant provided comparisons
of efficacy with other BL/BLI antibiotics as evidence of IMI/REL's
unique mechanism of action, and asserted that the combination of REL
and IMI would be efficacious in most imipenem-resistant strains at
clinically achievable doses and concentrations, and that both IMI and
REL are not subject to efflux pumps in P. aeruginosa. The applicant
additionally submitted several studies that noted that REL, as a non-
[beta]-lactam, small-molecule BLI with dual Class A/C activity, is
suited to inactivate [beta]-lactamase subtypes involved in carbapenem
resistance.272 273 By inhibiting these [beta]-lactamases,
the applicant claims that REL has the potential to restore IMI's
efficacy against MDR pathogens previously expressing resistance to IMI.
---------------------------------------------------------------------------
\272\ Sims, et al., ``Prospective, randomized, double-blind,
Phase 2 dose-ranging study comparing efficacy and safety of
imipenem/cilastatin plus relebactam with imipenem/cilastatin alone
in patients with complicated urinary tract infections.'' Journal of
Antimicrobial Chemotherapy. 2017.
\273\ Rhee, et al., ``Pharmacokinetics, Safety, and Tolerability
of Single and Multiple Doses of Relebactam, a b-LactamaseInhibitor,
in Combination with Imipenem and Cilastatin in Healthy
Participants.'' Antimicrobial Agents and Chemotherapy, 2018.
---------------------------------------------------------------------------
With respect to the second criterion, whether the product is
assigned to the same or a different MS-DRG as existing technologies,
the applicant asserted that patients who may be eligible to receive
treatment involving IMI/REL include hospitalized patients who have been
diagnosed with a cUTI or cIAI. We expect that cases involving IMI/REL
would most likely be assigned to the same MS-DRGs to which cases
involving comparator treatments are assigned.
With respect to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, the applicant
asserted that the use of IMI/REL would treat a different patient
population than existing and currently available treatment options. As
previously noted, the applicant submitted several studies that noted
REL, as a non-[beta]-lactam, small-molecule BLI with dual Class A/C
activity, is suited to inactivate [beta]-lactamase subtypes involved in
carbapenem resistance.274 275 By inhibiting these [beta]-
lactamases, the applicant asserts that REL has the potential to restore
IMI's efficacy against MDR pathogens previously expressing resistance
to IMI and, therefore, to extend treatment to patient populations that
might have previously been resistant to IMI. Additionally, the
applicant compared the administration of IMI/REL to other comparator
antibiotics to demonstrate its unique place in the armamentarium,
beginning with three older antibiotics. First, in comparison to
polymyxins, the applicant asserts that even in colistin-derived
preparations of polymyxins, nephrotoxicity is still evident and is the
potential adverse experience of most
[[Page 19344]]
concern to prescribing clinicians,\276\ and further asserted that
neither polymyxin B nor colistin have been subjected to contemporary
drug development procedures.\277\ Second, the applicant asserted that
clinical data for fosfomycin in the treatment of MDR bacterial
infections are very scarce. Third, the applicant stated that
tigecycline does not have activity against Pseudomonas spp.\278\
Furthermore, in a safety announcement released by the FDA in 2013, it
was noted that an increased risk of death was observed with tigecycline
compared to other antibacterials used to treat similar infections.\279\
---------------------------------------------------------------------------
\274\ Sims, et al., ``Prospective, randomized, double-blind,
Phase 2 dose-ranging study comparing efficacy and safety of
imipenem/cilastatin plus relebactam with imipenem/cilastatin alone
in patients with complicated urinary tract infections.'' Journal of
Antimicrobial Chemotherapy, 2017.
\275\ Rhee, et al., ``Pharmacokinetics, Safety, and Tolerability
of Single and Multiple Doses of Relebactam, a b-LactamaseInhibitor,
in Combination with Imipenem and Cilastatin in Healthy
Participants.'' Antimicrobial Agents and Chemotherapy, 2018.
\276\ Dalfino, L, et al., ``High-Dose, extended-interval
colistin administration in critically ill patients: is this the
right dosing strategy? A preliminary study,'' Clin Infect Dis, 2012,
vol. 54(12), pp. 1720-6.
\277\ American Thoracic Society, Infectious Diseases Society of
America, ``Guidelines for the management of adults with hospital
lacquired, ventilator-associated, and healthcare-associated
pneumonia,'' Am J Respir Crit Care Med, 2005, vol. 171, pp. 388-416.
\278\ Giamarellou, H., Poulakou, G., ``Multidrug-resistant gram-
negative infections; what are the treatment options? Drugs,'' Drugs,
2009, vol, 69(14), pp. 1879-1901.
\279\ FDA Drug Safety Communication: ``FDA warns of increased
risk of death with IV antibacterial Tygacil (tigecycline) and
approves new Boxed Warning'', Accessed at https://www.fda.gov/Drugs/DrugSafety/ucm369580.htm on 11/10/2018.
---------------------------------------------------------------------------
The applicant also compared the administration of IMI/REL to the
three other aforementioned BL/BLI antibiotics. First, the applicant
asserted that the use of tazobactam in Zerbaxa[supreg] is not effective
against KPC-producing bacteria \280\ and some highly drug-resistant
strains of P. aeruginosa, including some carbapenem-resistant (CR)
strains, which are able to escape the antipseudomonal activity of
Zerbaxa[supreg]. Second, the applicant asserted that there have been
recent reports of resistance to Avycaz[supreg],281 282
including in a recent report published by the European Centre for
Disease Prevention and Control (ECDC).\283\ The applicant reports that
additionally, avibactam has been shown to be subject to efflux in P.
aeruginosa, which the applicant asserts casts further concerns
regarding its utility.284 285 Third, the applicant asserted
that the use of vaborbactam in VABOMERETM has little impact
on the activity of meropenem in vitro against CR P. aeruginosa,
arguably due to vaborbactam being subject to efflux.286 287
In addition, the applicant stated that the U.S. Prescribing Information
(USPI) for VABOMERETM indicates that vaborbactam has no
effect on meropenem activity against meropenem-susceptible
isolates.\288\
---------------------------------------------------------------------------
\280\ Papp-Wallace, K.M., et al., ``Substrate selectivity and a
novel role in inhibitor discrimination by residue 237 in the KPC-2
betalactamase,'' Antimicrob Agents Chemother, Jul 2010, vol. 54(7).
pp. 2867-77, doi: 10.1128/AAC.00197-10, Epub 2010, Apr 26.
\281\ Shields, R.K., et al., ``Emergence of ceftazidime-
avibactam resistance due to plasmid-borne blaKPC-3 mutations during
treatment of carbapenem-resistant Klebsiella pneumoniae
infections,'' Antimicrob Agents Chemother, Feb 23, 2017, vol.
;61(3), pii: e02097-16, doi: 10.1128/AAC.02097-16, Print 2017 Mar.
\282\ Haidar, G,, et al., ``Identifying spectra of activity and
therapeutic niches for ceftazidime-avibactam and imipenem relebactam
against carbapenemresistant Enterobacteriaceae,'' Antimicrob Agents
Chemother, 2017, vol. 61, pp. e00642-17.
\283\ European Centre for Disease Prevention and Control,
``Emergence of resistance to ceftazidime-avibactam in carbapenem-
resistant Enterobacteriaceae, 12 June 2018,'' Stockholm; ECDC; 2018.
\284\ Poster presented at ECCMID 2017 (Apr 22-25), Vienna
(Austria). EP0469: Avibactam is a substrate for MexAB-OprM in
P.aeruginosa.
\285\ Chalhoub, H., et al., ``Loss of activity of ceftazidime-
avibactam due to Mex-AB-OprM efflux and overproduction of AmpC
cephalosporinase in Pseudomonas aeruginosa isolated from patients
suffering from cystic fibrosis,'' Int J Antimicrob Agents, August 3,
2018, pii: S0924-8579(18)30226-7, doi: 10.1016/
j.ijantimicag.2018.07.027. [Epub ahead of print].
\286\ Castanheira, M., et al., ``Meropenem-Vaborbactam Tested
against contemporary gram-negative isolates collected worldwide
during 2014, including carbapenem-resistant, KPC-producing,
multidrug-resistant, and extensively drug-resistant
Enterobacteriaceae,'' Antimicrob Agents Chemother. August, 24, 2017,
vol. 61(9), pii: e00567-17, doi: 10.1128/AAC.00567-17, Print
September 2017.
\287\ Zhanel, G.G., et al., ``Imipenem-relebactam and meropenem-
vaborbactam: two novel carbapenem-[beta]-lactamase inhibitor
combinations,'' Drugs, January 2018, vol. 78(1), pp. 65-98, doi:
10.1007/s40265-017-0851-9.
\288\ USPI for VABOMERETM.
---------------------------------------------------------------------------
Finally, the applicant compared the administration of IMI/REL to
two additional antibiotics. First, the applicant asserted that
XeravaTM has no activity against P. aeruginosa.\289\ Second,
the applicant asserted that aminoglycosides, including
ZemdriTM, usually have minimal lung penetration, limiting
potential efficacy in HABP/VABP. The applicant stated that currently
used aminoglycosides are associated with nephrotoxicity and
ototoxicity, and, outside of UTI, are rarely given as single agents in
the treatment of serious bacterial infections. The applicant stated
that the approved USPI for ZemdriTM includes black-box
warnings for nephrotoxicity, ototoxicity, neuromuscular blockade, and
fetal harm.\290\
---------------------------------------------------------------------------
\289\ USPI for XeravaTM.
\290\ USPI for ZemdriTM.
---------------------------------------------------------------------------
We are concerned that the mechanism of action of IMI/REL may be
similar to the mechanism of action of other BL/BLI antibiotics. While
we recognize that REL is used as a unique molecular structure with
respect to other BLIs in BL/BLI combination, the fundamental mechanism
of action of IMI/REL may be similar to that of other BL/BLIs.
Additionally, with respect to whether the use of IMI/REL would treat a
different patient population than existing treatment options, we note
that, while the variety of antibiotic resistance-patterns certainly
warrants a varied armamentarium for clinicians, there are existing
antimicrobials that are approved to, generally, treat diagnoses of
cUTIs, cIAIs, and MDR pathogens. We are concerned that non-uniform
resistance patterns among patients, necessitating a range of drugs to
treat the same diseases, may not constitute a new patient population.
We are inviting public comments on whether the IMI/REL technology is
substantially similar to any existing technologies and whether it meets
the newness criterion, including with respect to the concerns we have
raised.
The applicant conducted the following analysis to demonstrate that
the technology meets the cost criterion. To determine the MS-DRGs that
potential cases representing patients who may be eligible for treatment
involving the administration of IMI/REL would map to, the applicant
identified all MS-DRGs containing cases that reported ICD-10-CM
diagnosis codes for cUTI or cIAI, as a primary or secondary diagnosis,
as well as a diagnosis code(s) for CRE resistance. Based on the FY 2017
MedPAR data file and Hospital Limited Data Set (LDS), the applicant
identified a total of 21,111 cases representing patients who may be
eligible for treatment with the administration of IMI/REL, which mapped
to 441 unique MS-DRGs. There were 307 MS-DRGs with very minimal
frequencies (fewer than 11 cases), and a total of 1,138 cases
associated with these low-volume MS-DRGs. After trimming the cases that
were mapped to low-volume MS-DRGS, the applicant identified 19,973
cases that were mapped to 134 unique MS-DRGs, with the top 10 MS-DRGs
covering approximately 74.3 percent of all identified cases.
Using 100 percent of the 19,973 cases considered, the applicant
determined an average case-weighted unstandardized charge per case of
$60,506. The applicant standardized the charges for each case and
inflated each case's charges by applying the FY 2019 IPPS/LTCH PPS
final rule outlier charge inflation factor of 1.08864 (83 FR 41722).
(We note that this 2-year charge inflation factor was revised in the FY
2019 IPPS/LTCH PPS final rule correction notice. The corrected factor
is 1.08986 (83 FR 49844). However, we further note that even when using
the corrected final rule values to inflate the
[[Page 19345]]
charges, the average case-weighted standardized charge per case for
each scenario exceeded the average case-weighted threshold amount.) The
applicant then removed 100 percent of the drug charges from the
relevant cases to estimate the charges for drugs that potentially may
be replaced or avoided by the administration of IMI/REL. The applicant
then added charges for the administration of IMI/REL by taking the cost
of the drug and converting it to a charge by dividing the costs by the
national average CCR of 0.191 for drugs from the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41273). The applicant calculated an average case-
weighted standardized charge per case of $74,778, using the percent
distribution of MS-DRGs as case-weights. Based on this analysis, the
applicant determined that the final inflated average case-weighted
standardized charge per case for cases involving the administration of
IMI/REL exceeded the average case-weighted threshold amount of $50,417
by $24,361.
The applicant conducted additional analysis to demonstrate that the
technology meets the cost criterion. In these analyses, the applicant
repeated the cost analysis above with one analysis of cases with a
diagnosis of cUTI and the other analysis of cases with a diagnosis of
cIAI. In each of these additional sensitivity analyses, the applicant
determined that the final inflated average case-weighted standardized
charge per case exceeded the final average case-weighed threshold
amount, by $21,677 and $44,119, respectively. We are inviting public
comments on whether the administration of IMI/REL meets the cost
criterion.
With regard to substantial clinical improvement, the applicant
believes that the administration of IMI/REL represents a substantial
clinical improvement over currently available therapies because of the
efficacy and safety results of the completed Phase III trial RESTORE-
IMI 1. RESTORE-IMI 1 included 47 subjects who were randomized in a
randomized, double-blind, active-controlled, parallel group, multi-
center Phase III trial of IMI/REL (provided together in a single vial
as a fixed-dose combination product) + placebo compared with colistin
(in the form of colistimethate sodium [CMS]) + IMI in patients with
imipenem non-susceptible bacterial infections, including HABP/VABP,
cIAI, and cUTI. The primary efficacy endpoint for RESTORE-IMI 1 was
overall response based on the following: (a) All-cause mortality
through Day 28 post-randomization in patients who had been diagnosed
with HABP/VABP, (b) clinical response at Day 28 post-randomization for
patients who had been diagnosed with cIAI, and (c) composite clinical
and microbiological response at early follow-up (EFU) (Day 5 to 9
following completion of therapy) for patients who had been diagnosed
with cUTI. Key secondary efficacy endpoints include estimation of
clinical response at Day 28 post-randomization and all-cause mortality
through Day 28. A favorable clinical response for all infection sites
refers to resolution of baseline clinical signs and symptoms associated
with the baseline infection. The primary efficacy analysis population
for this study is the microbiological modified intent-to treat (m-MITT)
population (31 patients), defined as all randomized patients who
received at least one dose of the study drug within a given stage/phase
IV study therapy regimen, and who had been diagnosed with a qualifying
baseline bacterial pathogen.
With respect to efficacy, the applicant stated that the
administration of IMI/REL demonstrates a substantial clinical
improvement due to the following three study results: (1) Numerically
comparable overall response of the use of IMI/REL compared to CMS +
IMI, (2) numerically favorable clinical response at Day 28 for the use
of IMI/REL compared to CMS + IMI, and (3), numerically lower all-cause
mortality at Day 28. First, the applicant indicated that a favorable
overall response (primary endpoint) was achieved in 71.4 percent of the
patients who received treatment involving IMI/REL + placebo and 70.0
percent of the patients who received treatment with CMS + IMI.\291\
Second, the applicant asserted that favorable clinical response
(secondary endpoint) was achieved by a higher percentage of the
patients who received treatment involving IMI/REL + placebo (71.4
percent) than patients who received treatment with CMS + IMI (40.0
percent) at Day 28, as well as at all other time points assessed.\292\
Third, the applicant states that all-cause mortality at Day 28 favored
IMI/REL + placebo (9.5 percent) over CMS + IMI (30 percent), although
the difference was not statistically significant at the 90 percent
level.
---------------------------------------------------------------------------
\291\ Motsch, J. et al., ``RESTORE-IMI 1: A Multicenter,
Randomized, Double-Blind, Comparator-Controlled Trial Comparing the
Efficacy and Safety of Imipenem/Relebactam vs Colistin Plus Imipenem
in Patients With Imipenem-Non-susceptible Bacterial Infections.''
\292\ Ibid.
---------------------------------------------------------------------------
With respect to safety, the applicant indicated that the primary
population used for all safety evaluations was the All-Subjects-as-
Treated (ASaT) population, which comprises all patients who received at
least one dose of the study medication. The applicant stated that the
incidence of AEs, including deaths, SAEs, drug-related AEs and SAEs,
and discontinuations due to AEs, was lower in patients who received
treatment involving the administration of IMI/REL + placebo than in
patients who received treatment involving the CMS + IMI. Overall, the
most commonly reported AEs (greater than or equal to 10 percent of the
patients overall) across both treatment groups were pyrexia (12.8
percent of the patients), increased AST (12.8 percent of the patients),
increased ALT (10.6 percent), and nausea (10.6 percent of subjects).
The incidences of increased AST, increased ALT, and nausea were lower
in patients who received treatment involving IMI/REL + placebo than in
patients who received treatment involving CMS + IMI. The applicant
further stated that in accounting for nephrotoxicity associated with
the use of CMS, a pre-specified key secondary objective of the study
was to estimate the proportion of patients who experienced treatment-
emergent nephrotoxicity following receipt of treatment involving IMI/
REL + placebo or CMS + IMI and to compare the treatment groups. From
this analysis, the applicant concluded that the incidence of treatment-
emergent nephrotoxicity was significantly lower in patients who
received treatment involving IMI/REL + placebo (10.3 percent) than in
patients who received treatment involving CMS + IMI (56.3 percent)
(two-sided p-value of 0.002).
We have the following concerns regarding whether IMI/REL meets the
substantial clinical improvement criterion. First, we are concerned
regarding the comparator chosen for the RESTORE-IMI 1 trial. We are not
certain why the combination of CMS + IMI was chosen, and if other
comparators would have been more appropriate. Second, 8 of the 21 cases
in the m-MITT population treated with IMI/REL were cases of HABP/
VABP,\293\ and further 7 out of the 15 cases of positive clinical
response in the m-MITT population to IMI/REL were cases of HABP/
VABP.\294\ Because HABP/VABP are not conditions for which the applicant
is seeking indications for IMI/REL, it is possible that conclusions
drawn from the RESTORE-IMI 1 study regarding safety and efficacy are
not specific to those indications described
[[Page 19346]]
in the application. Third, the favorable clinical response after Day 28
is measured at the 90 percent confidence level,\295\ rather than the
more common 95 percent level, without explanation. Fourth, we note that
the study is composed of an initial sample of only 47 patients.\296\
With such a small sample we are concerned about the external validity
of the conclusions, specifically the generalizability of the results to
the Medicare population, given the specific demographic makeup of that
population. Fifth, we have another methodological concern regarding the
different endpoints present in the study, along with the Day 28
assessment. We note that HABP/VABP, cUTI, and cIAI are measured
respectively by mortality, favorable clinical response (cure), and
favorable clinical response (cure OR sustained eradication).\297\ We
are uncertain why different endpoints were chosen for the different
conditions. Additionally, we are uncertain if the Day 28 assessment
cited in the application reflects microbiological or just clinical
response. Sixth, the applicant defined the m-MITT and ASaT populations
as those patients who received at least one dose of the study drug. We
are not certain whether these analyses should also include those
patients in the comparator arm who did not receive the study drug, as
this could violate the applicant's definition of m-MITT. Seventh, CMS
also notes that both the estimated difference in the favorable overall
response at the primary endpoint and the estimated difference in all-
cause mortality are not statistically significant \298\ and, therefore,
may not represent a substantial clinical improvement. Finally, in
addition, with respect to safety, the applicant asserted that the
administration of IMI/REL induces less nephrotoxicity compared to the
use of CMS + IMI. However, nephrotoxicity is a known adverse effect of
CMS, and other available antimicrobials approved to treat diagnoses of
cUTIs and cIAIs induce less nephrotoxicity (and were not studied in the
data provided to support this application). Therefore, it is not clear
that IMI/REL induces less nephrotoxicity compared to other available
treatments.
---------------------------------------------------------------------------
\293\ 18-1315-D MRPAB18303 IDWeek SmMITT_final.
\294\ Ibid.
\295\ 18-1315-C MRPAB18304 IDWeek Nephrotoxicity_final.
\296\ Ibid.
\297\ 18-1315-D MRPAB18303 IDWeek SmMITT_final.
\298\ Kaye, K.S., et al., ``Results for the Supplemental
Microbiological Modified Intent-to-Treat (SmMITT) Population of the
RESTORE-IMI 1 Trial of Imipenem/Cilastatin/Relebactam Versus
Colistin Plus Imipenem/Cilastatin in Patients With Imipenem-
Nonsusceptible.''
---------------------------------------------------------------------------
We are inviting public comments on whether IMI/REL meets the
substantial clinical improvement criterion, including with respect to
the concerns we have raised. We did not receive any written comments in
response to the New Technology Town Hall meeting notice published in
the Federal Register regarding the substantial clinical improvement
criterion for IMI/REL or at the New Technology Town Hall meeting.
n. JAKAFITM (Ruxolitinib)
Incyte Corporation submitted an application for new technology add-
on payments for JAKAFITM (ruxolitinib) for FY 2020.
JAKAFITM is an oral kinase inhibitor that inhibits Janus-
associated kinases 1 and 2 (JAK1/JAK2). The JAK pathway, which includes
JAK1 and JAK2, is involved in the regulation of immune cell maturation
and function. According to the applicant, JAK inhibition represents a
novel therapeutic approach for the treatment of acute graft-versus-host
disease (GVHD) in patients who have had an inadequate response to
corticosteroids.
Allogeneic hematopoietic stem cell transplantation (allo-HSCT) is a
treatment option for patients who have been diagnosed with hematologic
cancers, some solid tumors, and some non-malignant hematologic
disorders. According to the applicant, approximately 9,000 allo-HSCTs
were performed in the U.S. in 2017. The most common cause of death in
allo-HSCT recipients within the first 100 days is relapsed disease (29
percent), infection (16 percent), and GVHD (9 percent).\299\ GVHD is a
condition where donor immunocompetent cells attack the host tissue.
GVHD can be acute (aGVHD), which generally occurs prior to day 100, or
chronic (cGVHD). aGVHD results in systemic inflammation and tissue
destruction affecting multiple organs. Systemic corticosteroids are
used as first-line therapy for the treatment of a diagnosis of aGVHD,
with response rates between 40 percent and 60 percent. However, the
response is often not durable, and there is no consensus on optimal
second-line treatment.\300\ The applicant envisions the use of
JAKAFITM as second-line treatment (that is, first-line
steroid treatment failures) for the treatment of a diagnosis of
steroid-refractory aGVHD.
---------------------------------------------------------------------------
\299\ D'Souza, A., Lee, S., Zhu, X., Pasquini, M., ``Current use
and trends in hematopoietic cell transplantation in the United
States,'' Biol Blood Marrow Transplant, 2017, vol. 23(9), pp. 1417-
1421.
\300\ Martin, P.J., Rizzo, J.D., Wingard, J.R., et al., ``First
and second-line systemic treatment of acute graft-versus-host
disease: recommendations of the American Society of Blood and Marrow
Transplantation,'' Biol Blood Marrow Transplant, 2012, vol. 18(8),
pp. 1150-1163.
---------------------------------------------------------------------------
The applicant reports that there are no FDA-approved treatments for
patients who have been diagnosed with steroid-refractory aGVHD, and
despite available treatment options, according to the applicant,
patients do not always achieve a positive response, underscoring the
need for new and innovative treatments for these patients. The
applicant also states that patients who develop steroid-refractory
aGVHD can progress to severe disease, with 1-year mortality rates of 70
to 80 percent. A number of combination treatment approaches are being
investigated as second-line therapy in patients who have been diagnosed
with steroid-refractory aGVHD, including methotrexate, mycophenolate
mofetil, extracorporeal photopheresis, IL-2R targeting agents
(basiliximab, daclizumab, denileukin, and diftitox), alemtuzumab, horse
antithymocyte globulin, etancercept, infliximab, and sirolimus.
According to the applicant, the American Society for Blood and Marrow
Transplantation (ASBMT) does not provide any recommendations for
second-line therapy for patients who have been diagnosed with steroid-
refractory aGVHD, nor suggest avoidance of any specific agent.
JAKAFITM received FDA approval in 2011 for the treatment
of patients who have been diagnosed with intermediate or high-risk
myelofibrosis (MF). In addition, JAKAFITM received FDA
approval in December 2014 for the treatment of patients who have been
diagnosed with polycythemia vera (PV) who have had an inadequate
response to, or are intolerant of hydroxyurea. JAKAFITM is
primarily prescribed in the outpatient setting for these indications.
The applicant has submitted a supplemental new drug application (sNDA)
(with Orphan Drug and Breakthrough Therapy designations) seeking FDA's
approval for a new indication for JAKAFITM for the treatment
of patients who have been diagnosed with steroid-refractory aGVHD who
have had an inadequate response to treatment with corticosteroids. The
applicant asserts that for this new indication, JAKAFITM is
expected to be used in the inpatient setting, during either hospital
admission for allo-HSCT, or upon need for hospital re-admission for
treating patients who have been diagnosed with aGVHD who have had an
inadequate response to treatment with corticosteroids. Although as of
the time of the development of this FY 2020 IPPS/LTCH PPS proposed rule
it has not yet received FDA approval, the applicant
[[Page 19347]]
indicated that it expects FDA approval for this new indication for the
use of JAKAFITM prior to the July 1, 2019 deadline.
There are currently no ICD-10-PCS procedure codes that uniquely
identify the administration of JAKAFITM. We note that the
applicant submitted a request for approval for a unique ICD-10-PCS
procedure code to describe procedures involving the administration of
JAKAFITM beginning in FY 2020.
As stated above, if a technology meets all three of the substantial
similarity criteria described above, it would be considered
substantially similar to an existing technology and, therefore, would
not be considered ``new'' for purposes of new technology add-on
payments.
With regard to the first criterion, whether a product uses the same
or a similar mechanism of action to achieve a therapeutic outcome, the
applicant asserts that there are no products that utilize the same or
similar mechanism of action (that is, JAK inhibition) to achieve the
same therapeutic outcome for the treatment of acute steroid-resistant
GVHD. The applicant further explained that JAKAFITM
functions to inhibit the JAK pathway, and has been shown in pre-
clinical and clinical trials to reduce GVHD. The applicant explained
that JAKs are intracellular, non-receptor tyrosine kinases that relay
the signaling of inflammatory cytokines. The applicant stated that,
based on their role in immune cell development and function, JAKs might
affect all phases of aGVHD pathogenesis, including cell activation,
expansion, and destruction. Specifically, JAKs regulate activities of
immune cells involved in aGVHD etiology, including antigen-presenting
cells, T-cells, and B-cells, and function downstream of many cytokines
relevant to GVHD-mediated tissue damage. Inhibition of JAK1/JAK2
signaling in aGVHD could be expected to block signal transduction from
proinflammatory cytokines that activate antigen-presenting cells,
expansion and differentiation of T-cells, suppression of regulatory T-
cells, and inflammation and tissue destruction mediated by infiltrating
cytotoxic T-cells.\301\ The applicant stated that other agents that are
being investigated as second-line treatments for patients who have been
diagnosed with steroid-resistant aGVHD, such as methotrexate,
mycophenolate mofetil, extracorporeal photopheresis, IL-2R targeting
agents (basiliximab, daclizumab, denileukin, and diftitox),
alemtuzumab, horse antithymocyte globulin, etancercept, infliximab, and
sirolimus, use a different mechanism of action than that of
JAKAFITM. The applicant believes that the mechanism of
action of JAKAFITM differs from that of existing
technologies used to achieve the same therapeutic outcome.
---------------------------------------------------------------------------
\301\ Martin, P.J., Rizzo, J.D., Wingard, J.R., et al., ``First
and second-line systemic treatment of acute graft-versus-host
disease: recommendations of the American Society of Blood and Marrow
Transplantation,'' Biol Blood Marrow Transplant, 2012, vol. 18(8),
pp. 1150-1163.
---------------------------------------------------------------------------
With regard to the second criterion, whether a product is assigned
to the same or a different MS-DRG, the applicant asserts that there are
currently no FDA-approved medicines for the treatment of patients who
have been diagnosed with steroid-refractory aGVHD who have had an
inadequate response to corticosteroids and, therefore,
JAKAFITM would not be assigned to the same MS-DRG as
existing technologies.
With respect to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, the applicant
stated that there are no existing treatment options for patients who
have been diagnosed with steroid-refractory aGVHD who have had an
inadequate response to corticosteroids and, therefore,
JAKAFITM represents a new treatment option for a patient
population without existing or alternative options. The applicant
stated that, based on its knowledge, there are no other prospective
studies evaluating the effects of treatment with JAK inhibitors for the
treatment of aGVHD in this patient population, and there are no FDA-
approved agents for the treatment of patients who have been diagnosed
with steroid-refractory aGVHD who have inadequately responded to
treatment with corticosteroids.
For the reasons summarized above, the applicant maintained that
JAKAFITM is not substantially similar to any existing
technology. We note, however, that there are a number of available
second-line treatment options for a diagnosis of aGVHD that treat the
same patient population. We also note that a number of these treatment
options use a method of immunomodulation and suppress the body's immune
response similar to the mechanics and goals of JAKAFITM and,
therefore, we believe that JAFAKITM may have a similar
mechanism of action as existing therapies. Finally, for patients
receiving treatment involving any current second-line therapies for a
diagnosis of steroid-refractory aGVHD, CMS would expect these patient
cases to be generally assigned to the same MS-DRGs as a diagnosis for
aGVHD, as would cases representing patients who may be eligible for
treatment involving JAKAFITM. We are inviting public
comments on whether JAKAFITM is substantially similar to any
existing technologies, including with respect to the concerns we have
raised, and whether the technology meets the newness criterion.
With regard to the cost criterion, the applicant conducted the
following analysis to demonstrate that the technology meets the cost
criterion. To identify cases representing patients who may be eligible
for treatment involving JAKAFITM, the applicant searched the
FY 2017 MedPAR Limited Data Set (LDS) for cases reporting ICD-10-CM
diagnosis codes for acute or unspecified GVHD in combination with
either ICD-10-CM diagnosis codes for associated complications of bone
marrow transplant or ICD-10-PCS procedure codes for transfusion of
allogeneic bone marrow, as identified in the table below. The applicant
used this methodology to capture patients who developed aGVHD during
their initial stay for allo-HSCT treatment, as well as those patients
who were discharged and needed to be readmitted for a diagnosis of
aGVHD.
The applicant submitted the following table displaying a complete
list of the ICD-10-CM diagnosis codes and ICD-10-PCS procedure codes it
used to identify cases representing patients who may be eligible for
treatment with JAKAFITM.
BILLING CODE 4120-01-P
[[Page 19348]]
[GRAPHIC] [TIFF OMITTED] TP03MY19.017
[[Page 19349]]
[GRAPHIC] [TIFF OMITTED] TP03MY19.018
[[Page 19350]]
[GRAPHIC] [TIFF OMITTED] TP03MY19.019
BILLING CODE 4120-01-C
The applicant identified a total of 210 cases mapping to MS-DRGs
014 (Allogeneic Bone Marrow Transplant), 808 (Major Hematological and
Immunological Diagnoses except Sickle Cell Crisis and Coagulation
Disorders with MCC), 809 (Major Hematological and Immunological
Diagnoses except Sickle Cell Crisis and Coagulation Disorders with CC),
and 871 (Septicemia or Severe Sepsis without MV >96 hours with MCC).
The applicant indicated that, because it is difficult to determine the
realistic amount of drug charges to be replaced or avoided as a result
of the use of JAKAFI\TM\, it provided two scenarios to demonstrate that
JAKAFI\TM\ meets the cost criterion. In the first scenario, the
applicant removed 100 percent of pharmacy charges to conservatively
estimate the charges for drugs that potentially may be replaced or
avoided by the use of JAKAFI\TM\. The applicant then standardized the
charges and applied a 2-year inflation factor of 8.864 percent, which
is the same inflation factor used by CMS to update the outlier
threshold in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41722). (We
note that this figure was revised in the FY 2019 IPPS/LTCH PPS final
rule correction notice. The corrected final 2-year inflation factor is
1.08986 (83 FR 49844).) The applicant then added charges for JAKAFI\TM\
to the inflated average case-weighted standardized charges per case. No
other related charges were added to the cases.
Under the assumption of 100 percent of historical drug charges
removed, the applicant calculated the inflated average case-weighted
standardized charge per case to be $261,512 and the average case-
weighted threshold amount to be $172,493. Based on this analysis, the
applicant believed that JAKAFI\TM\ meets the cost criterion because the
inflated average case-weighted standardized charge per case exceeds the
average case-weighted threshold amount.
As noted above, the applicant also submitted a second scenario to
demonstrate that JAKAFI\TM\ meets the cost criterion. The applicant
indicated that removing all charges for previous technologies as
demonstrated in the first scenario is unlikely to reflect the actual
case because many drugs are used in treating a diagnosis of aGVHD,
especially during the initial bone marrow transplant. Therefore, the
applicant also provided a sensitivity analysis where it did not remove
any pharmacy charges or any other historical charges, which it
indicated could be a more realistic assumption. Under this scenario,
the final average case-weighted standardized charge per case is
$377,494, which exceeds the average case-weighted threshold amount of
$172,493. The applicant maintained that JAKAFI\TM\ also meets the cost
criterion under this scenario.
We are inviting public comments on whether JAKAFI\TM\ meets the
cost criterion.
With respect to the substantial clinical improvement criterion, the
applicant asserted that JAKAFI\TM\ represents a substantial clinical
improvement because: (1) The technology offers a treatment option for a
patient population previously ineligible for treatments because
JAKAFI\TM\ (if approved) would be the first FDA-approved treatment
option for patients who have been diagnosed with GVHD who have had an
inadequate response to corticosteroids; and (2) use of the technology
significantly improves clinical outcomes in patients with steroid-
refractory aGVHD, which the applicant asserts is supported by the
results from REACH1, a prospective, open-label, single-cohort Phase II
study of the use of JAKAFI\TM\, in combination with corticosteroids,
for the treatment of Grade II to IV steroid-refractory aGVHD.
The applicant stated that there are very few prospective studies
evaluating second-line therapy for a diagnosis of steroid-refractory
aGVHD, and interpretation of these studies is hampered by the
heterogeneity of the patient population, small sample sizes, and lack
of standardization in the study design (including timing of the
response, different response criteria, and absence of validated
endpoints). Agents that have been investigated over the last 2 decades
in these studies include low-dose methotrexate, mycophenolate mofetil,
extracorporeal photopheresis, IL-2R targeting (that is, basiliximab,
daclizumab, denileukin, and diftitox), alemtuzumab, horse antithymocyte
globulin, etanercept, infliximab, and sirolimus. The applicant stated
that second-line treatments, especially those associated with
suppression of T-cells, are associated with increased infection and
viral reactivation (including cytomegalovirus (CMV), Epstein-Barr
virus, human herpes virus 6, adenovirus, and polyoma). Numerous
combination approaches (for example, antibodies directed against IL-2
receptor, mammalian target of rapamycin inhibitors, or other
immunosuppressive agents) also have been studied for the treatment of
steroid-refractory aGVHD, but the applicant indicated that data do not
support the recommendation or exclusion of any particular regimen. The
applicant also asserted that such treatment combination approaches have
been associated with significant toxicities, high failure rates, and an
average 6-month survival rate of 49 percent.\302\ Therefore, the
applicant maintains that therapeutic options are limited for patients
who are refractory to corticosteroid treatment for a diagnosis of
aGVHD.
---------------------------------------------------------------------------
\302\ Martin, P.J., Rizzo, J.D., Wingard, J.R., et al., ``First
and second-line systemic treatment of acute graft-versus-host
disease: recommendations of the American Society of Blood and Marrow
Transplantation,'' Biol Blood Marrow Transplant, 2012, vol. 18(8),
pp. 1150-1163.
---------------------------------------------------------------------------
The applicant asserted that the clinical benefit of the use of
JAKAFI\TM\ in patients who have been diagnosed with steroid-refractory
aGVHD is supported by the results from five clinical studies, including
a mixture of prospective and retrospective studies.
The first study is REACH1, a prospective, open-label, single-cohort
Phase II study of the use of JAKAFI\TM\, in combination with
corticosteroids, for the treatment of Grade II to IV steroid-refractory
aGVHD. REACH1 included 71 patients who had been diagnosed with steroid-
refractory aGVHD. Included eligible patients were those that were 12
[[Page 19351]]
years old or older, had undergone at least one allogeneic hematopoietic
stem cell transplantation from any donor source and donor type and were
diagnosed with Grade II to IV steroid-refractory aGVHD, and presented
evidence of myeloid engraftment. The patients' median age was 58 years
old (ages 18 years old to 73 years old); 66 patients were white and 36
patients were female. The majority of patients had peripheral blood
stem cells as the graft source (57 patients or 80.3 percent). The
starting dose of JAKAFI\TM\ was 5 mg twice daily (BID). The dose could
be increased to 10 mg BID after 3 days, if hematologic parameters were
stable and in the absence of any treatment-related toxicities.
Methylprednisolone (or prednisone equivalent) was administered at a
starting dose of 2 mg/kg/day on the first day of treatment and tapered
as appropriate. Patients receiving calcineurin inhibitors or other
medications for GVHD prophylaxis were permitted to continue at the
investigator's discretion. The primary endpoint was overall response
rate (ORR) at Day 28, which the applicant indicated has been shown to
be predictive of non-relapse mortality (NRM). No description of the
statistical methods used in the REACH1 study was provided by the
applicant.
The applicant stated that the ORR at Day 28 was achieved by 54.9
percent of patients; nearly half (48.7 percent) of the responding
patients achieved a complete response (CR). The best ORR was 73.2
percent. Median time to first response for all responders was 7 days.
Median duration of response was 345 days for both Day 28 responders
(lower limit, 159 days) and for other responders (lower limit, 106
days). Event-free probability estimates for Day 28 responders at 3 and
6 months were 81.6 percent and 65.2 percent, respectively. Among all
patients, median (95 percent CI) overall survival was 232.0 (93.0-not
evaluable) days. Mean survival rates for the 39 responders at Day 28
were 73.2 percent at 6 months, 69.9 percent at 9 months, and 66.2
percent at 12 months with non-relapsed mortality of 21.2 percent at 6
months, 24.5 percent at 9 months, and 28.2 percent at 12 months. Mean
survival rates for the 13 other responders were 35.9 percent at 6 and 9
months and were not evaluable at 12 months with non-relapsed mortality
at 64.1 percent at 6 and 9 months and not evaluable at 12 months. Mean
survival rates for non-responders were 15.8 percent at 6 months and
10.5 percent at 9 months and 12 months with non-relapsed mortality at
78.9 percent at 6 months and 84.2 percent at 9 and 12 months. Most
patients (55.8 percent) had a greater than or equal to 50 percent
reduction from baseline in corticosteroid dose.
The applicant stated that the additional use of JAKAFITM
to corticosteroid-based treatment did not result in unexpected
toxicities or exacerbation of known toxicities related to high-dose
corticosteroids or aGVHD. Cytopenias were among the most common
treatment-emergent adverse events. The applicant indicated that
JAKAFITM was well tolerated, and the adverse event profile
was consistent with the observed safety profiles of the use of
JAKAFITM and that of patients who had been diagnosed with
steroid-refractory aGVHD. The most common treatment emergent adverse
events in the REACH1 study were anemia (64.8 percent), hypokalemia
(49.3 percent), peripheral edema (45.1 percent), decreased platelet
count (45.1 percent), decreased neutrophil count (39.4 percent),
muscular weakness (33.8 percent), dyspnea (32.4 percent),
hypomagnesaemia (32.4 percent), hypocalcemia (31 percent), and nausea
(31 percent). The most common treatment emergent infections were sepsis
(12.7 percent) and bacteremia (9.9 percent).
All patients who had a CMV event (n=14) had a positive CMV donor or
recipient serostatus or both at baseline. No deaths were attributed to
CMV events. The applicant asserted that the results of the prospective
REACH1 study demonstrate the potential of the use of
JAKAFITM to meaningfully improve the outcomes of allo-HSCT
patients who develop steroid-refractory aGVHD, and further underscore
the promise of JAK inhibition to advance the treatment of this
potentially-devastating condition. Longer term follow-up analyses from
REACH1 are expected to yield additional insights into the long-term
efficacy and safety profile of the use of JAKAFITM in this
patient population.
In a second prospective, open-label study, 14 patients who had been
diagnosed with acute or chronic GVHD that were refractory to
corticosteroids and at least 2 other lines of treatment were treated
with JAKAFITM at a dose of 5 mg twice a day and increased to
10 mg twice a day. Of the 14 patients, 13 responded with respect to
clinical GVHD symptoms and serum levels of pro-inflammatory cytokines.
Three patients with histologically-proven acute skin or intestinal GVHD
Grade I, achieved a CR. One non-responder discontinued use of
JAKAFITM after 1 week because of lack of efficacy. In all
other patients, corticosteroids could be reduced after a median
treatment period of 1.5 weeks. CMV reactivation was observed in 4 out
of the 14 patients, and they responded well to antiviral therapy. Until
last follow-up, no patient experienced a relapse of GVHD.
The applicant asserted that the efficacy and safety of the use of
JAKAFITM for the treatment of steroid-refractory aGVHD is
further supported by the results from a third study, a retrospective,
multi-center study of 95 patients who received JAKAFITM as
salvage therapy for corticosteroid-refractory GVHD. In the 54 patients
who had been diagnosed with aGVHD, the median number of GVHD therapies
received was 3. The (best) ORR was 81.5 percent. A CR and partial
response (PR) was achieved in 46.3 percent and 35.2 percent of
patients, respectively. Median time to response was 1.5 weeks (range 1
to 11 weeks). Cytopenias and cytomegalovirus reactivation were seen in
55.5 percent (Grade III or IV) and 33.3 percent of patients who had
been diagnosed with aGVHD, respectively. Of those patients responding
to treatment with JAKAFITM, with either CR or PR (n=44), the
rate of GVHD-relapse was 6.8 percent (3/44). The 6-month-survival was
79 percent (67.3 percent to 90.7 percent, 95 percent CI). The median
follow-up time was 26.5 weeks (range 3 to 106 weeks). Underlying
malignancy relapse occurred in 9.2 percent of patients who had been
diagnosed with aGVHD.
A fourth retrospective study evaluated data from the same 95
patients in 19 stem cell transplant centers in Europe and the United
States. For long-term results, CR was defined as the absence of any
symptoms related to GVHD; PR was defined as the improvement of greater
than or equal to 1 in stage severity in one organ, without
deterioration in any other organ. A response had to last for at least
or more than 3 weeks. Of the 54 patients who had been diagnosed with
aGVHD, the 1-year overall survival (OS) rate was 62.4 percent (CI: 49.4
percent to 75.4 percent). The estimated median OS (50 percent death)
was 18 months for aGVHD patients. The median duration of
JAKAFITM treatment was 5 months. At follow-up, 22/54 (41
percent) of the patients had an ongoing response and were free of any
immunosuppression. Cytopenias (any grade) and CMV-reactivation were
observed during JAKAFITM-treatment (30/54, 55.6 percent and
18/54, 33.3 percent, respectively).
A fifth retrospective study evaluated 79 patients who received
treatment
[[Page 19352]]
using JAKAFITM for refractory GVHD at 13 centers in Spain.
Twenty-two patients had a diagnosis of aGVHD (Grades II to IV) and
received a median of 2 previous GVHD therapies (range, 1 to 5
therapies). The median daily dose of JAKAFITM was 20 mg. The
overall response rate was 68.2 percent, which was obtained after a
median of 2 weeks of treatment, and 18.2 percent (4/22) of the patients
reached CR. Overall, steroid doses were tapered in 72 percent of the
patients who had been diagnosed with aGVHD. Cytomegalovirus
reactivation was reported in 54.5 percent of the patients who had been
diagnosed with aGVHD. Overall, 26 patients (32.9 percent) discontinued
treatment using JAKAFITM due to: Lack of response (14),
cytopenias (3 patients had thrombocytopenia, 3 had anemia, and 3 had
both); infections (1 patient); other causes (2 patients). Ten deaths
occurred in patients who had been diagnosed with aGVHD.
We note the following concerns with respect to whether
JAKAFITM represents a substantial clinical improvement.
First, while the applicant has submitted data from several clinical
studies to support the efficacy of the use of JAKAFITM in
treatment of patients who have been diagnosed with steroid-resistant
aGVHD, including an overall response rate at Day 28 for 54.9 percent of
the patients enrolled in one study, with nearly half of the responding
patients achieving CR, the applicant has not provided any data directly
comparing the use of JAKAFITM to any second-line treatments.
As noted previously, a number of different agents can be used for
second-line treatment as described by recommendations from the American
Society of Blood and Marrow Transplantation (ASBMT).\303\ Numerous
combination approaches have been investigated for second-line therapy
for diagnoses of steroid-refractory aGVHD in allo-HSCT patients. These
studied agents include methotrexate, mycophenolate mofetil,
extracorporeal photopheresis, IL-2R targeting agents (basiliximab,
daclizumab, denileukin, and diftitox), alemtuzumab, horse antithymocyte
globulin, etancercept, infliximab, and sirolimus. Recommendations from
professional societies for the treatment of diagnoses of aGVHD describe
the lack of data demonstrating superior efficacy of any single agent as
second-line therapy for patients who have been diagnosed with steroid-
resistant aGVHD and, therefore, suggest that choice of second-line
treatment be guided by clinical considerations.\304\ Because the
applicant has not provided any data directly comparing the use of
JAKAFITM to any other second-line treatments (for example,
current standard-of-care), it may make it difficult to directly assess
whether the use of JAKAFITM provides a substantial clinical
improvement compared to these existing therapies.
---------------------------------------------------------------------------
\303\ Martin, P.J., Rizzo, J.D., Wingard, J.R., et al., ``First
and second-line systemic treatment of acute graft-versus-host
disease: recommendations of the American Society of Blood and Marrow
Transplantation,'' Biol Blood Marrow Transplant, 2012, vol. 18(8),
pp. 1150-1163.
\304\ Martin, P.J., Rizzo, J.D., Wingard, J.R., et al., ``First
and second-line systemic treatment of acute graft-versus-host
disease: recommendations of the American Society of Blood and Marrow
Transplantation,'' Biol Blood Marrow Transplant, 2012, vol. 18(8),
pp. 1150-1163.
---------------------------------------------------------------------------
Second, we have concerns regarding the methodologic approach of the
studies submitted by the applicant in support of its assertions
regarding substantial clinical improvement. While two of the clinical
studies provided by the applicant are prospective in nature, the other
three clinical studies provided in support of the application are
retrospective studies and, therefore, provide a weaker basis of
evidence for making conclusions of the causative effects of the drug
compared to prospective studies. Additionally, no blinding or
randomization occurred to minimize potential biases from the lack of a
control group, and no Phase III study data were submitted by the
applicant, to assist in our evaluation of substantial clinical
improvement. Although we acknowledge that the patient population that
would be eligible for treatment involving JAKAFITM under its
proposed indication is likely relatively small because it is a subset
of the patient population receiving allo-HSCTs, it may be difficult to
evaluate the impact of the technology on longer term outcomes, such as
overall survival and durability of response based on the studies
submitted because the clinical studies are based on relatively small
sample sizes.
Third, given the variable amount of detail provided on the studies
generally (for example, the number of patients from the United States,
how many are Medicare eligible and the results for these Medicare-
eligible patients, what specific first-line treatments enrolled
patients received and for what duration, how CRs and PRs were defined
and assessed, statistical methods and assumptions), it is more
difficult to fully assess the generalizability of the applicant's
assertions to the Medicare population.
Fourth, we note that several patients enrolled in each of the
studies provided by the applicant had safety-related complications,
including cytopenias and CMV reactivation. These complications are
concerning because the target population is already immunocompromised
and at risk of serious infections.
We are inviting public comments on whether JAKAFITM
meets the substantial clinical improvement criterion, including with
respect to the concerns we have raised.
We did not receive any written comments in response to the New
Technology Town Hall Meeting notice published in the Federal Register
regarding the substantial clinical improvement criterion for
JAKAFITM or at the New Technology Town Hall meeting.
o. Supersaturated Oxygen (SSO2) Therapy (DownStream[supreg]
System)
TherOx, Inc. submitted an application for new technology add-on
payments for Supersaturated Oxygen (SSO2) Therapy (the
DownStream[supreg] System) for FY 2020. We note that the applicant
previously submitted an application for new technology add-on payments
for FY 2019, which was withdrawn prior to the issuance of the FY 2019
IPPS/LTCH PPS final rule. The DownStream[supreg] System is an
adjunctive therapy that creates and delivers superoxygenated arterial
blood directly to reperfused areas of myocardial tissue which may be at
risk after an acute myocardial infarction (AMI), or heart attack.
SSO2 Therapy's proposed indication is for patients receiving
treatment for an ST-segment elevation myocardial infarction (STEMI), a
type of AMI where the anterior wall infarction impacts the left
ventricle (LV) and which carries a substantial risk of death and
disability. Elderly patients have an elevated risk of AMI, and the vast
majority of AMI occur in the Medicare population.\305\ The applicant
stated that the net effect of the SSO2 Therapy is to reduce
the size of the infarction and, therefore, lower the risk of heart
failure and mortality, as well as improve quality of life for STEMI
patients.
---------------------------------------------------------------------------
\305\ Wang, Y., Lichtman, J.H., Dharmarajan, K., Masoudi, F.A.,
Ross, J.S., Dodson, J.A., Chen, J., Spertus, J.A., Chaudhry, S.I.,
Nallamothu, B.K., Krumholz, H.M., 2014, ``National trends in stroke
after acute myocardial infarction among Medicare patients in the
United States: 1999 to 2010,'' American Heart Journal, vol. 169(1),
pp. 78-85.e4.
---------------------------------------------------------------------------
SSO2 Therapy consists of three main components: The
DownStream[supreg] System; the DownStream cartridge; and the
SSO2 delivery catheter. The DownStream[supreg] System and
cartridge function together to create an oxygen-enriched saline
solution called SSO2 solution from hospital-supplied oxygen
and physiologic saline. A small amount of
[[Page 19353]]
the patient's blood is then mixed with the SSO2 solution,
producing oxygen-enriched hyperoxemic blood, which is delivered to the
left main coronary artery (LMCA) via the delivery catheter at a flow
rate of 100 ml/min. The duration of the SSO2 Therapy is 60
minutes and the infusion is performed in the catheterization
laboratory. The oxygen partial pressure (pO2) of the
infusion is elevated to ~1,000 mmHg, therefore providing oxygen locally
to the myocardium at a hyperbaric level for 1 hour. After the 60-minute
SSO2 infusion is complete, the cartridge is unhooked from
the patient and discarded per standard practice. Coronary angiography
is performed as a final step before removing the delivery catheter and
transferring the patient to the intensive care unit (ICU).
The applicant for the SSO2 Therapy received premarket
approval from the FDA on April 4, 2019. The applicant stated that use
of the SSO2 Therapy can be identified by the ICD-10-PCS
procedure codes 5A0512C (Extracorporeal supersaturated oxygenation,
intermittent) and 5A0522C (Extracorporeal supersaturated oxygenation,
continuous).
As discussed earlier, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would not be considered ``new''
for purposes of new technology add-on payments. The applicant
identified three treatment options currently available to restore
coronary artery blood flow in AMI patients. These options are
fibronolytic therapy (plasminogen activators) with or without
glycoprotein IIb/IIIa inhibitors, percutaneous coronary intervention
(PCI) with or without stent placement, and coronary artery bypass graft
(CABG). The applicant noted that all of these therapies restore blood
flow at the macrovascular level by targeting the coronary artery
thrombosis that is the direct cause of the AMI. The applicant also
noted that PCI with stenting is the preferred treatment for STEMI
patients. The applicant asserted that SSO2 Therapy is not
substantially similar to these existing treatment options and,
therefore, meets the newness criterion. Below we summarize the
applicant's assertions with respect to whether the SSO2
Therapy meets each of the three substantial similarity criteria.
With regard to the first criterion, whether a product uses the same
or a similar mechanism of action to achieve a therapeutic outcome, the
applicant asserted that SSO2 Therapy is a unique therapy
designed to deliver localized hyperbaric oxygen equivalent to the
coronary arteries immediately after administering the standard-of-care,
PCI with stenting. The applicant describes SSO2 Therapy's
mechanism of action as two-fold: (1) First, the increased oxygen levels
act to re-open the microcirculatory system within the infarct zone,
which has experienced ischemia during the occlusion period, and (2)
second, once the microcirculatory system is re-opened, the blood flow
containing the additional oxygen re-starts metabolic processes within
the stunned myocardium. According to the applicant, the net result is
to reduce the extent of necrosis as measured by infarct size in the
myocardium post-AMI and thereby improve left ventricular function,
leading to improved patient outcomes. The applicant maintained that
this mechanism of action is not comparable to that of any existing
treatment because no other therapy has demonstrated an infarct size
reduction over and above the routine delivery of PCI. As mentioned
above, the applicant asserted that currently available therapies
restore blood flow at the macrovascular level by targeting the coronary
artery thrombosis that is the direct cause of the AMI.
With respect to the second criterion, whether a product is assigned
to the same or a different MS-DRG, the applicant reiterated that the
standard procedure for treating patients with AMI is PCI with stent
placement, and that these cases are typically assigned to MS-DRG 246
(Percutaneous Cardiovascular Procedures with Drug-Eluting Stent with
MCC or 4+ Arteries/Stents), MS-DRG 247 (Percutaneous Cardiovascular
Procedures with Drug-Eluting Stent without MCC), MS-DRG 248
(Percutaneous Cardiovascular Procedures with Non-Drug-Eluting Stent
with MCC or 4+ Arteries/Stents), MS-DRG 249 (Percutaneous
Cardiovascular Procedures with Non-Drug-Eluting Stent without MCC), MS-
DRG 250 (Percutaneous Cardiovascular Procedures without Coronary Artery
Stent with MCC), or MS-DRG 251 (Percutaneous Cardiovascular Procedures
without Coronary Artery Stent without MCC). The applicant maintained
that because no other technologies exist that can deliver localized
hyperbaric oxygen in the acute care setting, SSO2 Therapy
has no analogous MS-DRG assignment. However, we note that potential
cases that may be eligible for treatment involving SSO2
Therapy may be assigned to the same MS-DRG(s) as other cases involving
PCI with stent placement also used to treat patients who have been
diagnosed with AMI.
With respect to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, according to the
applicant, the target patient population of SSO2 Therapy is
patients who are receiving treatment after a diagnosis of AMI and
specifically ST-segment elevation myocardial infarction (STEMI) where
the anterior wall infarction impacts the left ventricle (LV). The
applicant acknowledged that, because SSO2 Therapy is
administered following completion of successful PCI, its target patient
population includes a subset of patients with the same or similar type
of disease process as patients treated with PCI with stent placement.
However, the applicant also asserted that, while PCI with stenting
achieves the goal of re-opening a blocked artery, SSO2
Therapy delivers localized hyperbaric oxygen to reduce the extent of
the myocardial necrosis that occurs as a consequence of experiencing
AMI. Therefore, the applicant believed that SSO2 Therapy
offers a treatment option for a different type of disease than
currently available treatments.
We are inviting public comments on whether the SSO2
Therapy is substantially similar to existing technologies and whether
it meets the newness criterion.
With regard to the cost criterion, the applicant conducted the
following analysis to demonstrate that SSO2 Therapy meets
the cost criterion. The applicant searched the FY 2017 MedPAR file for
claims reporting diagnoses of anterior STEMI by ICD-10-CM diagnosis
codes I21.0 (ST elevation myocardial infarction of anterior wall),
I21.01 (ST elevation (STEMI) myocardial infarction involving left main
coronary artery), I21.02 (ST elevation (STEMI) myocardial infarction
involving left anterior descending coronary artery), or I21.09 (ST
elevation (STEMI) myocardial infarction involving other coronary artery
of anterior wall) as a primary diagnosis, which the applicant believed
would describe potential cases representing potential patients who may
be eligible for treatment involving the SSO2 Therapy. The
applicant identified 11,668 cases mapping to 4 MS-DRGs, with
approximately 91 percent of all potential cases mapping to MS-DRG 246
(Percutaneous Cardiovascular Procedures with Drug-Eluting Stent with
MCC or 4+ Arteries/Stents) and MS-DRG 247 (Percutaneous Cardiovascular
Procedures with Drug-Eluting Stent without MCC). The remaining 9
percent of potential cases
[[Page 19354]]
mapped to MS-DRG 248 (Percutaneous Cardiovascular Procedures with Non-
Drug-Eluting Stent with MCC or 4+ Arteries/Stents) and MS-DRG 249
(Percutaneous Cardiovascular Procedures with Non-Drug-Eluting Stent
without MCC).
The applicant determined that the average case-weighted
unstandardized charge per case was $98,846. The applicant then
standardized the charges. The applicant did not remove charges for the
current treatment because, as discussed above, SSO2 Therapy
would be used as an adjunctive treatment option following successful
PCI with stent placement. The applicant then added charges for the
technology, which accounts for the use of 1 cartridge per patient, to
the average charges per case. The applicant did not apply an inflation
factor to the charges for the technology. The applicant also added
charges related to the technology, to account for the additional
supplies used in the administration of SSO2 Therapy, as well
as 70 minutes of procedure room time, including technician labor and
additional blood tests. The applicant inflated the charges related to
the technology. Based on the FY 2019 IPPS/LTCH PPS final rule
correction notice data file thresholds, the average case-weighted
threshold amount was $96,267. In the applicant's analysis, the inflated
average case-weighted standardized charge per case was $144,364.
Because the inflated average case-weighted standardized charge per case
exceeds the average case-weighted threshold amount, the applicant
maintained that the technology meets the cost criterion.
We are inviting public comments on whether the SSO2
Therapy meets the cost criterion.
With regard to the substantial clinical improvement criterion, the
applicant asserted that SSO2 Therapy represents a
substantial clinical improvement over existing technologies because it
improves clinical outcomes for STEMI patients as compared to the
currently available standard-of-care treatment, PCI with stenting
alone. Specifically, the applicant asserted that: (1) Infarct size
reduction improves mortality outcomes; (2) infarct size reduction
improves heart failure outcomes; (3) SSO2 Therapy
significantly reduces infarct size; (4) SSO2 Therapy
prevents left ventricular dilation; and (5) SSO2 Therapy
reduces death and heart failure at 1 year. The applicant highlighted
the importance of the SSO2 Therapy's mechanism of action,
which treats hypoxemic damage at the microvascular or microcirculatory
level. Specifically, the applicant noted that microvascular impairment
in the myocardium is irreversible and leads to a greater extent of
infarction. According to the applicant, the totality of the data on
myocardial infarct size, ventricular remodeling, and clinical outcomes
strongly supports the substantial clinical benefit of SSO2
Therapy administration over the standard-of-care.
To support the claims that infarct size reduction improves
mortality and heart failure outcomes, the applicant cited an analysis
of the Collaborative Organization for RheothRx Evaluation (CORE) trial
and a pooled patient-level analysis.
The CORE trial was a prospective, randomized, double-
blinded, placebo-controlled trial of Poloxamer 188, a novel therapy
adjunctive to thrombolysis at the time the study was conducted.\306\
The applicant sought to relate left ventricular ejection fraction (EF),
end-systolic volume index (ESVI) and infarct size (IS), as measured in
a single, randomized trial, to 6-month mortality after myocardial
infarction treated with thrombolysis. According to the applicant,
subsets of clinical centers participating in CORE also participated in
one or two radionuclide sub-studies: (1) Angiography for measurement of
EF and absolute, count-based LV volumes; and (2) single-photon emission
computed tomographic sestamibi measurements of IS. These sub-studies
were performed in 1,194 and 1,181 patients, respectively, of the 2,948
patients enrolled in the trial. Furthermore, ejection fraction, ESVI,
and IS, as measured by central laboratories in these sub-studies, were
tested for their association with 6-month mortality. According to the
applicant, the results of the study showed that ejection fraction
(n=1,137; p=0.0001), ESVI (n=945; p=0.055) and IS (n=1,164; p=0.03)
were all associated with 6-month mortality, therefore, demonstrating
the relationship between these endpoints and mortality.\307\
---------------------------------------------------------------------------
\306\ Burns, R.J., Gibbons, R.J., Yi, Q., et al., ``The
relationships of left ventricular ejection fraction, end-systolic
volume index and infarct size to six-month mortality after hospital
discharge following myocardial infarction treated by thrombolysis,''
J Am Coll Cardiol, 2002, vol. 39, pp. 30-6.
\307\ Ibid.
---------------------------------------------------------------------------
The pooled patient-level analysis was performed from 10
randomized, controlled trials (with a total of 2,632 patients) that
used primary PCI with stenting.\308\ The analysis assessed infarct size
within 1 month after randomization by either cardiac magnetic resonance
(CMR) imaging or technetium-99m sestamibi single-photon emission
computed tomography (SPECT), with clinical follow-up for 6 months.
Infarct size was assessed by CMR in 1,889 patients (71.8 percent of
patients) and by SPECT in 743 patients (28.2 percent of patients)
including both inferior wall and more severe anterior wall STEMI
patients. According to the applicant, median infarct size (or percent
of left ventricular myocardial mass) was 17.9 percent and median
duration of clinical follow-up was 352 days. The Kaplan-Meier estimated
1-year rates of all-cause mortality, re-infarction, and HF
hospitalization were 2.2 percent, 2.5 percent, and 2.6 percent,
respectively. The applicant noted that a strong graded response was
present between infarct size (per 5 percent increase) and the 2 outcome
measures of subsequent mortality (Cox-adjusted hazard ratio: 1.19 [95
percent confidence interval: 1.18 to 1.20]; p<0.0001) and
hospitalization for heart failure (adjusted hazard ratio: 1.20 [95
percent confidence interval: 1.19 to 1.21]; p<0.0001), independent of
other baseline factors.\309\ The applicant concluded from this study
that infarct size, as measured by CMR or technetium-99m sestamibi SPECT
within 1 month after primary PCI, is strongly associated with all-cause
mortality and hospitalization for heart failure within 1 year.
---------------------------------------------------------------------------
\308\ Stone, G.W., Selker, H.P., Thiele, H., et al.,
``Relationship between infarct size and outcomes following primary
PCI,'' J Am Coll Cardiol, 2016, vol. 67(14), pp. 1674-83.
\309\ Ibid.
---------------------------------------------------------------------------
Next, to support the claim that SSO2 Therapy
significantly reduces infarct size, the applicant cited the AMIHOT I
and II studies.
The AMIHOT I clinical trial was designed as a prospective,
randomized evaluation of patients who had been diagnosed with AMI,
including both anterior and inferior patients, and received treatment
with either PCI with stenting alone or with SSO2 Therapy as
an adjunct to successful PCI within 24 hours of symptom onset.\310\ The
study included 269 randomized patients and 3 co-primary endpoints:
Infarction size reduction, regional wall motion score improvement at 3
months, and reduction in ST segment elevation. The study was designed
to demonstrate superiority of the SSO2 Therapy group as
compared to the control group for each of these endpoints, as well as
to demonstrate non-inferiority of the SSO2 Therapy group
with respect to 30-day Major Adverse Cardiac Event (MACE). The
applicant stated that results for the control versus SSO2
Therapy group
[[Page 19355]]
comparisons for the three co-primary effectiveness endpoints
demonstrated a nominal improvement in the test group, although this
nominal improvement did not achieve clinical and statistical
significance in the entire population. The applicant further stated
that a pre-specified analysis of the SSO2 Therapy patients
who were revascularized within 6 hours of AMI symptom onset and who had
anterior wall infarction showed a marked improvement in all 3 co-
primary endpoints as compared to the control group.\311\ Key safety
data revealed no statistically significant differences in the composite
primary endpoint of 1-month (30 days) MACE rates between the
SSO2 Therapy and control groups. MACE includes the combined
incidence of death, re-infarction, target vessel revascularization, and
stroke. In total, 9/134 (6.7 percent) of the patients in the
SSO2 Therapy group and 7/135 (5.2 percent) of the patients
in the control group experienced 30-day MACE (p=0.62).\312\
---------------------------------------------------------------------------
\310\ O'Neill, W.W., Martin, J.L., Dixon, S.R., et al., ``Acute
Myocardial Infarction with Hyperoxemic Therapy (AMIHOT), J Am Coll
Cardiol, 2007, vol. 50(5), pp. 397-405.
\311\ Ibid.
\312\ Ibid.
---------------------------------------------------------------------------
The AMIHOT II trial randomized 301 patients who had been
diagnosed with and receiving treatment for anterior AMI with either PCI
plus the SSO2 Therapy or PCI alone.\313\ The AMIHOT II trial
had a Bayesian statistical design that allows for the informed
borrowing of data from the previously completed AMIHOT I trial. The
primary efficacy endpoint of the study required proving superiority of
the infarct size reduction, as assessed by Tc-99m Sestamibi SPECT
imaging at 14 days post PCI/stenting, with the use of SSO2
Therapy as compared to patients who were receiving treatment involving
PCI with stenting alone. The primary safety endpoint for the AMIHOT II
trial required a determination of non-inferiority in the 30-day MACE
rate, comparing the SSO2 Therapy group with the control
group, within a safety delta of 6.0 percent.\314\ Endpoint evaluation
was performed using a Bayesian hierarchical model that evaluated the
AMIHOT II result conditionally in consideration of the AMIHOT I 30-day
MACE data. According to the applicant, the results of the AMIHOT II
trial showed that the use of SSO2 therapy, together with PCI
and stenting, demonstrated a relative reduction of 26 percent in the
left ventricular infarct size and absolute reduction of 6.5 percent
compared to PCI and stenting alone.\315\
---------------------------------------------------------------------------
\313\ Stone, G.W., Martin, J.L., de Boer, M.J., et al., ``Effect
of Supersaturated Oxygen Delivery on Infarct Size after Percutaneous
Coronary Intervention in Acute Myocardial Infarction,'' Circ
Cardiovasc Intervent, 2009, vol. 2, pp. 366-75.
\314\ Ibid.
\315\ Ibid.
---------------------------------------------------------------------------
Next, to support the claim that SSO2 Therapy prevents
left ventricular dilation, the applicant cited the Leiden study, which
represents a single-center, sub-study of AMIHOT I patients treated at
Leiden University in the Netherlands. The study describes outcomes of
randomized selective treatment with intracoronary aqueous oxygen (AO),
the therapy delivered by SSO2 Therapy, versus standard care
in patients who had acute anterior wall myocardial infarction within 6
hours of onset. Of the 50 patients in the sub-study, 24 received
treatment using adjunctive AO and 26 were treated according to standard
care after PCI, with no significant differences in baseline
characteristics between groups. LV volumes and function were assessed
by contrast echocardiography at baseline and 1 month. According to the
applicant, the results demonstrated that treatment with aqueous oxygen
prevents LV remodeling, showing a reduction in LV volumes (3 percent
decrease in LV end-diastolic volume and 11 percent decrease in LV end-
systolic volume) at 1 month as compared to baseline in AO-treated
patients, as compared to increasing LV volumes (14 percent increase in
LV end diastolic volume and 18 percent increase in LV end-systolic
volume) at 1 month in control patients.\316\ The results also show that
treatment using AO preserves LV ejection fraction at 1 month, with AO-
treated patients experiencing a 10 percent increase in LV ejection
fraction as compared to a 2 percent decrease in LV ejection fraction
among patients in the control group.\317\
---------------------------------------------------------------------------
\316\ Warda, H.M., Bax, J.J., Bosch, J.G., et al., ``Effect of
intracoronary aqueous oxygen on left ventricular remodeling after
anterior wall ST-elevation acute myocardial infarction,'' Am J
Cardiol, 2005, vol. 96(1), pp. 22-4.
\317\ Ibid.
---------------------------------------------------------------------------
Finally, to support the claim that SSO2 Therapy reduces
death and heart failure at 1 year, the applicant submitted the results
from the IC-HOT clinical trial, which was designed to confirm the
safety and efficacy of the use of the SSO2 Therapy in those
individuals presenting with a diagnosis of anterior AMI who have
undergone successful PCI with stenting of the proximal and/or mid left
anterior descending artery within 6 hours of experiencing AMI symptoms.
It is an IDE, nonrandomized, single arm study. The study primarily
focused on safety, utilizing a composite endpoint of 30-day Net Adverse
Clinical Events (NACE). A maximum observed event rate of 10.7 percent
was established based on a contemporary PCI trial of comparable
patients who had been diagnosed with anterior wall STEMI. The results
of the IC-HOT trial exhibited a 7.1 percent observed NACE rate, meeting
the study endpoint. Notably, no 30-day mortalities were observed, and
the type and frequency of 30-day adverse events occurred at similar or
lower rates than in contemporary STEMI studies of PCI-treated patients
who had been diagnosed with anterior AMI.\318\ Furthermore, according
to the applicant, the results of the IC-HOT study supported the
conclusions of effectiveness established in AMIHOT II with a measured
30-day median infarct size = 19.4 percent (as compared to the AMIHOT II
SSO2 Therapy group infarct size = 20.0 percent).\319\ The
applicant stated that notable measures include 4-day microvascular
obstruction (MVO), which has been shown to be an independent predictor
of outcomes, 4-day and 30-day left ventricular end diastolic and end
systolic volumes, and 30-day infarct size.\320\ The applicant also
stated that the IC-HOT study results exhibited a favorable MVO as
compared to contemporary trial data, and decreasing left ventricular
volumes at 30 days, compared to contemporary PCI populations that
exhibit increasing left ventricular size.\321\ The applicant asserted
that the IC-HOT clinical trial data continue to demonstrate the
substantial clinical benefit of the use of SSO2 Therapy as
compared to the standard-of-care, PCI with stenting alone.
---------------------------------------------------------------------------
\318\ David, SW, Khan, Z.A., Patel, N.C., et al., ``Evaluation
of intracoronary hyperoxemic oxygen therapy in acute anterior
myocardial infarction: The IC-HOT study,'' Catheter Cardiovasc
Interv, 2018, pp. 1-9.
\319\ Ibid.
\320\ Ibid.
\321\ Ibid.
---------------------------------------------------------------------------
The applicant also performed controlled studies in both porcine and
canine AMI models to determine the safety, effectiveness, and mechanism
of action of the SSO2 Therapy.322 323 According
to the applicant, the key summary points from these animal studies are:
---------------------------------------------------------------------------
\322\ Spears, J.R., Henney, C., Prcevski, P., et al., ``Aqueous
Oxygen Hyperbaric Reperfusion in a Porcine Model of Myocardial
Infarction,'' J Invasive Cardiol, 2002, vol. 14(4), pp. 160-6.
\323\ Spears, J.R., Prcevski, P., Xu, R., et al., ``Aqueous
Oxygen Attenuation of Reperfusion Microvascular Ischemia in a Canine
Model of Myocardial Infarction,'' ASAIO J, 2003, vol. 49(6), pp.
716-20.
---------------------------------------------------------------------------
SSO2 Therapy administration post-AMI acutely
improves heart function as measured by left ventricular ejection
fraction (LVEF) and regional wall
[[Page 19356]]
motion as compared with non-treated control subjects.
SSO2 Therapy administration post-AMI results in
tissue salvage, as determined by post-sacrifice histological
measurements of the infarct size. Control animals exhibit larger
infarcts than the SSO2-treated animals.
SSO2 Therapy has been shown to be non-toxic to
the coronary arteries, myocardium, and end organs in randomized,
controlled swine studies with or without induced acute myocardial
infarction.
SSO2 Therapy administration post-AMI has
exhibited regional myocardial blood flow improvement in treated animals
as compared to controls.
A significant reduction in myeloperoxidase (MPO) levels in
the SSO2-treated animals versus controls, which indicate
improvement in underlying myocardial hypoxia.
Transmission electron microscopy (TEM) photographs showing
amelioration of endothelial cell edema and restoration of capillary
patency in ischemic zone cross-sectional histological examination of
the SSO2-treated animals, while non-treated controls exhibit
significant edema and vessel constriction at the microvascular level.
We have the following concerns regarding whether the technology
meets the substantial clinical improvement criterion. We note that the
standard-of-care for STEMI has evolved since the AMIHOT I and AMIHOT II
studies were conducted, such that it is unclear whether use of
SSO2 Therapy would demonstrate the same clinical improvement
as compared to the current standard-of-care. We also note that the
AMIHOT II study used SPECT infarct size data 14 days post-MI for
efficacy and MACE events (including death, re-infarction,
revascularization, and stroke) by 30 days post-MI for safety. We are
concerned that there is no long-term data to demonstrate the validity
of these statistics, and that infarct size has not been completely
validated as a surrogate marker for the combination of PCI plus
SSO2. With respect to the IC-HOT study, we are concerned
that the lack of a control may limit the interpretation of the data. We
also are concerned that the safety data (death, re-infarction, re-
vascularization, stent thrombosis, severe heart failure, and bleeding)
for the IC-HOT study were limited to the 30 days post-MI, with no long-
term data being available.
We are inviting public comments on whether the SSO2
Therapy meets the substantial clinical improvement criterion, including
with respect to whether the results of the AMIHOT I and AMIHOT II
studies remain valid given the advancements in STEMI care since these
trials were conducted, and the availability of long-term data to
validate the efficacy and safety data of the AMIHOT II and IC-HOT
studies.
We did not receive any written comments in response to the New
Technology Town Hall meeting notice published in the Federal Register
regarding the substantial clinical improvement criterion for the
SSO2 Therapy or at the New Technology Town Hall meeting.
p. T2Bacteria[supreg] Panel (T2 Bacteria Test Panel)
T2 Biosystems, Inc. submitted an application for new technology
add-on payments for the T2 Bacteria Test Panel (T2Bacteria[supreg]
Panel) for FY 2020. According to the applicant, the T2Bacteria[supreg]
Panel is indicated as an aid in the diagnosis of bacteremia, bacterial
presence in the blood which is a precursor for sepsis. It is a
multiplex diagnostic panel that detects five major bacterial pathogens
(Enterococcus faecium, Escherichia coli, Klebsiella pneumoniae,
Pseudomonas aeruginosa, and Staphylococcus aureus) associated with
sepsis. According to the applicant, the T2Bacteria[supreg] Panel is
capable of detecting bacterial pathogens directly in whole blood more
rapidly and with greater sensitivity as compared to the current
standard-of-care, blood culture. The applicant noted that the
T2Bacteria[supreg] Panel's major detected species are five of the most
common and virulent sepsis-causing organisms.324 325 The
applicant asserted that, by enabling the rapid administration of
species-specific antimicrobial therapies, the T2Bacteria[supreg] Panel
helps to reduce patients' hospital lengths-of-stay and substantially
improves clinical outcomes. Furthermore, the applicant asserted that
the T2Bacteria[supreg] Panel helps to reduce the overuse of ineffective
or unnecessary antimicrobial therapy, reducing patient side effects,
lowering hospital costs, and potentially counteracting the growing
resistance to antimicrobial therapy.
---------------------------------------------------------------------------
\324\ Boucher, H., Talbot, G., Bradley, J., Edwards, J.,
Gilbert, D., Rice, L., Bartlett, J., ``Bad Bugs, No Drugs: No
ESKAPE! An update from the infectious disease society of America,''
Clinical Infectious Diseases, 2009, vol. 48, pp. 1-12, doi:10.1086/
595011.
\325\ Rice, L., ``Federal Funding for the Study of Antimicrobial
Resistance in Nosocomial Pathogens: No ESKAPE,'' Journal of
Infectious Diseases, 2008, vol. 197, pp. 1079-1081, doi:10.1086/
533452.
---------------------------------------------------------------------------
The applicant stated that the T2Bacteria[supreg] Panel runs on the
T2Dx Instrument, which is a bench-top diagnostic instrument that
utilizes developments in magnetic resonance and nanotechnology to
detect pathogens directly in whole blood, plasma, serum, saliva, sputum
and urine at limits of detection as low as one colony forming unit per
milliliter. The applicant explained that the T2Dx breaks down red blood
cells, concentrates microbial cells and cellular debris, amplifies DNA
using a thermostable polymerase and target-specific primers, and
detects amplified product by amplicon-induced agglomeration of
supermagnetic particles and T2MR measurement.\326\ To perform a
diagnostic test, the patient's sample tube is snapped onto the
disposable test cartridge, which is pre-loaded with all necessary
reagents. The cartridge is then inserted into the T2Dx, which
automatically processes the sample and then delivers a diagnostic test
result. The applicant asserted that each test panel is comprised of a
test cartridge and a reagent tray and that each are required to run the
T2Bacteria[supreg] Test Panel.
---------------------------------------------------------------------------
\326\ Clancy, C., & Nguyen, H., ``T2 magnetic resonance for the
diagnosis of bloodstream infections: charting a path forward,''
Journal of Antimicrobial Chemotherapy, 2018, vol. 73(4), pp. iv2-
iv5, doi:10.1093/jac/dky050.
---------------------------------------------------------------------------
As stated above, the current standard-of-care for identifying
bacterial bloodstream infections that cause sepsis is a blood culture.
The applicant explained that blood culture diagnostics have many
limitations, beginning with a series of time and labor intensive
analyses. According to the applicant, completing a blood culture
requires typically 20 mLs or more of a patient's blood, which is
obtained in two 10 mL draws and placed into two blood culture bottles
containing nutrients formulated to grow bacteria. The applicant
explained that before the blood culture indicates if a patient is
infected, pathogens typically must reach a concentration of 1,000,000
to 100,000,000 CFU/mL in the blood specimen. This growth process
typically takes 1 to 6 or more days because the pathogen's initial
concentration in the blood specimen is often less than 10 CFU/mL. The
applicant stated that a typical blood culture provides a result in a 2
to 4 day timeframe for species ID and yields 50 to 65 percent clinical
sensitivity.327 328 According to the applicant, a recent
retrospective analysis of 13 U.S. hospitals and over
[[Page 19357]]
150,000 cultures found a median blood culture time for species ID of 43
hours.\329\
---------------------------------------------------------------------------
\327\ Clancy, C., & Nguyen, M. H., ``Finding the ``Missing 50%''
of Invasive Candidiasis: How nonculture Diagnostics will improve
understanding of disease spectrum and transform patient care,''
Clinical Infectious Diseases, 2013, vol. 56(9), pp. 1284-1292,
doi:10.1093/cid/cit006.
\328\ Cockerill, F., Wilson, J., Vetter, E., Goodman, K.,
Torgerson, C., Harmsen, W., Wilson, W., ``Optimal Testing Parameters
for Blood Cultures,'' Clinical Infectious Diseases, 2004, vol. 38,
pp. 1724-1730.
\329\ Tabak, Y., Vankeepuram, L., Ye, G., Jeffers, K., Gupta,
V., & Murray, P., ``Blood Culture Turanaround Time in US Acute Care
Hospitals and Implications for Laboratory Process Optimization,''
Journal of Clinical Microbiology, August 2018, pp. 1-15.
---------------------------------------------------------------------------
According to the applicant, blood cultures provide results at
multiple stages. A negative test result requires a minimum of 5 days
for blood cultures. A positive blood culture typically means that some
pathogen is present, but additional steps must be performed to identify
the specific pathogen and provide targeted therapy. The applicant
submitted data stating that during the T2Bacteria[supreg] Panel's
pivotal study, blood cultures took an average of 63.2 hours (off
T2Bacteria[supreg] Panel) and 38.5 hours (on T2Bacteria[supreg] Panel)
to obtain positive results and 96.0 hours (off T2Bacteria[supreg]
Panel) and 71.7 hours (on T2Bacteria[supreg] Panel) to achieve species
identification.\330\ The applicant stated that, given this length of
time to species identification, the first therapy for a patient at risk
of sepsis is often broad-spectrum antibiotics, which treats some, but
not all bacteria types. In addition, the applicant indicated that the
time to species identification in blood culture diagnostics causes
delays in administration of species-specific targeted therapies,
increasing hospital lengths-of-stay and risk of death.
---------------------------------------------------------------------------
\330\ T2 Biosystems, Inc., ``T2Bacteria[supreg] Panel for use on
the T2Dx[supreg] Instrument, 510(k) summary,'' Lexington, 2018.
---------------------------------------------------------------------------
With respect to the newness criterion, the applicant filed a
section 510(k) premarket notification with the FDA on September 8, 2017
for the T2Bacteria[supreg] Panel. According to the applicant, the
T2Bacteria[supreg] Panel received FDA 510(k) clearance on May 24, 2018,
based on a determination of substantial equivalence to a legally
marketed predicate device. The applicant noted that the
T2Bacteria[supreg] Panel has a very broad application in the inpatient
hospital setting and, as a result, potential cases available for use of
the T2Bacteria[supreg] Panel may be identified by thousands of ICD-10-
CM diagnosis codes. We note that the applicant has submitted a request
to the ICD-10 Coordination and Maintenance Committee for approval for a
unique ICD-10-PCS procedure code, effective in FY 2020, to describe
procedures which use the T2Bacteria[supreg] Panel. Currently, there are
no ICD-10-PCS procedure codes to uniquely identify procedures involving
the use of the T2Bacteria[supreg] Panel.
As discussed above, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and would not be considered ``new''
for purposes of new technology add-on payments.
With regard to the first criterion, whether a product uses the same
or a similar mechanism of action to achieve a therapeutic outcome, the
applicant asserted that the T2Bacteria[supreg] Panel: (1) Has a
different mechanism of action when compared to the current standard-of-
care for the diagnosis of bacterial pathogens directly from whole
blood; and (2) is designed to achieve a different therapeutic outcome
when compared to the other diagnostic test panel that is based on the
same technological diagnostic platform. Specifically, the applicant
asserted that the standard-of-care blood culture is a laboratory test
in which blood, taken from the patient, is inoculated into bottles
containing culture media and incubated over a period of time to
determine whether infection-causing micro-organisms (bacteria or fungi)
are present in the patient's bloodstream. In contrast, the applicant
stated that the T2Bacteria[supreg] Panel relies on developments in
magnetic resonance and nanotechnology to determine the presence of
bacterial pathogens in a patient's blood by exploiting the physics of
magnetic resonance. Furthermore, the applicant indicated that the only
other product on the U.S. market that uses the same or similar
mechanism of action as the T2Bacteria[supreg] Panel is the T2Candida
Panel, which detects five clinically relevant species of Candida, a
fungal pathogen known to cause sepsis. However, the applicant noted
that the T2Candida Panel achieves a different therapeutic outcome than
the T2Bacteria[supreg] Panel, which is the diagnostic aid in the
treatment of sepsis caused by fungal infections in the blood.
With regard to the second criterion, whether the technology is
assigned to the same or different MS-DRG, the applicant did not
comment. However, we believe that cases involving the use of the
technology would be assigned to the same MS-DRGs as cases involving the
current standard-of-care laboratory blood cultures.
With respect to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, according to the
applicant, the T2Bacteria[supreg] Panel would be used as a diagnostic
aid in the treatment of similar diseases and patient populations as the
current standard-of-care laboratory blood cultures.
We are concerned that the mechanism of action of the
T2Bacteria[supreg] Test Panel may be similar to the mechanism of action
used by the current standard-of-care laboratory blood cultures or other
available diagnostic tests. While the applicant states that the
technology has a different mechanism of action because its differs from
the standard-of-care, blood cultures, we note that like other available
diagnostic tests, the T2Bacteria[supreg] Test Panel uses DNA to
identify bacterial species. Similarly, in order to obtain species
identification from the current standard-of-care, blood cultures, a DNA
test is also required. Therefore, we are concerned with the similarity
of this mechanism of action. We are inviting public comments on whether
the T2Bacteria[supreg] Test Panel is substantially similar to the
standard-of-care laboratory blood cultures or other diagnostic tests
and whether this technology meets the newness criterion.
With regard to the cost criterion, the applicant provided the
following analysis. To identify the MS-DRGs to which potential cases
available for use of the T2Bacteria[supreg] Panel would most likely
map, a selection of ICD-10-CM diagnosis codes associated with the
clinical presence of the on-panel sepsis-causing bacteria for which the
T2Bacteria[supreg] Test Panel tests was
identified.331 332 333 334 335 The applicant asserted that
the T2Bacteria[supreg] Test Panel can identify three Gram-negative
blood
[[Page 19358]]
stream infections (Escherichia coli, Klebsiella pneumoniae, Pseudomonas
aeruginosa) and two Gram-positive bloodstream infection species
(Staphylococcus aureus, and Enterococcus faecium). A total of 67 ICD-
10-CM diagnosis codes were identified and segmented by two categories,
infections (39 codes) and sepsis (28 codes). The applicant asserted
that the former category represents potential cases available to be
diagnosed by the T2Bacteria[supreg] Panel for patients who are at risk
for sepsis and the latter represents potential cases available for use
of the T2Bacteria[supreg] Panel for patients who have been diagnosed
with a confirmed sepsis. The applicant stated that distinguishing
between the two was necessary due to the varying costs associated with
the treatment of patients at risk for sepsis versus confirmed cases of
sepsis.
---------------------------------------------------------------------------
\331\ Calderwood, S., ``Clinical manifestations, diagnosis and
treatment of enterohemorrhagic Escherichia coli (EHEC) infection,''
September 2017. Available at: https://www.uptodate.com/contents/clinical-manifestations-diagnosis-and-treatment-of-enterohemorrhagic-escherichia-coli-ehec-infection.
\332\ Yu, W.L., & Chuang, Y.C., ``Clinical features, diagnosis,
and treatment of Klebsiella pneumoniae infection,'' May 18, 2017.
Available at: https://www.uptodate.com/contents/clinical-features-
diagnosis-and-treatment-of-klebsiella-pneumoniae-
infection?search=Klebsiella%20pneumoniae&source=search_result&selecte
dTitle=1~150&usage_type=default&display_rank=1.
\333\ Kanj, S., & Sexton, D., ``Epidemiology, microbiology, and
pathogenesis of Pseudomonas aeruginosa infection,'' October 9, 2018.
Available at: https://www.uptodate.com/contents/epidemiology-
microbiology-and-pathogenesis-of-pseudomonas-aeruginosa-
infection?search=Pseudomonas%20aeruginosa&source=search_result&select
edTitle=2~150&usage_type=default&display_rank=2.
\334\ Holland, T., & Fowler, V., ``Clinical manifestations of
Staphylococcus aureus infection in adults,'' September 22, 2017.
Available at: https://www.uptodate.com/contents/clinical-
manifestations-of-staphylococcus-aureus-infection-in-
adults?search=Staphylococcus%20aureus&source=search_result&selectedTi
tle=3~150&usage_type=default&display_rank=3.
\335\ Murray, B., ``Microbiology of enterococci,'' August 31,
2017. Available at: https://www.uptodate.com/contents/microbiology-
of-
enterococci?search=Enterococcus%20faecium&source=search_result&select
edTitle=2~21&usage_type=default&display_rank=2.
---------------------------------------------------------------------------
After the identification of the 39 infection and 28 sepsis
diagnosis codes, both selections were refined by the applicant with the
removal of cases identified by a total of 15 codes that represent
pathogens not within the spectrum of blood infections that the
T2Bacteria[supreg] Panel has been tested with and/or has been confirmed
to detect. From the infection diagnosis codes, cases identified by two
ICD-10-CM diagnosis codes: A021 (Salmonella sepsis); and A227 (Anthrax
sepsis) were removed. From the sepsis diagnosis codes, cases identified
by 13 diagnosis codes were removed: A021 (Salmonella sepsis); A227
(Anthrax sepsis); A400 (Sepsis due to streptococcus, group A); A401
(Sepsis due to streptococcus, group B); A403 (Sepsis due to
streptococcus pneumonia); A408 (Other streptococcal sepsis); A409
(Streptococcal sepsis, unspecified); A413 (Sepsis due to hemophilus
influenza); A414 (Sepsis due to anaerobes); A4153 (Sepsis due to
serratia); A427 (Actinomycotic sepsis); A5486 (Gonococcal sepsis); and
B377 (Candidal sepsis). The remaining infection and sepsis diagnosis
codes were then used to query the FY 2017 MedPAR database to identify
inpatient discharges reporting these diagnosis codes under the primary
and secondary position.
According to the applicant, the resulting sets of MS-DRGs from both
diagnosis code selection queries had visible commonalities when looking
at only the MS-DRGs that contained potential cases which represented at
least 1 percent of the discharge volume for the specific diagnoses.
According to the applicant, due to the high volume of cases pulled and
visible trends, provider-specific discharges at the MS-DRG level with
fewer than 11 discharges were omitted from the analysis. In reconciling
the list of MS-DRGs containing potential cases identified for the
specific infection and sepsis codes, the applicant stated that MS-DRGs
853 (Infectious & Parasitic Diseases with O.R. Procedure with MCC), 870
(Septicemia or Severe Sepsis with Mechanical Ventilation >96 Hours),
871 (Septicemia or Severe Sepsis without Mechanical Ventilation >96
Hours with MCC) and 872 (Septicemia or Severe Sepsis without Mechanical
Ventilation >96 Hours without MCC) contain at least 1 percent of the
potential case volume under both scenarios and are the MS-DRGs to which
these potential cases available for use of the T2Bacteria[supreg] Test
Panel would most closely map.
The applicant provided multiple cost analysis scenarios to
demonstrate that the T2Bacteria[supreg] Test Panel meets the cost
criterion. Eight scenarios were provided for the Sepsis and Infection
diagnosis codes, separately, using the ICD-10-CM selections and based
on the following methodologies: (1) Applicable discharges for the
potential cases contained in 4 MS-DRGs (853, 870, 871 and 872); (2)
applicable discharges for cases inclusive of all identified MS-DRGs;
(3) applicable discharges with ICU usage for potential cases contained
in 4 MS-DRGs (853, 870, 871 and 872); (4) applicable discharges with
ICU usage for potential cases inclusive of all identified MS-DRGs; (5)
applicable discharges for cases contained in 4 MS-DRGs (853, 870, 871
and 872) with removal of 50 percent of pharmacy charges for prior
technology; (6) applicable discharges for potential cases inclusive of
all identified MS-DRGs with removal of 50 percent of pharmacy charges
for prior technology; (7) applicable discharges with ICU usage for
potential cases contained in 4 MS-DRGs (853, 870, 871 and 872) with
removal of 75 percent of pharmacy charges for prior technology; and (8)
applicable discharges with ICU usage for potential cases contained
inclusive of all identified MS-DRGs with removal of 75 percent of
pharmacy charges for prior technology.
The applicant's order of operations used for each analysis is as
follows: (1) Using the 15 sepsis or 37 infection diagnosis codes; (2)
using the complete set of cases or those who had an ICU stay; (3)
removing pharmacy charges at 0 percent, 50 percent, or 75 percent (for
ICU patients only); and (4) standardizing the charges per cases using
the Impact File published with the FY 2019 IPPS/LTCH PPS final rule
correction notice data file. After removing the charges for the prior
technology and standardizing charges, the applicant applied an
inflation factor of 1.08986, which is the 2-year inflation factor from
the FY 2019 IPPS/LTCH PPS final rule correction notice (83 FR 49844) to
update the charges from FY 2017 to FY 2019. The applicant then added
charges for the T2Bacteria[supreg] Panel. Under each scenario, the
applicant stated that the inflated average case-weighted standardized
charge per case exceeded the average case-weighted threshold amount.
Below we provide a table depicting the applicant's results for all 16
scenarios that the applicant indicated demonstrates that the technology
meets the cost criterion.
------------------------------------------------------------------------
Final inflated
average case- Average
weighted case[dash]
Scenario standardized weighted
charge per threshold
case amount
------------------------------------------------------------------------
Sepsis Discharges for Cases Contained in $69,088 $62,699
4 MS-DRGs (872, 871, 870 and 853)......
Sepsis Discharges for Cases Inclusive of 74,630 64,991
All Identified MS-DRGs.................
Sepsis Discharges for Cases with ICU 94,385 69,194
Usage Contained in 4 MS-DRGs (872, 871,
870 and 853)...........................
Sepsis Discharges for Cases with ICU 103,285 73,349
Usage Inclusive of All Identified MS-
DRGs...................................
Sepsis Discharges for Cases Contained in 63,503 62,699
4 MS-DRGs (872, 871, 870 and 853) with
Removal of 50 Percent of Pharmacy
Charges for Prior Technology...........
Sepsis Discharges for Cases Inclusive of 68,555 64,991
All Identified MS-DRGs with Removal of
50 Percent of Pharmacy Charges for
Prior Technology.......................
[[Page 19359]]
Sepsis Discharges for Cases with ICU 82,415 69,194
Usage Contained in 4 MS-DRGs (872, 871,
870, and 853) with Removal of 75
Percent of Pharmacy Charges for Prior
Technology.............................
Sepsis Discharges for Cases with ICU 90,151 73,350
usage Inclusive of All Identified MS-
DRGs with Removal of 75 Percent of
Pharmacy Charges for Prior Technology..
Infection Discharges for Cases Contained 69,349 60,696
in 4 MS-DRGs (872, 871, 870 and 853)...
Infection Discharges for Cases Inclusive 61,299 52,595
of All Identified MS-DRGs..............
Infection Discharges for Cases with ICU 95,952 67,024
Usage Contained in 4 MS-DRGs (872, 871,
870 and 853)...........................
Infection Discharges for Cases with ICU 102,171 68,682
Usage Inclusive of All Identified MS-
DRGs...................................
Infection Discharges for Cases Contained 63,744 60,696
in 4 MS-DRGs (872, 871, 870 and 853)
with Removal of 50 Percent of Pharmacy
Charges for Prior Technology...........
Infection Discharges for Cases Inclusive 56,833 52,595
of All Identified MS-DRGs with Removal
of 50 Percent of Pharmacy Charges for
Prior Technology.......................
Infection Discharges for Cases with ICU 83,760 67,024
Usage Contained in 4 MS-DRGs (872, 871,
870, and 853) with Removal of 75
Percent of Pharmacy Charges for Prior
Technology.............................
Infection Discharges for Cases with ICU 90,091 68,683
Usage Inclusive of All Identified MS-
DRGs with Removal of 75 Percent of
Pharmacy Charges for Prior Technology..
------------------------------------------------------------------------
The applicant noted that, in all 16 scenarios, the average case-
weighted standardized charge per case for potential cases available for
aid by use of the T2Bacteria[supreg] Test Panel would exceed the
average case-weighted threshold amounts in the FY 2019 IPPS/LTCH PPS
final rule correction notice data file by between $803.87 and
$33,488.82. Supplementary analyses were provided by the applicant,
which included eight additional scenarios that combined the 15 sepsis
and 37 infection diagnosis codes into one set of 52 diagnosis codes.
The applicant again utilized an inflation factor of 1.08986 and
followed the same methodology as the previously discussed cost
analyses. The applicant again noted that the final inflated average
case-weighted standardized charge per case exceeded the average case-
weighted threshold amounts in all scenarios, ranging between $1,083.67
and $32,430.57.
We are inviting public comments on whether the T2Bacteria[supreg]
Panel meets the cost criterion.
With respect to the substantial clinical improvement criterion, the
applicant asserted that the T2Bacteria[supreg] Panel represents a
substantial clinical improvement over existing technologies. According
to the applicant, the T2Bacteria[supreg] Panel is the only FDA-cleared
diagnostic aid that has the ability to rapidly and accurately identify
sepsis-causing bacteria species directly from whole blood within 3 to 5
hours, instead of the 1 to 5 days required by current standard-of-care
laboratory blood cultures or other diagnostic technology. The applicant
also asserted that the use of the T2Bacteria[supreg] Panel provides
more rapid beneficial resolution of the disease process due to enabling
faster treatment. Several studies provided by the applicant suggest
that effective detection prior to therapy can lead to a reduction in
hospital lengths-of-stay and likelihood of death.336 337
According to the applicant, in these studies for every hour reduction
in time to effective therapy or species ID, the length-of-stay
decreased by 2.7 hours.
---------------------------------------------------------------------------
\336\ Huang, A., Newton, D., Kunapuli, A., Gandhi, T., Washer,
L., Isip, J., Nagel, J., ``Impact of Rapid Organism Identification
via Matrix-Assisted Laser Desorption/Ionization Time-of-Flight
Combined with Antimicrobial Stewardship Team Intervention in Adult
Patients with Bacteremia and Candidemia,'' Clinical Infectious
Diseases, 2013, vol. 57(9), pp. 1237-1245.
\337\ Perez, K., Olsen, R., Musick, W., Cernoch, P., Davis, J.,
Peterson, L., & Musser, J., ``Integrating Rapid Diagnostics and
Antimicrobial Stewardship Improves Outcomes in Patients with
Antibiotic-Resistant Gram-Negative Bacteremia,'' Journal of
Infection, 2014, vol. 69(3), pp. 216-225.
---------------------------------------------------------------------------
The applicant stated that the T2Bacteria[supreg] pivotal trial that
led to the FDA clearance enrolled 11 hospitals in the United States and
1,427 patients with a blood culture ordered as the standard-of-care,
with species ID determined by MALDI-TOF or Vitek2.\338\ Furthermore,
due to the low prevalence of panel specific organisms, an additional
250 contrived specimens were evaluated. The T2Bacteria[supreg] Panel
result was blinded to the managing staff and did not influence care.
Blood samples were drawn for culture and T2Bacteria[supreg] Panel from
the same line at the same time. The mean time to blood culture
positivity was 51.0 43.0 hours (mean SD) and
the mean time to species ID was 83.7 47.6 hours (mean
SD). In contrast, the mean time to T2Bacteria[supreg]
Panel result was 6.5 1.9 hours, where a full load of 7
samples completed in 7.70 1.4 hours and a single sample
completed in 3.6 0.02 hours. Therefore, the difference in
mean time to result between blood culture and the T2Bacteria[supreg]
Panel assay was 77.2 hours or 3.2 days (p<0.001). Compared to the
matched draw blood culture and contrived samples, the overall
sensitivity ranged from 81.3 percent to 100 percent and specificity
ranged from 95.0 percent to 100 percent, respectively. Of the 190
positive T2Bacteria[supreg] Panel results, 35 had matching blood
culture results and 155 were potentially false positive. Of these 155,
35 had a positive blood culture at another blood draw within 14 days;
30 had positive results by amplification and gene sequencing; and 23
had other positive non-blood specimens for the same organism. Sixty-
three of the 190 (33 percent) positive results were not associated with
evidence of infection. Later testing by the applicant confirmed that
reagent contamination caused the high false positive rates specifically
for E. coli of 1.7 percent and P. aeruginosa (1.7 percent) in stored
blood samples. Compared to blood culture results for species identified
with the T2Bacteria[supreg] Panel, the assay detected 3.2-times more
positives associated with infection.
---------------------------------------------------------------------------
\338\ T2 Biosystems, Inc., ``T2Bacteria[supreg] Panel for use on
the T2Dx[supreg] Instrument, 510(k) summary,'' Lexington, 2018.
---------------------------------------------------------------------------
Nguyen, et al., a submitted publication manuscript based on the
pivotal study data used by the FDA, found that the species
identification of the T2Bacteria[supreg] Panel took an average mean
time of 3.61 0.2 hours up to 7.70 1.38 hours
(mean time dependent on the number of samples loaded, 1 to 7), which
was shorter than that of the standard-of-care blood culture with a
[[Page 19360]]
mean time of 71.7 39.3 hours.\339\ In addition to faster
species identification, the applicant asserted that the
T2Bacteria[supreg] Panel identifies more infection-positive cases than
blood cultures when verified by non-concurrent test results \340\ or
when verified with proven, probably, or possible criteria (concurrent
blood culture positive results, non-concurrent blood culture results
with positive culture results from another site within 21 days, and no
culture match, but the T2Bacteria[supreg] Panel bacteria was a
plausible cause of disease, respectively). In this study, 66 percent of
patients with concomitant blood culture results and T2Bacteria[supreg]
Panel positive results were not on active antibiotics at the time of
the blood draw, while 24 percent of patients with probable or possible
blood stream infections that were positive by T2Bacteria[supreg] Panel
alone were not on effective therapy.
---------------------------------------------------------------------------
\339\ Nguyen, M.H., Clancy, C., Pasculle, A.W., Pappas, P.,
Alangaden, G., Pankey, G., Mylonakis, E. ``Clinical performance of
the T2Bacteria panel for diagnosis bloodstream infections due to
five common bacterial pathogens,'' Manuscript for submission.
\340\ T2 Biosystems, Inc., ``T2Bacteria[supreg] Panel for use on
the T2Dx[supreg] Instrument, 510(k) summary,'' Lexington, 2018.
---------------------------------------------------------------------------
In another study submitted by the applicant, 137 blood cultures and
T2Bacteria[supreg] Panel tests were obtained from participants in the
emergency department.\341\ T2Bacteria[supreg] Panel results were
verified with concordant blood culture results, or when discordant with
blood cultures from another location drawn within 14 days of the
matched draw, or with the whole blood Sanger sequencing method. No
samples generated an invalid result for the T2Bacteria[supreg] assay.
The T2Bacteria[supreg] Panel identified 15 positives for which blood
cultures had concordant matches for 12. The three unmatched positives
were verified via other means. As compared to blood cultures, the
T2Bacteria[supreg] Panel had an overall positive percent agreement of
100 percent (12/12) and a negative percent agreement of 98.4 percent
(662/673). The negative percent agreement is shown to be due to blood
culture results that are indeterminate, or false positive.
---------------------------------------------------------------------------
\341\ Voigt, C., Silbert, S., Widen, R., Marturano, J., Lowery,
T., Ashcraft, D., & Pankey, G., ``The T2Bacteria assay is a
sensitive and rapid detector of bacteremia that can be initiated in
the emergency department and has potential to favorably influence
subsequent therapy,'' Journal of Emergency Medical Review, pp. 1-30.
---------------------------------------------------------------------------
In the same study,\342\ the T2Bacteria[supreg] Panel results
relative to standard-of-care blood culture identification were
classified into four impact level categories: (1) Minimal impact
results have negative blood culture results with no evidence of
infection for which results would have little to no impact; (2) some
impact results occur for patients who have an effective therapy at the
time of results, but the number of antibiotics administered could have
been reduced; (3) moderate impact results are for those on effective
therapy at the time of results, but were switched to species-directed
therapy within 12 hours of a standard-of-care blood culture
identification; and (4) direct impact results relate to those who could
have been placed on effective therapy earlier based on the results of
the T2Bacteria[supreg] Panel.\343\ The study identified 7 ``minimal
impact'' incidents, 8 ``some impact'' incidents, 4 ``moderate impact''
incidents, and 4 ``direct impact'' incidents, indicating that 16/23
(69.6 percent) of positive test results could have potentially
influenced patient care.
---------------------------------------------------------------------------
\342\ Ibid.
\343\ Voigt, C., Silbert, S., Widen, R., Marturano, J., Lowery,
T., Ashcraft, D., & Pankey, G., ``The T2Bacteria assay is a
sensitive and rapid detector of bacteremia that can be initiated in
the emergency department and has potential to favorably influence
subsequent therapy,'' Journal of Emergency Medical Review, pp. 1-30.
---------------------------------------------------------------------------
In articles provided by the applicant which concerned separate
studies, the T2Bacteria[supreg] Panel was found to have a shorter time
to species identification than blood cultures.344 345 The
study analysis by De Angelis, et al., 2018, an international,
prospective observational study involving 129 patients (144 enrolled)
18 years of age and older who had a blood culture and for whom a
T2Bacteria[supreg] Panel was also obtained, showed that the
T2Bacteria[supreg] Panel provided a mean time to species identification
and negative result of 5.5 1.4 hours and 6.1
1.5 hours, respectively as compared to 25.2 15.2 hours and
120 0.0 hours resulting from the standard-of-care blood
culture method, respectively.\346\ There were a total of 10
concordantly identified micro-organisms, 2 identified by standard-of-
care blood culture only, and 20 detected by the T2Bacteria[supreg]
Panel only. As compared to the results from the standard-of-care blood
culture method, the results from the T2Bacteria[supreg] Panel had a
sensitivity that ranged from 50 percent to 100 percent across the 5
detection channels, with an aggregate of 83.3 percent and a specificity
that ranged from 94.8 percent to 100 percent, with an aggregate of 97.6
percent. For patients who had a matched blood culture positive (n=8)
and who met the criterion of infection (n=6), a total of 36 percent (5/
14) of the patients were receiving inappropriate antimicrobial therapy
at the time of the T2Bacteria[supreg] Panel result. The results of this
study are again discussed in another article submitted by the
applicant, which states that these results may have the potential to
rapidly identify the five on-panel pathogens that may include cases
missed by results of the standard-of-care blood culture.\347\
---------------------------------------------------------------------------
\344\ De Angelis, G., Posteraro, B., Dr Carolis, E.,
Menchinelli, G., Franceschi, F., Tumbarello, M., Sanguinetti, M.,
``T2Bacteria magnetic resonance assay for the rapid detection of
ESKAPEc pathogens directly in whole blood,'' Journal of
Antimicrobial Chemotherapy, 2018, vol. 73, pp. iv20-iv26,
doi:10.1093/jac/dky049.
\345\ Nguyen, M. H., Clancy, C., Pasculle, A. W., Pappas, P.,
Alangaden, G., Pankey, G., Mylonakis, E., ``Clinical performance of
the T2Bacteria panel for diagnosis bloodstream infections due to
five common bacterial pathogens,'' Manuscript for submission.
\346\ De Angelis, G., Posteraro, B., Dr Carolis, E.,
Menchinelli, G., Franceschi, F., Tumbarello, M., Sanguinetti, M.,
``T2Bacteria magnetic resonance assay for the rapid detection of
ESKAPEc pathogens directly in whole blood,'' Journal of
Antimicrobial Chemotherapy, 2018, vol. 73, pp. iv20-iv26,
doi:10.1093/jac/dky049.
\347\ Clancy, C., & Nguyen, H., ``T2 magnetic resonance for the
diagnosis of bloodstream infections: charting a path forward,''
Journal of Antimicrobial Chemotherapy, 2018, vol. 73(4), pp. iv2-
iv5, doi:10.1093/jac/dky050.
---------------------------------------------------------------------------
The applicant further asserted that the T2Bacteria[supreg] Panel
provides a decreased rate of subsequent diagnostic or therapeutic
interventions. The applicant discussed the results of a meta-analysis
of 70 studies, in which the proportion of patients on an inappropriate
empiric therapy was 46.5 percent.\348\ The applicant indicated that the
results show that amongst patients with a blood culture draw, typical
antibiotic administration rates range from 50 to 70
percent.349 350 351 The applicant asserted that based on the
results of the analysis by the Voigt, et al., manuscript, 35 percent
(8/23) of the patients, receiving 3.6 1.1 (mean SD) unique antibiotics per patient, could have potentially seen
[[Page 19361]]
a reduction in the number of administered antibiotics.\352\ The
applicant further stated via a supplementary presentation to CMS that
the use of the T2Bacteria[supreg] Panel allows for earlier species
directed therapy than that allowed for by standard-of-care blood
cultures. The applicant believed that the use of the T2Bacteria[supreg]
Panel may allow the provider to move from broad potentially unnecessary
empiric to species-targeted therapy. The applicant stated that using
hospital antibiograms and being informed of the species by the
T2Bacteria[supreg] Panel, the physician is able to use species-directed
therapy and place up to 90 percent of patients on an effective therapy
in a few hours instead of 2 to 3 days.
---------------------------------------------------------------------------
\348\ Paul, M., Shani, V., Muchtar, E., Kariv, G., Robenshtok,
E., & Leibovici, L., ``Systematic Review and Meta-Analysis of the
Efficacy of Appropriate Empiric Antibiotic Therapy for Sepsis,''
Antimicrobial Agents and Chemotherapy, 2010, vol. 54(11), pp. 4851-
4863.
\349\ Castellanos-Ortega, A., Suberviola, B., Garcia-Astudillo,
L., Holanda, M., Ortiz, F., Llorca, J., & Delgado-Rodriguez, M.,
``Impact of the Surviving Sepsis Campaign Protocols on Hospital
Length of Stay and Mortality in Septic Shock Patients: Results of a
three-year follow-up quasi-experimental study,'' Crit Care Med,
2010, vol. 38(4), pp. 1036-1043, doi:10.1097/CCM.0b0bl3e3181d455b6.
\350\ Karlsson, S., Varpula, M., Pettila, V., & Parvlainen, I.,
``Incidence, Treatment, and Outcome of Severe Sepsis in ICU-treated
Adults in Finland: The Finnsepsis study,'' Intensive Care Medicine,
2007, vol. 33, pp. 435-443, doi:10.1007/s00134-006-0504-z.
\351\ Suberviola, B., Marquez-Lopez, A., Castellanos-Ortega, A.,
Fernandez-Mazarrasa, C., Santibanez, M., & Martinez, L.,
``Microbiological Diagnosis of Speis: Polymerase chain reaction
system versus blood cultures,'' American Journal of Critical Care,
2016, vol. 25(1), pp. 68-75.
\352\ Voigt, C., Silbert, S., Widen, R., Marturano, J., Lowery,
T., Ashcraft, D., & Pankey, G., ``The T2Bacteria assay is a
sensitive and rapid detector of bacteremia that can be initiated in
the emergency department and has potential to favorably influence
subsequent therapy,'' Journal of Emergency Medical Review, pp. 1-30.
---------------------------------------------------------------------------
According to the applicant, the practice of antibiotic de-
escalation was recently evaluated across 23 studies and found to be
safe and effective.\353\ Given the toxicity associated with
antibiotics, where some antibiotics cause encephalopathies including
seizures \354\ and in extreme cases show up to a 4.5 percent mortality
rate due to the antibiotic itself,\355\ the applicant asserted that
judicious use of antibiotics is necessary. The applicant further stated
that rapid diagnostics such as that able to be accomplished by the use
of the T2Bacteria[supreg] Panel assay, due to its negative predictive
value (NPV) of 99.7 percent,\356\ will enable physicians to focus
therapy and reduce the use of unnecessary drugs, where a targeted
therapy is possible in 3.8 hours instead of 2 days, reducing toxicity
and development of resistance.\357\
---------------------------------------------------------------------------
\353\ Ohji, G., Doi, A., Yamamoto, S., & Iwata, K., ``Is De-
escalation of Antimicrobials Effective? A systematic review and
meta-analysis,'' International Journal of Infectious Diseases, 2016,
vol. 49, pp. 71-79, Retrieved from https://dx.doi.org/10.1016/j.ijid.2016.06.002.
\354\ Bhattacharyya, S., Darby, R.R., Raibagkar, P., Gonzalez
Castro, L.N., & Berkowitz, A., ``Antibiotic-associated
Encephalopathy,'' American Academy of Neurology, 2016, pp. 963-971.
\355\ Koch-Weser, J., Sidel, V., Federman, E., Kanarek, P.,
Finer, D., & Eaton, A., ``Adverse Effects of Sodium Colistimethate;
Manifestations and specific reaction rates during 317 courses of
therapy,'' Annals of Internal Medicine, 1970, vol. 72, pp. 857-868.
\356\ Nguyen, M. H., Clancy, C., Pasculle, A.W., Pappas, P.,
Alangaden, G., Pankey, G., Mylonakis, E., ``Clinical performance of
the T2Bacteria panel for diagnosis bloodstream infections due to
five common bacterial pathogens,'' Manuscript for submission.
\357\ Weisz, E., Newton, E., Estrada, S., & Saunders, M.,
``Early Experience with the T2Bacteria Research Use Only (RUO) Panel
at a Community Hospital,'' Lee Memorial Hospital, Fort Meyers.
---------------------------------------------------------------------------
The applicant stated that the use of the T2Bacteria[supreg] Panel
will result in reduced mortality. The applicant indicated that the
results of large retrospective analyses show that every hour delaying
time to appropriate antibiotic therapy increased odds of death by 4
percent or reduced survival by 7.6 percent.358 359 360 The
applicant stated that the results of the T2Bacteria[supreg] Panel
Pivotal trial show that out of 23 positive patients, 4 (17 percent)
could have seen a reduction in time to effective therapy, with mean
time of 28.0 hours. An additional 4 (17 percent) could have seen a
reduction in time to species-directed therapy, with mean time reduction
of 52.6 hours. The applicant stated that by using the
T2Bacteria[supreg] Panel assay relative to standard-of-care blood
cultures, they expect a potential reduction in the odds of death to be
52.8 percent. According to the applicant, this factor of 2 difference
is consistent with a two-time higher odds of death in patients given
inappropriate empiric antibiotics relative to appropriate empiric
antibiotics.\361\ The applicant indicated that this result suggests
that employing the use of the T2Bacteria[supreg] Panel assay should
reduce mortality in bacteremia patients who are not immediately on
appropriate therapy.
---------------------------------------------------------------------------
\358\ Paul, M., Shani, V., Muchtar, E., Kariv, G., Robenshtok,
E., & Leibovici, L., ``Systematic Review and Meta-Analysis of the
Efficacy of Appropriate Empiric Antibiotic Therapy for Sepsis,''
Antimicrobial Agents and Chemotherapy, 2010, vol. 54(11), pp. 4851-
4863.
\359\ Kumar, A., Roberts, D., Wood, K., Light, B., Parrillo, J.,
Sharma, S., Cheang, M., ``Duration of Hypotension before Initiation
of Effective Antimicrobial Therapy is the Critical Determinant of
Survival in Human Septic Shock,'' Crit Care Med, 2006, vol. 34(6),
pp. 1589-1596, doi:10.1097/01.CCM.0000217961.75225.E9.
\360\ Seymour, C., Gesten, F., Prescott, H., Friedrich, M.,
Iwashyna, T., Phillips, G., Levy, M., ``Time to Treatment and
Mortality during Mandated Emergency Care for Sepsis,'' The New
England Journal of Medicine, 2017, vol. 376(23), pp. 2235-2244,
doi:10.1056/NEJMoa1703058.
\361\ Paul, M., Shani, V., Muchtar, E., Kariv, G., Robenshtok,
E., & Leibovici, L., ``Systematic Review and Meta-Analysis of the
Efficacy of Appropriate Empiric Antibiotic Therapy for Sepsis,''
Antimicrobial Agents and Chemotherapy, 2010, vol. 54(11), pp. 4851-
4863.
---------------------------------------------------------------------------
In the form of supplementary information, the applicant stated that
the use of the T2Bacteria[supreg] Panel covers 5 species, which account
for 50 percent to 70 percent of all blood stream infections, depending
on local epidemiology. According to the applicant, the remaining 30
percent to 50 percent of patients would continue to need standard-of-
care blood cultures for species identification. Based on all of the
above, the applicant believed that the T2Bacteria[supreg] Test Panel
represents a substantial clinical improvement over existing
technologies.
We have the following concerns regarding whether the
T2Bacteria[supreg] Panel meets the substantial clinical improvement
criterion. First, we are not certain that the applicant has provided
sufficient evidence to demonstrate that the early identification
without antibiotic susceptibility provided by the use of the T2
Bacteria[supreg] Panel is enough to prevent unnecessary empiric therapy
because specific identification and antibiotic susceptibilities may
still be required by blood cultures to adequately treat sepsis. For
instance, if an on-panel bacteria were identified it remains possible
that this species could be resistant to the standard-of-care treatment
for such bacteria used in a hospital. In addition, we believe that not
only is it possible for an identified species to be resistant to
typical empiric therapy, therefore diminishing the utility of its early
identification, it also is possible for off-panel organisms to be
present and also not be affected by species-targeted empiric treatment.
The applicant provided supplemental information in which it stated that
consistent with its labeling, the use of the T2Bacteria[supreg] Test
Panel would not replace blood cultures for specific organisms. Given
this information, we are concerned that the use of the
T2Bacteria[supreg] Panel may not be a substantial clinical improvement
over standard-of-care blood cultures, the existing comparator.
Second, the applicant provided research and analyses, which is
suggestive that the use of the T2Bacteria[supreg] Test Panel may lead
to decreased hospital lengths-of-stay, and decreased mortality.
Specifically, these analyses and articles show that there is a
possibility for a correlated relationship between the
T2Bacteria[supreg] Panel's time to species ID and these identified
outcomes. The applicant addressed this issue in a qualitative
manuscript analysis involving identification of potential impacts of
the T2Bacteria[supreg] Test Panel.\362\ We recognize that this
qualitative analysis is informative, but we are concerned that the low
number of cases (under 10) may limit generalizability of these results.
Given this information, we are concerned that in lieu of direct
testing, these suggestive
[[Page 19362]]
findings may not show a causative relationship.
---------------------------------------------------------------------------
\362\ Voigt, C., Silbert, S., Widen, R., Marturano, J., Lowery,
T., Ashcraft, D., & Pankey, G., ``The T2Bacteria assay is a
sensitive and rapid detector of bacteremia that can be initiated in
the emergency department and has potential to favorably influence
subsequent therapy,'' Journal of Emergency Medical Review, pp. 1-30.
---------------------------------------------------------------------------
Third, we are concerned that in all of the studies provided, the
comparator for the T2Bacteria[supreg] Panel is a single blood culture
draw. It is well established that blood culture sensitivity and
specificity increase with repeat blood draws. According to research
provided by the applicant, a single set of blood cultures should not be
drawn, but rather surveillance blood cultures, involving multiple draws
over time, should be practiced.\363\ Therefore, we believe that initial
blood cultures followed by repeated blood draws would have been a
better comparator. Furthermore, we believe an even stronger comparator
for the T2Bacteria[supreg] Test Panel would be other DNA based tests,
such as polymerase chain reaction (PCR), which also utilize DNA to
identify bacterial infections.
---------------------------------------------------------------------------
\363\ Wilson, M., Mitchell, M., Morris, A., Murray, P., Reimer,
L., Reller, L. B., Welch, D., ``Prinicples and Procedures for Blood
Cultures; Approved Guildeline,'' Clinical and Laboratory Standards
Institute, 2007.
---------------------------------------------------------------------------
Ultimately, we are concerned that the use of the T2Bacteria[supreg]
Test Panel may not alter the clinical course of treatment. We believe
that the variable sensitivity and specificity for the
T2Bacteria[supreg] Panel may be of concern if these results do not
compare favorably to other available DNA tests. While some of the false
positives in the pivotal trial were explained by reagent contamination
(43 of the 63 false positives),\364\ the high false positive rate seen
in the applicant's literature, (for example, 13 of 32 positives (40.6
percent),\365\ 58 of 146 positives (39.7 percent),\366\ and a potential
20 of 63 (31.7 percent) from the pivotal trial) may result in
unnecessary treatment of patients. Furthermore, use of a contrived arm
in the pivotal trial and low overall incidence of these five specific
sepsis-causing organisms may make it difficult to determine a
substantial clinical improvement in the complex clinical setting.
Lastly, it seems that blood cultures may still be necessary to identify
species susceptibility because the T2Bacteria[supreg] Test Panel does
not identify susceptibility and subsequent treatment based upon its
results will still require empiric treatment. If these points are true,
then the inferred decreased hospital lengths-of-stay, decreased
mortality, and better clinical outcomes may not be achieved with the
use of the T2Bacteria[supreg] Test Panel.
---------------------------------------------------------------------------
\364\ T2 Biosystems, Inc., ``T2Bacteria[supreg] Panel for use on
the T2Dx[supreg] Instrument, 510(k) summary,'' Lexington, 2018.
\365\ De Angelis, G., Posteraro, B., Dr Carolis, E.,
Menchinelli, G., Franceschi, F., Tumbarello, M., Sanguinetti, M.,
``T2Bacteria magnetic resonance assay for the rapid detection of
ESKAPEc pathogens directly in whole blood,'' Journal of
Antimicrobial Chemotherapy, 2018, vol. 73, pp. iv20-iv26,
doi:10.1093/jac/dky049.
\366\ Nguyen, M. H., Clancy, C., Pasculle, A. W., Pappas, P.,
Alangaden, G., Pankey, G., Mylonakis, E., ``Clinical performance of
the T2Bacteria panel for diagnosis bloodstream infections due to
five common bacterial pathogens,'' Manuscript for submission.
---------------------------------------------------------------------------
We are inviting public comments on whether the T2Bacteria[supreg]
Test Panel technology meets the substantial clinical improvement
criterion, including with respect to the specific concerns we have
raised. We did not receive any written comments in response to the New
Technology Town Hall meeting notice published in the Federal Register
regarding the substantial clinical improvement criterion for the
T2Bacteria[supreg] Test Panel or at the New Technology Town Hall
meeting.
q. VENCLEXTA[supreg]
AbbVie Pharmaceuticals, Inc. submitted an application for new
technology add-on payments for VENCLEXTA[supreg] (venetoclax tablets)
for FY 2020. According to the applicant, VENCLEXTA[supreg] is an oral
anti-cancer drug previously FDA-approved for the treatment of patients
who have been diagnosed with chronic lymphocytic leukemia (CLL) with
17p deletion, as detected by an FDA-approved test, who have received at
least one prior therapy. VENCLEXTA[supreg] received additional FDA
approval on November 21, 2018, for the treatment of adult patients who
have been diagnosed with CLL or small lymphocytic lymphoma (SLL), with
or without 17p deletion, who have received at least one prior therapy,
and in combination with azacitidine or decitabine or low-dose
cytarabine for the treatment of newly-diagnosed acute myeloid leukemia
(AML) in adults who are age 75 years old or older, or who have
comorbidities that preclude use of intensive induction chemotherapy.
AML is a type of cancer in which the bone marrow makes abnormal
myeloblasts (a type of white blood cell), red blood cells, or
platelets.\367\ The applicant stated that more than half of the
patients who are diagnosed with AML annually (19,520) \368\ are of
Medicare age.\369\ The leukemic cells proliferate in the marrow and
interfere with production of normal blood cells, causing weakness,
infection, bleeding, and other symptoms and complications. In
approximately half of these patients, nonrandom chromosomal
abnormalities are found by cytogenetic analysis, and these are used for
classification, management, and prognostication. AML is generally
rapidly lethal unless treated with intensive chemotherapy and/or
targeted therapies together with supportive care.\370\
---------------------------------------------------------------------------
\367\ National Cancer Institute, ``Adult Acute Myeloid Leukemia
Treatment--Patient Version,'' https://www.cancer.gov/types/leukemia/patient/adult-aml-treatment-pdq, Accessed September 11, 2018.
\368\ Siegel, R.L., Miller, K.D., Jemal, A., ``Cancer
Statistics,'' CA: A Cancer Journal for Clinicians, 2018, vol, 68(1),
pp. 7-30, doi:10.3322/caac.21442.
\369\ National Cancer Institute. ``SEER Stat Fact Sheets: Acute
Myeloid Leukemia,'' Bethesda, MD, https://seer.cancer.gov/statfacts/html/amyl.html, Accessed September 11, 2018.
\370\ Wolters Kluwer Health, ``Overview of acute myeloid
leukemia in adults,'' https://www.uptodate.com/contents/induction-therapy-for-acute-myeloid-leukemia-in-younger-adults, Accessed
October 9, 2018.
---------------------------------------------------------------------------
According to the applicant, in younger patients who have been
diagnosed with AML, intensive combination chemotherapy is the primary
treatment modality.\371\ Options for induction chemotherapy include
standard or high-dose cytarabine in combination with an anthracycline.
The most commonly used induction regimens for diagnoses of AML are the
so-called ``7+3'' regimens, which combine a 7-day continuous
intravenous infusion of cytarabine with a short infusion or bolus of an
anthracycline given on days 1 through 3. The applicant indicated that
the most commonly used anthracycline in this regimen is daunorubicin,
but other anthracyclines or synthetic anthracycline analogs have been
used. Depending on age and patient selection, up to 70 to 80 percent of
younger adults achieve complete remission with the use of these
regimens.372 373
---------------------------------------------------------------------------
\371\ Wolters Kluwer Health, ``Induction therapy for acute
myeloid leukemia in younger adults,'' https://www.uptodate.com/contents/induction-therapy-for-acute-myeloid-leukemia-in-younger-adults, Accessed September 11, 2018.
\372\ Ohtake, S., Miyawaki, S., Fujita, H., et al., ``Randomized
study of induction therapy comparing standard-dose idarubicin with
high-dose daunorubicin in adult patients with previously untreated
acute myeloid leukemia: the JALSG AML201 Study,'' Blood, 2010, vol.
117(8), pp. 2358-65, doi:10.1182/blood-2010-03-273243.
\373\ Fernandez, H.F., Sun, Z., Yao, X., et al., ``Anthracycline
Dose Intensification in Acute Myeloid Leukemia,'' New England
Journal of Medicine, 2009, vol. 361(13), pp. 1249-59, doi:10.1056/
nejmoa0904544.
---------------------------------------------------------------------------
However, the applicant indicated that older adults over the age of
55 years old \374\ are more frequently refractory to such cytotoxic-
intensive induction chemotherapy when compared to younger patients
because of biological disease-related factors such as increased
[[Page 19363]]
frequency of adverse-risk cytogenetic and molecular features, secondary
AML, and increased expression of multi-drug resistance phenotypes.\375\
Elderly patients also present with more comorbidities and compromised
organ function than do younger patients, which means they have
decreased tolerance to intensive therapies which can lead to
unacceptably high treatment-related mortality.376 377 378
The applicant explained that prognostic algorithms that can predict the
probability of achieving a complete response (CR) and the risk for an
early death for elderly patients with untreated AML have been
developed, and can help a physician determine whether or not the
patient is eligible for intensive chemotherapy.\379\ For these reasons,
only 40 percent of Medicare-aged patients who have been diagnosed with
AML receive chemotherapy for the treatment of the disease.\380\ The
applicant stated that, in patients not considered fit for intensive
treatment and who, therefore, were treated with lower intensity
regimens of low-dose cytarabine and hydroxyurea, with or without, all-
trans retinoic acid for diagnoses of AML and high-risk myelodysplastic
syndrome, only 25 percent of the patients on low-dose cytarabine
survived for 12 months.\381\ According to the applicant, in an
international Phase III study comparing the use of azacitidine with
conventional care regimens in older patients who had been newly
diagnosed with AML, only 18.6 percent of the patients receiving best
supportive care survived for 12 months.\382\ Accordingly, the applicant
believed that more effective, better-tolerated therapies for elderly
patients who have been diagnosed with AML are needed.\383\
---------------------------------------------------------------------------
\374\ Wolters Kluwer Health, ``Induction therapy for acute
myeloid leukemia in younger adults,'' https://www.uptodate.com/contents/induction-therapy-for-acute-myeloid-leukemia-in-younger-adults, Accessed September 11, 2018.
\375\ Krug, U., B[uuml]chner, T., Berdel, W.E., M[uuml]ller-
Tidow, C., ``The treatment of elderly patients with acute myeloid
leukemia,'' Dtsch Arztebl Int, 2011, vol. 108, pp. 863-70.
\376\ Pettit, K., Odenike, O., ``Defining and treating older
adults with acute myeloid leukemia who are ineligible for intensive
therapies,'' Front Oncol, 2015, vol. 5, pp. 280.
\377\ Kantarjian, H., Ravandi, F., O'Brien, S., et al.,
``Intensive chemotherapy does not benefit most older patients (age
70 years or older) with acute myeloid leukemia,'' Blood, 2010, vol.
116, pp. 4422-9.
\378\ Kantarjian, H., O'Brien, S., Cortes, J., et al., ``Results
of intensive chemotherapy in 998 patients age 65 years or older with
acute myeloid leukemia or high-risk myelodysplastic syndrome:
predictive prognostic models for outcome,'' Cancer, 2006, vol. 106,
pp. 1090-98.
\379\ O'Donnell, Margaret R., et al. ``Acute Myeloid Leukemia,
Version 3.2017, NCCN Clinical Practice Guidelines in Oncology.''
Journal of the National Comprehensive Cancer Network, vol. 15, no.
7, 2017, pp. 926-957., doi:10.6004/jnccn.2017.0116.
\380\ Medeiros, B.C., Satram-Hoang, S., Hurst, D., Hoang, K.Q.,
Momin, F., Reyes, C., ``Big data analysis of treatment patterns and
outcomes among elderly acute myeloid leukemia patients in the United
States,'' Annals of Hematology, 2015, vol. 94(7), pp. 1127-38,
doi:10.1007/s00277-015-2351-x.
\381\ Burnett, Alan K., et al., ``A Comparison of Low-Dose
Cytarabine and Hydroxyurea with or without All-Trans Retinoic Acid
for Acute Myeloid Leukemia and High-Risk Myelodysplastic Syndrome in
Patients Not Considered Fit for Intensive Treatment,'' Cancer, vol.
109, no. 6, 2007, pp. 1114-1124, doi:10.1002/cncr.22496.
\382\ Dombret, H., et al., ``International Phase 3 Study of
Azacitidine vs Conventional Care Regimens in Older Patients with
Newly Diagnosed AML with >30% Blasts,'' Blood, vol. 126, no. 3,
2015, pp. 291-299, doi:10.1182/blood-2015-01-621664.
\383\ DiNardo, C.D., Pratz, K.W., Letai, A., et al., ``Safety
and preliminary efficacy of venetoclax with decitabine or
azacitidine in elderly patients with previously untreated acute
myeloid leukemia: a non-randomized, open-label, phase Ib study,''
The Lancet Oncology, 2018, vol. 19(2), pp. 216-28, doi:10.1016/
s1470-2045(18)30010-x.
---------------------------------------------------------------------------
We note that, the applicant has submitted a request for approval
for a unique ICD-10-PCS code to identify procedures involving the
administration of VENCLEXTA[supreg], effective for FY 2020.
As discussed earlier, if a technology meets all three of the
substantial similarity criteria, it would be considered substantially
similar to an existing technology and, therefore, would not be
considered ``new'' for purposes of new technology add-on payments.
Current treatments include decitabine, azacitidine, low-dose
cytarabine, MYLOTARGTM, and supportive care such as anti-
emetics, transfusions, and antibiotics/antifungals.384 385
---------------------------------------------------------------------------
\384\ Ibid.
\385\ Wolters Kluwer Health, ``Induction therapy for acute
myeloid leukemia in younger adults,'' https://www.uptodate.com/contents/induction-therapy-for-acute-myeloid-leukemia-in-younger-adults, Accessed September 11, 2018.
---------------------------------------------------------------------------
With regard to the first criterion, whether a product uses the same
or a similar mechanism of action to achieve a therapeutic outcome, the
applicant asserted that VENCLEXTA[supreg] does not use the same or
similar mechanism of action when compared with an existing technology
to achieve a therapeutic outcome for patients diagnosed with AML who
are ineligible for intensive chemotherapy The applicant stated that
VENCLEXTA[supreg] is the first and only FDA-approved, selective oral
anti-apoptotic B-cell lymphoma 2 (BCL-2) inhibitor, and works by
inhibiting the BCL-2 protein, which regulates cell death and is
associated with chemotherapy-resistance and poor outcomes in patients
who have been diagnosed with AML.\386\ The applicant further asserted
that VENCLEXTA[supreg] is known to synergize with hypomethylating
agents (azacitidine/decitabine) and low-dose cytarabine in the
treatment of AML.\387\ In AML, malignant cells are dependent on BCL-2
and other pro-survival proteins such as MCL-1 for their survival. A
hypomethylator like azacitidine increases BCL-2 dependence and
sensitivity to VENCLEXTA[supreg] through inhibition of MCL-1, therefore
sensitizing the cell to VENCLEXTA[supreg]-induced
apoptosis.388 389 The applicant indicated that because the
combination of drugs in the recently-approved indication for the
treatment of AML is new, and VENCLEXTA[supreg] works synergistically
when administered as part of this treatment combination, this creates a
unique mechanism of action for the treatment of AML.
---------------------------------------------------------------------------
\386\ Pan, R., Hogdal, L.J., Benito, J.M., et al., ``Selective
BCL-2 inhibition by ABT-199 causes on-target cell death in acute
myeloid leukemia,'' Cancer Discov, 2014, vol. 4(3), pp. 362-75.
\387\ Bogenberger, J.M., Delman, D., Hansen, N., et al., ``Ex
vivo activity of BCL-2 family inhibitors ABT-199 and ABT-737
combined with 5-azacitidine in myeloid malignancies,'' Leukemia &
Lymphoma, 2014, vol. 56(1), pp. 226-229, doi:10.3109/
10428194.2014.910657.
\388\ Konopleva, M., et al., ``Efficacy and Biological
Correlates of Response in a Phase II Study of Venetoclax Monotherapy
in Patients with Acute Myelogenous Leukemia,'' Cancer Discovery,
vol. 6, no. 10, Dec. 2016, pp. 1106-1117, doi:10.1158/2159-8290.cd-
16-0313.
\389\ Valentin, Rebecca, et al., ``The Rise of Apoptosis:
Targeting Apoptosis in Hematologic Malignancies,'' Blood, 2018, vol.
132, no. 12, pp. 1248-1264, doi:10.1182/blood-2018-02-791350.
---------------------------------------------------------------------------
With respect to the second criterion, whether a product is assigned
to the same or a different MS-DRG, the applicant asserted that
potential cases representing patients who have been diagnosed with CLL
who may be eligible for treatment using VENCLEXTA[supreg] would be
assigned to different MS-DRGs than cases representing patients who have
been diagnosed with AML. According to the applicant, potential cases
representing patients who have been diagnosed with CLL who may be
eligible for treatment using VENCLEXTA[supreg] would be assigned to the
following MS-DRGs: 808 (Major Hematological And Immunological Diagnoses
Except Sickle Cell Crisis And Coagulation Disorders With MCC), 809
(Major Hematological And Immunological Diagnoses Except Sickle Cell
Crisis And Coagulation Disorders With CC), 823 (Lymphoma And Non-Acute
Leukemia With Other Procedure With MCC), 824 (Lymphoma And Non-Acute
Leukemia With Other Procedure With CC), 825 (Lymphoma And Non-Acute
Leukemia With Other Procedure Without CC/MCC), 834 (Acute Leukemia
Without Major O.R. Procedure With MCC), 835 (Acute Leukemia Without
Major O.R. Procedure With CC), 836 (Acute Leukemia Without Major O.R.
Procedure Without CC/MCC), and 839
[[Page 19364]]
(Chemotherapy With Acute Leukemia As SDX Without CC/MCC). We believe
that potential cases representing patients who have been newly
diagnosed with AML, as well as potential cases representing patients
who have been diagnosed with CLL, could both be assigned to the
following 3 MS-DRGs: 820 (Lymphoma and Leukemia With Major O.R.
Procedure With MCC), 821 (Lymphoma and Leukemia With Major O.R.
Procedure With CC), and 822 (Lymphoma and Leukemia With Major O.R.
Procedure Without CC/MCC). We expect that cases involving treatment
with VENCLEXTA[supreg] would most likely be assigned to the same MS-
DRGs to which cases involving comparable treatments are assigned.
With respect to the third criterion, whether the new use of the
technology involves the treatment of the same or similar type of
disease and the same or similar patient population, the applicant
asserted that VENCLEXTA[supreg] does not involve the treatment of the
same or similar type of disease or same or similar patient population
because there are currently no curative treatment options available for
elderly patients who have been newly diagnosed with AML who are
ineligible for intensive chemotherapy.
The applicant further asserted that the disease and patient
population for which VENCLEXTA[supreg] provides treatment is unique.
There are no other FDA-approved therapies specific to this patient
population--newly diagnosed AML patients who are ineligible for
intensive chemotherapy--and currently these patients receive only
lower-intensity treatments without curative intent, but rather
treatment is focused on alleviating symptoms, prolonging life, and/or
improving quality of life.\390\ The applicant stated that where
patients on intensive chemotherapy have benefited from improvements in
overall survival over the past 50 years, ineligible patients have not;
and more effective, better-tolerated therapies for elderly patients who
have been diagnosed with AML are urgently needed.\391\ The applicant
further stated that this unmet medical need is one reason why
VENCLEXTA[supreg] received Breakthrough Therapy designation from the
FDA for this patient population.\392\
---------------------------------------------------------------------------
\390\ Wolters Kluwer Health, ``Acute myeloid leukemia: Treatment
and outcomes in older adults,'' https://www.uptodate.com/contents/acute-myeloid-leukemia-treatment-and-outcomes-in-older-adults,
Accessed September 11, 2018.
\391\ DiNardo, C.D., Pratz, K.W., Letai, A., et al., ``Safety
and preliminary efficacy of venetoclax with decitabine or
azacitidine in elderly patients with previously untreated acute
myeloid leukemia: a non-randomized, open-label, phase Ib study,''
The Lancet Oncology, 2018, vol. 19(2), pp. 216-28, doi:10.1016/
s1470-2045(18)30010-x.
\392\ Hoffjman-LaRoche, Ltd., F., ``FDA grants breakthrough
therapy designation for VENCLEXTA[supreg] in acute myeloid
Leukaemia,'' https://www.roche.com/dam/jcr:0cf1ad70-02c8-44b4-94ac-ccdf1dbca95a/en/inv-update-2017-07-28-e.pdf, Accessed October 9,
2018.
---------------------------------------------------------------------------
With respect to whether the technology involves the treatment of a
unique patient population, we note that as the applicant indicated,
there are lower-intensity chemotherapeutic regimens available as
standard-of-care therapies for patients who have been newly diagnosed
with AML who are ineligible for intensive chemotherapy. We are inviting
public comments on whether VENCLEXTA[supreg] is substantially similar
to any existing technology and whether it meets the newness criterion,
including with respect to the concerns we have raised.
With regard to the cost criterion, the applicant conducted the
following analysis. The applicant used the FY 2017 MedPAR Hospital
Limited Data Set (LDS) to assess the MS-DRGs to which cases
representing potential patient hospitalizations that may be eligible
for treatment involving VENCLEXTA[supreg] would most likely be
assigned. These potential cases representing patients who may be
VENCLEXTA[supreg] candidates were identified if these cases reported a
diagnosis of AML. The cohort was limited by excluding patients who were
discharged as not classified with one of the relevant ICD-10-CM codes.
From the resulting data, the applicant determined the most
applicable MS-DRGs to use in order to determine the average length-of-
stay by identifying the codes with at least 1 percent of total
discharge volume, which limited the selection to 16 codes. According to
the applicant, in an effort to limit impact from MS-DRGs with probable
low relevance and/or not usually representing solely AML inpatient
stays, a number of high-volume MS-DRGs were not included in the
calculation. These excluded codes included those representing high-dose
chemotherapy inpatient stays, sepsis cases, pneumonia inpatient stays,
and heart failure and circulation disorders. This left potential cases
represented in MS-DRGs 808, 809, 834, 835, 836, and 839 to determine
the average length-of-stay, which under this criterion resulted in 7.25
days.
The applicant noted that two limitations of this calculation method
are: (1) That the average length-of-stay may have changed since FY 2017
for the MS-DRGs selected; and (2) the approach of relevant case
identification may not adequately capture patients who are ineligible
for intensive chemotherapy.
The applicant provided additional analyses with the
VENCLEXTA[supreg] charges under six separate cost threshold scenarios.
According to the applicant, the cost criterion was satisfied in each of
these scenarios, with charges in excess of the average case-weighted
threshold amount. Scenario 1 captures discharges classified with one or
more of seven subtypes of patients who have been diagnosed with AML who
have not achieved remission or who have been diagnosed with AML in
relapse; a subgroup to capture patients who have not been responsive to
existing treatments. Scenario 2 captures discharges classified with one
or more of seven subtypes of patients who had been diagnosed with AML
who never have achieved remission; a population that will have a high
concentration of patients who have been newly diagnosed with AML.
Lastly, scenario 3 is a combination of all discharges that classified
patients who have been diagnosed with AML who have not relapsed.
While the VENCLEXTA[supreg] Breakthrough Therapy designation is for
use in elderly patients who have been newly diagnosed with AML, the
applicant determined it was necessary to produce separate cost
threshold calculations based on the three diagnosis code selections
pending the final VENCLEXTA[supreg] label. Scenarios 1 through 3 have
additional exclusions and inclusion codes that: (1) Add comorbidities
to patients between 65 years old and 74 years old; (2) remove affects
from related non-AML conditions; and (3) ensure that all discharges
were administered drugs. Scenarios 4, 5, and 6 use the same base ICD-
10-CM inclusion codes as scenarios 1, 2, and 3, respectively, however,
they do not use additional inclusion and exclusion codes, which makes
the cost threshold results representative of a broader patient
population. For each cost threshold scenario, the applicant also
applied a deduction of 50 percent of pharmacy charges to account for
the replacement of hospital expenditures when VENCLEXTA[supreg] is used
as first-line therapy.
The applicant produced cost threshold results for 6 scenarios, each
with 4 MS-DRGs, for a total of 24 cost threshold calculations. All four
MS-DRGs had identical volume percentages in each of the six scenarios.
The average dollar amount by which the average case-weighted
standardized charges per case exceeded the average case-weighted
threshold amount is
[[Page 19365]]
$17,612.75 for scenario 1, $15,730.27 for scenario 2, $15,566.70 for
scenario 3, $33,868.18 for scenario 4, $32,098.60 for scenario 5, and
$30,860.67 for scenario 6. The applicant asserted that considering only
the most applicable MS-DRGs, MS-DRG 834 and MS-DRG 835, the average
case-weighted threshold amounts were exceeded by a range of $16,169.02
at the lowest (scenario 2) and $50,185.99 at the highest (scenario 4)
and, therefore, the applicant believes VENCLEXTA[supreg] meets the cost
criterion.
Based on all of the analyses above, the applicant maintained that
VENCLEXTA[supreg] meets the cost criterion. We are inviting public
comments on whether VENCLEXTA[supreg] meets the cost criterion.
With regard to substantial clinical improvement, the applicant
asserted that VENCLEXTA[supreg], in combination with either azacitidine
or decitabine, and VENCLEXTA[supreg], in combination with low-dose
cytarabine, both constitute a substantial clinical improvement over
currently available treatments for patients who have been newly
diagnosed with AML who are ineligible for intensive chemotherapy. The
applicant submitted two main studies to support its assertion that the
technology represents a substantial clinical improvement over existing
technologies.
The first study submitted was M14-358, a Phase Ib, open-label,
multi-center, non-randomized study of the use of VENCLEXTA[supreg], in
combination with azacitidine or decitabine, in the treatment of
patients who have been newly diagnosed with AML who are not eligible
for standard induction therapy. Eligible patients were 60 years old and
older, had previously undiagnosed AML, had intermediate- or poor-risk
cytogenetics, and were not eligible for standard induction therapy.
Patients received VENCLEXTA[supreg] via a daily ramp-up to a final 400
mg once-daily dose. During the ramp-up, patients received tumor lysis
syndrome (TLS) prophylaxis and were hospitalized for monitoring.
Azacitidine at 75 mg/m2 was administered either intravenously or
subcutaneously on Days 1 through 7 of each 28-day cycle beginning on
Cycle 1 Day 1. Decitabine at 20 mg/m2 was administered intravenously on
Days 1 through 5 of each 28-day cycle beginning on Cycle 1 Day 1.
Patients continued to receive treatment cycles until disease
progression or unacceptable toxicity. Azacitidine dose reduction was
implemented in the clinical trial for management of hematologic
toxicity. Dose reductions for decitabine were not implemented in the
clinical trial.
The primary objective of the escalation stage of this trial was to
evaluate the safety and pharmacokinetics of orally-administered
VENCLEXTA[supreg], combined with decitabine or azacitidine, at standard
doses and schedules in patients who had been newly diagnosed with AML
who were 60 years old and older and who are not eligible for standard
induction therapy due to comorbidities. Secondary objectives for the
dose escalation included assessing the preliminary efficacy of the use
of VENCLEXTA[supreg] administered orally, in combination with either
decitabine or azacitidine, in this patient population. The primary
objectives of the expansion stage were to confirm the safety and to
assess efficacy including complete remission (CR) and complete
remission with incomplete blood count recovery (CRi) and determine
overall survival (OS) of the use of VENCLEXTA[supreg] combined with
decitabine or azacitidine in the treatment of patients who had been
newly diagnosed with AML. A secondary objective for the expansion was
to evaluate duration of response (DOR). Complete remission was defined
as absolute neutrophil count greater than 1,000/microliter, platelets
greater than 100,000/microliter, red blood cell transfusion
independence, and bone marrow with less than 5 percent blast, absence
of circulating blasts and blasts with Auer rods, and absence of
extramedullary disease. Complete remission with partial hematological
recovery (CRh) was defined as less than 5 percent of blasts in the bone
marrow, no evidence of disease, and partial recovery of peripheral
blood counts (platelets greater than 50,000/microliter and ANC greater
500/microliter).
The study arm with VENCLEXTA[supreg], in combination with
azacitadine, had 67 patients with a mean age of 76 years old (range 61
years old to 90 years old). Eighty-seven percent of this group was
white, 64 percent had an ECOG performance status of 0 to 1, and 34
percent had poor cytogenetic risk detected. The study arm with
VENCLEXTA[supreg], in combination with decitabine, had 13 patients with
a mean age of 75 years old (range 68 years old to 86 years old). Seven-
seven percent of this group was white, 92 percent had an ECOG
performance status of 0 to 1, and 62 percent had poor cytogenetic risk
detected.
For patients who received VENCLEXTA[supreg], in combination with
azacitadine, 37.5 percent (95 percent CI 26, 50) achieved CR and 24
percent (95 percent CI 14, 36) achieved CRh. Sixty-one percent of the
patients achieved CR or CRh. The median time to first CR or CRh was 1
month (range 0.7 months to 8.9 months), and median observed time in
remission for those patients who achieved CR was 5.5 months (range 0.4
months to 30 months) for this group. The median OS was 16.9 months, the
12-month OS estimate was 57 percent, and median duration of response
was 21.2 months. For patients who received VENCLEXTA[supreg], in
combination with decitabine, 54 percent (95 percent CI, 25 months to 81
months) achieved CR and 8 percent (95 percent CI, 0.2 months to 36
months) achieved CRh. Sixty-two percent of the patients achieved CR or
CRh. The median time to first CR or CRh was 1.9 months (range 0.8
months to 4.2 months), and median observed time in remission for those
who achieved CR was 4.7 months (range 1 month to 18 months) for this
group. The median OS was 16.2 months, the 12-month OS estimate was 61
percent, and median duration of response was 15 months. The study
enrolled 35 additional patients (age range 65 years old to 74 years
old) who did not have known comorbidities that precluded the use of
intensive induction chemotherapy and were treated with
VENCLEXTA[supreg], in combination with azacitidine (n=17) or decitabine
(n=18). For the additional patients treated with VENCLEXTA[supreg], in
combination with azacitidine, the CR rate was 35 percent (95 percent CI
14, 62). The CRh rate was 41 percent (95 percent CI 18, 67). For the
additional patients treated with VENCLEXTA[supreg], in combination with
decitabine, the CR rate was 56 percent (95 percent CI 31, 79). The CRh
rate was 22 percent (95 percent CI 6.4, 48).
In terms of safety, for patients receiving azacitadine, the most
common adverse reactions (greater than or equal to 30 percent) of any
grade were nausea, diarrhea, constipation, neutropenia,
thrombocytopenia, hemorrhage, peripheral edema, vomiting, fatigue,
febrile neutropenia, rash, and anemia. Serious adverse reactions were
reported in 75 percent of the patients. The most frequent serious
adverse reactions (greater than or equal to 5 percent) were febrile
neutropenia, pneumonia (excluding fungal), sepsis (excluding fungal),
respiratory failure, and multiple organ dysfunction syndrome. The
incidence of fatal adverse drug reactions was 1.5 percent within 30
days of starting treatment. No reaction had an incidence of greater
than or equal to 2 percent. Discontinuations due to adverse reactions
occurred in 21 percent of the patients. The most frequent adverse
reactions leading to drug
[[Page 19366]]
discontinuation (greater than or equal to 2 percent) were febrile
neutropenia and pneumonia (excluding fungal). Dosage interruptions due
to adverse reactions occurred in 61 percent of the patients. The most
frequent adverse reactions leading to dose interruption (greater than
or equal to 5 percent) were neutropenia, febrile neutropenia, and
pneumonia (excluding fungal). Dosage reductions due to adverse
reactions occurred in 12 percent of the patients. The most frequent
adverse reaction leading to dose reduction (greater than or equal to 5
percent) was neutropenia.
For patients receiving decitabine, the most common adverse
reactions (greater than or equal to 30 percent) of any grade were
febrile neutropenia, constipation, fatigue, thrombocytopenia, abdominal
pain, dizziness, hemorrhage, nausea, pneumonia (excluding fungal),
sepsis (excluding fungal), cough, diarrhea, neutropenia, back pain,
hypotension, myalgia, oropharyngeal pain, peripheral edema, pyrexia,
and rash. Serious adverse reactions were reported in 85 percent of the
patients. The most frequent serious adverse reactions (greater than or
equal to 5 percent) were febrile neutropenia, sepsis (excluding
fungal), pneumonia (excluding fungal), diarrhea, fatigue, cellulitis,
and localized infection. One (8 percent) fatal adverse drug reaction of
bacteremia occurred within 30 days of starting treatment.
Discontinuations due to adverse reactions occurred in 38 percent of the
patients. The most frequent adverse reaction leading to drug
discontinuation (greater than or equal to 5 percent) was pneumonia
(excluding fungal). Dosage interruptions due to adverse reactions
occurred in 62 percent of the patients. The most frequent adverse
reactions leading to dose interruption (greater than or equal to 5
percent) were febrile neutropenia, neutropenia, and pneumonia
(excluding fungal). Dosage reductions due to adverse reactions occurred
in 15 percent of the patients. The most frequent adverse reaction
leading to dose reduction (greater than or equal to 5 percent) was
neutropenia.
The second study submitted was M14-387, a non-randomized, open-
label Phase I/II study of the use of VENCLEXTA[supreg], in combination
with low-dose cytarabine, in patients who had been newly diagnosed with
AML who are ineligible for standard anthracycline-based induction
therapy. The study enrolled patients who were 60 years old and older
who had been diagnosed with AML and who were not eligible for standard
induction therapy.
Patients initiated use of VENCLEXTA[supreg] via daily ramp-up to a
final 600 mg once-daily dose. During the ramp-up, patients received TLS
prophylaxis and were hospitalized for monitoring. Cytarabine at a dose
of 20 mg/m2 was administered subcutaneously once-daily on Days 1
through 10 of each 28-day cycle beginning on Cycle 1 Day 1.
This study consisted of three distinct portions. The first portion
of the study was a Phase I, or dose-escalation portion, that evaluated
the safety and pharmacokinetics (PK) profile of VENCLEXTA[supreg]
administered with low-dose azacitidine with the objectives of defining
the maximum-tolerated dose (MTD) and generating data to support a
recommended Phase II dose (RPTD). A subsequent initial Phase II portion
evaluated whether the RPTD had sufficient efficacy and acceptable
toxicity to warrant further development of the combination therapy.
Subsequently, a Phase II, Cohort C was enrolled to evaluate the ORR for
patients who were allowed additional supportive medications (for
example, strong CYP3A inhibitors), if medically indicated, because new
PK data emerged from external studies demonstrating that these
previously excluded concomitant medications may be tolerable with an
appropriate VENCLEXTA[supreg] dose adjustment during co-administration.
The primary objectives of the Phase I portion were to assess the
safety profile, characterize the (PK), and determine the dose schedule,
the MTD, and the RPTD of the use of VENCLEXTA[supreg], in combination
with low-dose azacitidine or cytarabine in the treatment of patients
who had been newly diagnosed with AML who were 60 years old and older
and who were not eligible for standard induction therapy due to co-
morbidity or other factors. The primary objectives of the initial Phase
II portion of the study were to evaluate the preliminary estimates of
efficacy including the overall response rate (ORR) and to characterize
the toxicities of the combination at the RPTD. The primary objective of
Phase II, Cohort C was to evaluate the ORR for patients allowed
additional supportive medications (strong cytochrome P450 [CYP]3A
inhibitors), if medically indicated. The secondary objectives of the
initial Phase II portion and Phase II, Cohort C were to evaluate
leukemia response (rates of complete remission (CR)), complete
remission with incomplete blood count recovery (Cri), partial remission
(PR), and morphologically leukemia-free status (MLFS)), duration of
response (DOR), and OS. Patients continued to receive treatment cycles
until disease progression or unacceptable toxicity. Dose reduction for
low-dose cytarabine was not implemented in the clinical trial.
The study enrolled 61 patients with a median age of 76 years old
(range 63 years old to 90 years old), 92 percent of whom were white, 66
percent of whom had an ECOG performance status of 0 to 1, and 34
percent of whom had poor cytogenetic risk detected. Twenty-one percent
(95 percent CI 12, 34) achieved CR and 21 percent (95 percent CI 12,
34) achieved CRh. Overall 43 percent of the patients achieved CR or
CRh. The median OS was 10.1 months and median duration of response was
8.1 months. The study enrolled 21 additional patients (age ranged 67
years old to 74 years old) who did not have known comorbidities that
precluded the use of intensive induction chemotherapy and were treated
with VENCLEXTA[supreg], in combination with low-dose cytarabine. The CR
rate was 33 percent (95 percent CI: 15, 57). The CRh rate was 24
percent (95 percent CI: 8.2, 47).
In terms of safety, the most common adverse reactions (greater than
or equal to 30 percent) of any grade were nausea, thrombocytopenia,
hemorrhage, febrile neutropenia, neutropenia, diarrhea, fatigue,
constipation, and dyspnea. Serious adverse reactions were reported in
95 percent of the patients. The most frequent serious adverse reactions
(greater than or equal to 5 percent) were febrile neutropenia, sepsis
(excluding fungal), hemorrhage, pneumonia (excluding fungal), and
device-related infection. The incidence of fatal adverse drug reactions
was 4.9 percent within 30 days of starting treatment with no reaction
having an incidence of greater than or equal to 2 percent.
Discontinuations due to adverse reactions occurred in 33 percent of the
patients. The most frequent adverse reactions leading to drug
discontinuation (greater than or equal to 2 percent) were hemorrhage
and sepsis (excluding fungal). Dosage interruptions due to adverse
reactions occurred in 52 percent of the patients. The most frequent
adverse reactions leading to dose interruption (greater than or equal
to 5 percent) were thrombocytopenia, neutropenia, and febrile
neutropenia. Dosage reductions due to adverse reactions occurred in 8
percent of the patients. The most frequent adverse reaction leading to
dose reduction (greater than or equal to 2 percent) was
thrombocytopenia. On the basis of these studies, the applicant asserted
that median OS, 12-month OS, CR + CRi, and DOR for VENCLEXTA[supreg]
are all substantially higher than the outcomes
[[Page 19367]]
achieved by standard-of-care as reported by studies. The applicant
asserted that these improvements, especially the more than doubling of
the remission rates as compared to other available low-intensity
therapies (range reported as 0 to 28 percent), are substantial and
clinically meaningful.
In regard to the substantial clinical improvement criterion for
VENCLEXTA[supreg], we reviewed the data the applicant provided on
outcomes (for example, CR, CRh, CRi, DOR, and OS) using historical
controls of other chemotherapeutic regimens used for this target
patient population, and we note that the data is lacking information
with regard to a direct comparator. The studies did not detail the
demographics and outcomes for patients over the age of 75 versus
younger patients. We note that the applicant did not provide any
information on how many enrolled patients are from the United States.
We further note that fatal adverse drug reactions occurred in both
submitted studies in patients receiving treatment involving the use of
VENCLEXTA[supreg], and dosage interruptions due to adverse events
occurred in a significant proportion of the patients receiving the
drug. We also are concerned about the lack of conclusive data on the
efficacy of VENCLEXTA[supreg].
We are inviting public comments on whether VENCLEXTA[supreg] meets
the substantial clinical improvement criterion. We did not receive any
written public comments in response to the New Technology Town Hall
meeting notice published in the Federal Register regarding the
substantial clinical improvement criterion for VENCLEXTA[supreg] or at
the New Technology Town Hall meeting.
6. Request for Information on the New Technology Add-On Payment
Substantial Clinical Improvement Criterion
Under the Hospital Inpatient Prospective Payment System (IPPS), CMS
has established policies to provide additional payment for new medical
services and technologies. Similarly, under the Hospital Outpatient
Prospective Payment System (OPPS), CMS has established policies to
provide separate payment for innovative medical devices, drugs and
biologicals. Sections 1886(d)(5)(K) and (L) of the Act require the
Secretary to establish a mechanism to recognize the costs of new
medical services and technologies under the IPPS, and section
1833(t)(6) of the Act requires the Secretary to provide an additional
payment amount, known as a transitional pass-through payment, for the
additional costs of innovative medical devices, drugs, and biologicals
under the OPPS. The substantial clinical improvement criterion that is
used to evaluate a technology that is the subject of an application for
new technology add-on payments under the IPPS or an application for the
transitional pass-through payment for the additional costs of
innovative devices under the OPPS (both categories of technologies are
hereafter collectively referred to as ``new technology'') is the
subject of the potential revisions discussed in this section to the new
technology add-on payment policy's substantial clinical improvement
criteria.
Under the IPPS, the regulations at Sec. 412.87 implement these
provisions and specify three criteria for a new medical service or
technology to receive the additional payment: (1) The medical service
or technology must be new; (2) the medical service or technology must
be costly such that the DRG rate otherwise applicable to discharges
involving the medical service or technology is determined to be
inadequate; and (3) the service or technology must demonstrate a
substantial clinical improvement over existing services or
technologies. Under this third criterion, Sec. 412.87(b)(1) of our
existing regulations provides that a new technology is an appropriate
candidate for an additional payment when it represents an advance that
substantially improves, relative to technologies previously available,
the diagnosis or treatment of Medicare beneficiaries (we refer readers
to the September 7, 2001 final rule for a more detailed discussion of
this criterion (66 FR 46902)). For more background on add-on payments
for new medical services and technologies under the IPPS, we refer
readers to the FY 2009 IPPS/LTCH PPS final rule (73 FR 48552).
In the CY 2001 OPPS interim final rule with comment period (65 FR
67798), we implemented the transitional device pass-through payment
requirements in section 1833(t)(6) of the Act under our regulation at
42 CFR 419.66. Under Sec. 419.66(b), a medical device must meet the
following requirements to be eligible for transitional pass-through
payments: (1) If required by FDA, the device must have received FDA
premarket approval or clearance (except for a device that has received
an FDA investigational device exemption (IDE) and has been classified
as a Category B device by the FDA), or another appropriate FDA
exemption; and the pass-through payment application must be submitted
within 3 years from the date of the initial FDA approval or clearance,
if required, unless there is a documented, verifiable delay in U.S.
market availability after FDA approval or clearance is granted, in
which case CMS will consider the pass-through payment application if it
is submitted within 3 years from the date of market availability; (2)
the device is determined to be reasonable and necessary for the
diagnosis or treatment of an illness or injury or to improve the
functioning of a malformed body part, as required by section
1862(a)(1)(A) of the Act; and (3) the device is an integral part of the
service furnished, is used for one patient only, comes in contact with
human tissue, and is surgically implanted or inserted (either
permanently or temporarily), or applied in or on a wound or other skin
lesion. In addition, according to Sec. 419.66(b)(4), a device is not
eligible to be considered for device pass-through payment if it is any
of the following: (1) Equipment, an instrument, apparatus, implement,
or item of this type for which depreciation and financing expenses are
recovered as depreciation assets as defined in Chapter 1 of the
Medicare Provider Reimbursement Manual (CMS Pub. 15-1); or (2) a
material or supply furnished incident to a service (for example, a
suture, customized surgical kit, or clip, other than a radiological
site marker).
Finally, we use the following criteria, as set forth under Sec.
419.66(c), to determine whether a new category of pass-through payment
devices should be established. The devices to be included in the new
category must:
Not be appropriately described by an existing category or
by any category previously in effect established for transitional pass-
through payments, and were not being paid for as an outpatient service
as of December 31, 1996;
Have an average cost that is not ``insignificant''
relative to the payment amount for the procedure or service with which
the device is associated as determined under Sec. 419.66(d) by
demonstrating: (1) The estimated average reasonable costs of the
devices in the category exceeds 25 percent of the applicable APC
payment amount for the service related to the category of devices; (2)
the estimated average reasonable cost of the devices in the category
exceeds the cost of the device-related portion of the APC payment
amount for the related service by at least 25 percent; and (3) the
difference between the estimated average reasonable cost of the devices
in the category and the portion of the APC payment amount for the
device exceeds 10 percent of the APC payment amount for the related
service (with the exception of brachytherapy and temperature-monitored
cryoblation, which are exempt from the cost
[[Page 19368]]
requirements as specified at Sec. Sec. 419.66(c)(3) and (e)); and
Demonstrate a substantial clinical improvement, that is,
substantially improve the diagnosis or treatment of an illness or
injury or improve the functioning of a malformed body part compared to
the benefits of a device or devices in a previously established
category or other available treatment.
For more background on transitional pass-through payments for
devices under the OPPS, we refer readers to the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/HospitalOutpatientPPS/passthrough_payment.html.
CMS posts on its website the application forms (OMB control #:
0938-1347 for IPPS, and OMB control #: 0938-0857 for OPPS) that
applicants must use to apply for IPPS new technology add-on payments
at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/newtech.html and for OPPS transitional pass-through
payments for devices at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/HospitalOutpatientPPS/passthrough_payment.html). Each
application describes the information specifically requested from each
applicant, including what information is needed to support claims of
substantial clinical improvement. For example, CMS requests that the
applicant provide a summary of substantial clinical improvement
claim(s), along with the data supporting each claim. For IPPS new
technology add-on payments, in order to provide an opportunity for
public input prior to publication of each proposed rule, CMS publishes
a notice in the Federal Register to announce a town hall meeting at the
CMS Headquarters Office in Baltimore, MD, which provides an opportunity
for public discussion of the substantial clinical improvement criterion
for each IPPS application. This meeting can be attended in-person or
through a telephone line, and is also live-streamed on the CMS YouTube
web page. CMS considers each IPPS applicant's presentation made at the
town hall meeting, as well as written comments submitted on the
applications that were received by the applicable deadline, in our
evaluation of the new technology add-on payment applications in the
IPPS/LTCH PPS proposed rule. For both IPPS and OPPS applicants, CMS
summarizes each applicant's claim(s) of substantial clinical
improvement as part of its discussion of the entire application in the
relevant proposed rule, as well as any concerns regarding those claims.
In the relevant final rule for the IPPS, CMS summarizes and responds to
public comments received on the proposed rule and presents its decision
whether to approve or disapprove the application for additional payment
for the technology for the upcoming fiscal year. In the relevant final
rule for the OPPS, CMS similarly responds to public comments and
discusses its decision to approve or deny the application for separate
transitional pass-through payment for the device for the upcoming
calendar year.
A stakeholder comment received in response to the most recent New
Technology Town Hall meeting held in December 2018 expressed
appreciation for CMS' statements in the FY 2019 IPPS/LTCH PPS proposed
rule (83 FR 20278 through 20279) related to the relationship between
the data which satisfies FDA designations and the data which satisfies
the substantial clinical improvement criterion under the IPPS
regulations, and stated that the clarification would help future
applicants understand which types of data can serve as the foundation
for satisfying the substantial clinical improvement criterion.
Commenters also stated that CMS' statements presented in the FY 2019
IPPS/LTCH PPS proposed rule explaining that it accepts a wide range of
data, including peer-reviewed articles, study results, letters from
major associations, or other evidence that would support the conclusion
of substantial clinical improvement were appreciated. However, feedback
from applicants for new technology add-on payments and commenters in
prior years have indicated that it would be helpful for CMS to provide
greater guidance on what constitutes ``substantial clinical
improvement.'' We understand that greater clarity regarding what would
substantiate the requirements of this criterion would help the public,
including innovators, better understand how CMS evaluates new
technology applications for add-on payments and provide greater
predictability about which applications will meet the criterion for
substantial clinical improvement. We are considering potential
revisions to the substantial clinical improvement criteria under the
IPPS new technology add-on payment policy, and the OPPS transitional
pass-through payment policy for devices, and are seeking public
comments on the type of additional detail and guidance that the public
and applicants for new technology add-on payments would find useful.
This request for public comments is intended to be broad in scope and
provide a foundation for potential rulemaking in future years.
In addition to this broad request for public comments for potential
rulemaking in future years, as discussed in greater detail in section
II.H.7. of the preamble of this proposed rule, in order to respond to
stakeholder feedback requesting greater understanding of CMS' approach
to evaluating substantial clinical improvement, we are soliciting
comments from the public on specific changes or clarifications to the
IPPS and OPPS substantial clinical improvement criterion that CMS might
consider making in the FY 2020 IPPS/LTCH PPS final rule to provide
greater clarity and predictability.
In the applications for both the IPPS new technology add-on
payment, and for OPPS limited to the transitional pass-through payment
for devices, CMS lists the following criteria that it uses to determine
whether a new medical service or technology would represent a
substantial clinical improvement:
(1) The technology offers a treatment option for a patient
population unresponsive to, or ineligible for, currently available
treatments.
(2) The technology offers the ability to diagnose a medical
condition in a patient population where that medical condition is
currently undetectable or offers the ability to diagnose a medical
condition earlier in a patient population than allowed by currently
available methods. There must also be evidence that use of the device
to make a diagnosis affects the management of the patient.
(3) Use of the technology significantly improves clinical outcomes
for a patient population as compared to currently available treatments.
Some examples of outcomes that are frequently evaluated in studies of
technologies are the following:
Reduced mortality rate with use of the device;
Reduced rate of device-related complications;
Decreased rate of subsequent diagnostic or therapeutic
interventions (for example, due to reduced rate of recurrence of the
disease process);
Decreased number of future hospitalizations or physician
visits;
More rapid beneficial resolution of the disease process
treatment because of the use of the device;
Decreased pain, bleeding, or other quantifiable symptom;
and
Reduced recovery time.
CMS considers the totality of the substantial clinical improvement
claims and supporting data, as well as public
[[Page 19369]]
comments, when evaluating this aspect of each application.
We are requesting feedback on whether new or changed regulatory
provisions or new or changed guidance regarding additional aspects of
the substantial clinical improvement evaluation process in the
following areas would be helpful. Comments we receive in response to
the following general questions will inform future rulemaking after the
issuance of the final rule for FY 2020:
What role should substantial clinical improvement play in
our payment policies to ensure these policies do not discourage
appropriate utilization of new medical services and technologies?
How should CMS determine what existing technologies are
appropriate comparators to new technologies? How should CMS evaluate a
technology when its comparators have different measured clinical
outcomes?
Should CMS provide more specificity or greater clarity on
the types of evidence or study designs that may be considered by the
agency in evaluating substantial clinical improvement?
For example, what data should be used to demonstrate whether the
use of the technology substantially improves clinical outcomes for
patients relative to existing technologies? To what extent, if any,
should the data be focused on the Medicare population? What clinical
outcomes data and patient reported measures data should be assessed to
demonstrate substantial clinical improvement?
What particular types of study designs, types of inclusion and
exclusion criteria, or types of statistical methodologies, either
generally or in comparison to existing technologies, could a new
technology use to demonstrate that the technology meets the substantial
clinical improvement criterion?
Are there certain study designs that are technically or ethically
challenging for specific medical technologies and, if so, should that
be more explicitly reflected in the regulations?
Should potential limitations related to cross-trial comparisons
with any existing therapies be more explicitly reflected in the
regulations?
For non-inferiority studies, the goal of such studies is to show
that the difference between the new and active control treatment is
small--small enough to allow the known effectiveness of the active
control, based on its performance in past studies and the assumed
effectiveness of the active control in the current study, to support
the conclusion that the new technology is also effective. Are there
particular instances where non-inferiority studies should be considered
sufficient for an evaluation for substantial clinical improvement
because a non-inferiority study is the most appropriate study design
for a given technology?
Are there instances where it would be appropriate for CMS
to infer substantial clinical improvement (for example, technical or
financial challenges to study accrual)?
Should CMS consider evidence regarding the off-label use
of a new technology? If so, what is the appropriate use of that
evidence when evaluating a new technology for an FDA approved or
cleared indication? Are there other new technology add-on payment or
device pass-through payment changes that CMS should consider regarding
off-label use?
We note that, while additional specificity and guidance on
substantial clinical improvement may be helpful, this may also have the
unintended consequence of limiting future flexibility in the evaluation
of future applications, especially as new technologies are continually
emerging. How should CMS balance these considerations in the evaluation
of new technologies as it considers potential future steps? Towards
this end, would it be helpful to the goal of both predictability and
flexibility if the agency explained the types of information or
evidence that are not required for a finding of substantial clinical
improvement?
Currently, our regulations at Sec. 412.87 require that we
announce the results of the new technology add-on payment
determinations in the Federal Register as part of our annual updates
and changes to the IPPS. We also are seeking public comments on
revising this requirement to allow the new technology add-on payment
determinations, including but not limited to determinations of
substantial clinical improvement, to be announced annually in the
Federal Register separate from the annual updates and changes to the
IPPS.
7. Potential Revisions to the New Technology Add-On Payment and
Transitional Device Pass-Through Payment Substantial Clinical
Improvement Criterion for Applications Received Beginning in FY 2020
for IPPS and CY 2020 for OPPS
In addition to future possible rulemaking and further guidance
based on the responses to the general questions in the preceding
section, we also are considering adopting, in the FY 2020 IPPS/LTCH PPS
final rule, the following potential regulatory changes to the
substantial clinical improvement criteria for applications received
beginning in FY 2020 for IPPS (that is, for FY 2021 and subsequent new
technology add-on payment) and beginning in CY 2020 for OPPS, after
consideration of the public comments we receive in response to this
proposed rule. We also are seeking public comments on whether any or
all of these potential regulatory changes might be more appropriate as
changes in guidance rather than or in addition to changes to our
regulations.
Adopting a policy in regulation or sub-regulatory guidance
that explicitly specifies that the requirement for substantial clinical
improvement can be met if the applicant demonstrates that new
technology would be broadly adopted among applicable providers and
patients. A broad adoption criterion would reflect the choices of
patients and providers, and thus the marketplace, in determining
whether a technology represents a substantial clinical improvement.
This patient-centered approach would acknowledge that patients and
providers can together determine the potential for substantial clinical
improvement on an individual basis. As part of the policy being
considered, we would add a provision at Sec. 412.87(b)(1) and Sec.
419.66(c)(2) stating that ``substantially improves'' means, inter alia,
broad adoption by applicable providers and patients. We are seeking
public comments on whether, if such a provision is finalized, it should
specify that a ``majority'' is the appropriate way to further define
and specify ``broad adoption'', or if some other measure of ``broad''
(for example, more than the current standard-of-care, more than a
particular percentage) is more appropriate. Furthermore, we are seeking
public comments on whether to further specify that ``broad adoption''
is in the context of applicable providers and patients for the
technology, and does not mean broadly adopted across the entire IPPS or
OPPS. We are interested in whether commenters have particular
suggestions regarding how, in implementing such a provision, CMS could
provide other helpful regulatory clarification or sub-regulatory
guidance regarding how ``broad adoption'' could be measured and
demonstrated prospectively as a basis for substantial clinical
improvement. If adopted, such a policy would establish, by regulation,
predictability and clarity regarding the meaning and application of
substantial clinical improvement by providing a specific and clear path
to one way
[[Page 19370]]
substantial clinical improvement can be established.
Adopting in regulations or through sub-regulatory guidance
a definition that the term ``substantially improves'' means, inter
alia, that the new technology has demonstrated positive clinical
outcomes that are different from existing technologies. As part of the
policy being considered, we would specify that the term ``improves''
can always be met by comparison to existing technology. Then, we would
further specify that such improvement may always be demonstrated by
reference and comparison to diagnosis or treatment achieved by existing
technology. This would provide a standard for innovators that is
predictable and based on comparison to outcomes from existing
technologies, and would reflect that an evaluation of ``improvement''
involves a comparison relative to existing technology. If adopted, such
a policy, would establish, by regulation or through sub-regulatory
guidance, predictability and clarity regarding the meaning and
application of substantial clinical improvement by clarifying how
existing and new technologies are compared.
Adopting a policy in regulation or through sub-regulatory
guidance that specifies that ``substantially improves'' can be met
through real-world data and evidence, including a non-exhaustive list
of such data and evidence, but that such evidence is not a requirement.
Real-world evidence reflects usage in everyday settings outside of a
clinical trial, which is the majority of care delivered in the United
States. For example, between 3 percent and 5 percent of patients with
cancer are enrolled in a clinical trial.\393\
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\393\ https://ascopubs.org/doi/full/10.1200/jop.0922001.
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As part of the policy being considered, the regulation or sub-
regulatory guidance would list the kinds of data and evidence and
particular findings that CMS would consider in determining whether the
technology meets the substantial clinical improvement criterion and
that such kinds of data can be sufficient to meet that standard. Then,
we would provide a non-exhaustive list of such kinds of data and
findings, including: a decreased mortality rate; a reduction in length
of stay; a reduced recovery time; a reduced rate of at least one
significant complication; a decreased rate of at least one subsequent
diagnostic or therapeutic intervention; a reduction in at least one
clinically significant adverse event; a decreased number of future
hospitalizations or physician visits; a more rapid beneficial
resolution of the disease process treatment; an improvement in one or
more activities of daily living; or, an improved quality of life.
Outcomes relating to quality of life, length of stay, and activities of
daily living may reflect meaningful endpoints not often captured by
clinical trials or other pivotal trials designed primarily for
regulatory purposes. We are seeking public comments on whether we
should adopt such a policy and list, and if so, what the list should
contain. We also are seeking comments on whether, as a general matter,
data exists on patients' experience with new medical devices outside of
the clinician's office, on the effects of a treatment on patients'
activities of daily living, or on any of the other areas listed above.
These comments would at least inform our adoption of a policy in
regulations or sub-regulatory guidance. If adopted, such a policy,
would establish, by regulation or guidance, predictability and clarity
regarding the meaning and application of substantial clinical
improvement by providing a specific and clear path to one way
substantial clinical improvement can be established.
To address the impression that a peer-reviewed journal
article is required for the agency to find that a new technology meets
the requirement for substantial clinical improvement, explicitly
adopting a policy in regulations or sub-regulatory guidance that the
relevant information for purposes of a finding of substantial clinical
improvement may not require a peer-reviewed journal article. We
recognize the value of both academic and other traditional and non-
traditional emerging sources of information in determining substantial
clinical improvement. We are seeking public comments on whether, in
addition to making clear that a peer-reviewed journal article is not
required, types of relevant information that could be helpful should be
specified in such a regulation or guidance to include but not be
limited to other particular formats or sources of information, such as
consensus statements, white papers, patient surveys, editorials and
letters to the editor, systematic reviews, meta-analyses, inferences
from other literature or evidence, and case studies, reports or series,
in addition to randomized clinical trials, study results, or letters
from major associations, whether published or not. If adopted, such a
policy, would establish, by regulation or guidance, predictability and
clarity that the agency is open, in every case, to all types of
information in considering whether a new technology meets the
substantial clinical improvement criterion, consistent with our current
practice of not requiring any particular type of information.
Adopting a policy in regulations or sub-regulatory
guidance that, if there is a demonstrated substantial clinical
improvement based on the use of a new medical service or technology for
any subset of beneficiaries, the substantial clinical improvement
criterion may be met regardless of the size of that subset patient
population. Substantial clinical improvement may be confounded by
comorbidities, patient factors, or other concomitant therapies which
are not readily controlled in research studies. This potential change
recognizes that subset populations may have unique needs. As part of
the policy being considered, we would include a statement in regulation
or guidance that a technology may meet the ``substantial clinical
improvement'' criterion by demonstrating a substantial improvement for
any subset of beneficiaries regardless of size. This potential change
would reflect that many medical technologies are designed for limited
subset populations. Many personalized and precision medicine approaches
aspire for ``n=1 therapy.''
We are seeking public comments on whether, in adopting such a
policy, we should also specify that the add-on payment would be limited
to use in that subset of patient population. If not, why not? For
example, if a new technology that treats cancer only demonstrates
substantial clinical improvement for a select subset of patients with
that diagnosis, should the additional inpatient payments for use of the
new technology be limited to only when that new technology is used in
the treatment of that select subset of Medicare beneficiaries, and, if
so, how could that subset of patient population be defined in advance,
and in what circumstances should there be an exception to any such
limitation? If such a policy were adopted, how could it be constructed
or written to not create new limitations or obstacles to innovation
that are not present in our regulations today?
We also are seeking public comments as to whether there are special
approaches that CMS should adopt in regulations or through sub-
regulatory guidance for new technologies that treat low-prevalence
medical conditions in which substantial clinical improvement may be
more challenging to evaluate. Specifically, we are seeking comment on
how to categorize and specify these conditions, including how to define
``low-prevalence'', whether CMS should adopt any of the potential
changes
[[Page 19371]]
under consideration in this section which are not adopted more broadly,
or any special approaches suggested by commenters. The goal is to
establish, by regulation or guidance, predictability and clarity that
the substantial clinical improvement criterion can be met, either in
all cases or for cases involving low-prevalence medical conditions,
regardless of the size of the patient population which would benefit.
Adopting a policy in regulations or sub-regulatory
guidance that specifically addresses that the substantial clinical
improvement criterion can be met without regard to the FDA pathway for
the technology. As part of the policy being considered, we would
clarify in regulation that the notion of ``improvement'' includes
situations where there is an extant technology such as a predicate
device for 510(k) purposes, and explicitly state that the agency will
not require a device to be approved or cleared through a basis other
than a 510(k) clearance in order for the device to be considered a
substantial clinical improvement. If adopted, the policy described
here, would establish, by regulation or guidance, predictability and
clarity by clarifying that the substantial clinical improvement
criterion can be met without regard to the FDA pathway for the
technology, consistent with our current practice.
We are soliciting comments on the potential revisions and
regulatory or sub-regulatory changes described above, and also welcome
suggestions on other information that would help us clarify and/or
modify in the FY 2020 IPPS/LTCH PPS final rule or through sub-
regulatory guidance CMS' expectations regarding substantial clinical
improvement for payments for new technologies.
8. Proposed Alternative Inpatient New Technology Add-On Payment Pathway
for Transformative New Devices
Under section 1886(d)(5)(K)(vi) of the Act, a medical service or
technology will be considered a ``new medical service or technology''
if the service or technology meets criteria established by the
Secretary after notice and an opportunity for public comment. For a
more complete discussion of the establishment of the current criteria
for the new technology add-on payment, we refer readers to the
September 7, 2001 final rule (66 FR 46913), where we finalized the
``substantial improvement'' criterion to limit new technology add-on
payments under the IPPS to those technologies that afford clear
improvements over the use of previously available technologies.
Specifically, we stated that we would evaluate a request for new
technology add-on payments against the following criteria to determine
if the new medical service or technology would represent a substantial
clinical improvement over existing technologies:
The device offers a treatment option for a patient
population unresponsive to, or ineligible for, currently available
treatments.
The device offers the ability to diagnose a medical
condition in a patient population where that medical condition is
currently undetectable or offers the ability to diagnose a medical
condition earlier in a patient population than allowed by currently
available methods. There must also be evidence that use of the device
to make a diagnosis affects the management of the patient.
Use of the device significantly improves clinical outcomes
for a patient population as compared to currently available treatments.
We also noted examples of outcomes that are frequently evaluated in
studies of medical devices.
In the September 7, 2001 final rule (66 FR 46913), we stated that
we believed the special payments for new technology should be limited
to those new technologies that have been demonstrated to represent a
substantial improvement in caring for Medicare beneficiaries, such that
there is a clear advantage to creating a payment incentive for
physicians and hospitals to utilize the new technology. We also stated
that where such an improvement is not demonstrated, we continued to
believe the incentives of the DRG system would provide a useful balance
to the introduction of new technologies. In that regard, we also
pointed out that various new technologies introduced over the years
have been demonstrated to have been less effective than initially
thought, or in some cases even potentially harmful. We stated that we
believe that it is in the best interest of Medicare beneficiaries to
proceed very carefully with respect to the incentives created to
quickly adopt new technology.
Since 2001 when we first established the substantial clinical
improvement criterion, the FDA programs for helping to expedite the
development and review of transformative new technologies that are
intended to treat serious conditions and address unmet medical needs
(referred to as FDA's expedited programs) have continued to evolve in
tandem with advances in medical innovations and technology. We note
that at the time of the development of the September 7, 2001 final
rule, devices were the predominant new technology entering the market
and, therefore, the substantial clinical improvement criterion was
developed with innovative new devices as a focus. At the time, the FDA
had three expedited programs (Priority Review, Accelerated Approval,
and Fast Track) for drugs and biologicals and no expedited programs for
devices. Now, as described in FDA guidance (available on the website
at: https://www.fda.gov/downloads/Drugs/Guidances/UCM358301.pdf and
https://www.fda.gov/downloads/MedicalDevices/DeviceRegulationandGuidance/GuidanceDocuments/UCM581664.pdf), there are
four expedited FDA programs for drugs (the three expedited FDA programs
named above and a fourth, Breakthrough Therapy, which was established
in 2012) and one expedited FDA program for devices, the Breakthrough
Devices Program. The 21st Century Cures Act (Cures Act) (Pub. L. 144-
255) established the Breakthrough Devices Program to expedite the
development of, and provide for priority review of, medical devices and
device-led combination products that provide for more effective
treatment or diagnosis of life-threatening or irreversibly debilitating
diseases or conditions and which meet one of the following four
criteria: that represent breakthrough technologies; for which no
approved or cleared alternatives exist; that offer significant
advantages over existing approved or cleared alternatives, including
the potential, compared to existing approved alternatives, to reduce or
eliminate the need for hospitalization, improve patient quality of
life, facilitate patients' ability to manage their own care (such as
through self-directed personal assistance), or establish long-term
clinical efficiencies; or the availability of which is in the best
interest of patients.
Some stakeholders over the years have requested that new
technologies that receive marketing authorization and are part of an
FDA expedited program be deemed as representing a substantial clinical
improvement for purposes of the inpatient new technology add-on
payments, even in the initial rulemaking on this issue. We understand
this request would arguably create administrative efficiency because
they currently view the two sets of criteria as the same, overlapping,
similar, or otherwise duplicative or unnecessary. As discussed in the
September 7, 2001 final rule in which we initially adopted the
requirement that a new technology must represent a substantial clinical
improvement, we proposed to consult a
[[Page 19372]]
Federal panel of experts in evaluating new technology under the
``substantial improvement'' criterion. One commenter believed the panel
would be unnecessary and that CMS should automatically deem drugs and
biologicals approved by FDA that were included in its expedited
programs (which the commenter referred to as ``fast track'' processes)
as new technology (66 FR 46914). We stated in response that the panel
would consider all relevant information (including FDA expedited
program approval) in making its determinations. However, we stated that
we did not envision an automatic approval process.
Since 2001, we have continued to receive similar comments. More
recently, in response to the FY 2019 New Technology Town Hall meeting
notice (83 FR 50379) and the meeting, a commenter stated that the Food
and Drug Administration Modernization Act of 1997 authorized a category
of medical devices that are eligible for FDA Priority Review
designation (83 FR 20278). The commenter explained that, to qualify,
products must be designated by the FDA as offering the potential for
significant improvements in the diagnosis or treatment of the most
serious illnesses, including those that are life-threatening or
irreversibly debilitating. The commenter indicated that the processes
by which products meeting the statutory standard for priority review
are considered by the FDA are specified in greater detail in FDA's
Expedited Access Pathway Program, and in the 21st Century Cures Act.
The commenter believed that the criteria for FDA Priority Review
designation of devices are very similar to the substantial clinical
improvement criteria and, therefore, devices used in the inpatient
setting determined to be eligible for expedited review and approved by
the FDA should automatically be considered as meeting the substantial
clinical improvement criterion, without further consideration by CMS.
The Administration is committed to addressing barriers to
healthcare innovation and ensuring Medicare beneficiaries have access
to critical and life-saving new cures and technologies that improve
beneficiary health outcomes. As detailed in the President's FY 2020
Budget, HHS is pursuing several policies that will instill greater
transparency and consistency around how Medicare covers and pays for
innovative technology.
Therefore, given the FDA programs for helping to expedite the
development and review of transformative new drugs and devices that
meet expedited program criteria (that is, new drugs and devices that
treat serious or life-threatening diseases or conditions for which
there is an unmet medical need), we considered whether it would also be
appropriate to similarly facilitate access to these transformative new
technologies for Medicare beneficiaries taking into consideration that
marketing authorization (that is, Premarket Approval (PMA); 510(k)
clearance; the granting of a De Novo classification request; or
approval of a New Drug Application (NDA)) for a product that is the
subject of one of FDA's expedited programs could lead to situations
where the evidence base for demonstrating substantial clinical
improvement in accordance with CMS' current standard has not fully
developed at the time of FDA marketing authorization (that is, PMA;
510(k) clearance; the granting of a De Novo classification request; or
approval of a NDA) (as applicable). We also considered whether FDA
marketing authorization of a product that is part of an FDA expedited
program is evidence that the product is sufficiently different from
existing products for purposes of newness.
After consideration of these issues, and consistent with the
Administration's commitment to addressing barriers to healthcare
innovation and ensuring Medicare beneficiaries have access to critical
and life-saving new cures and technologies that improve beneficiary
health outcomes, we concluded that it would be appropriate to develop
an alternative pathway for transformative medical devices. In
situations where a new medical device is part of the Breakthrough
Devices Program and has received FDA marketing authorization (that is,
the device has received PMA; 510(k) clearance; or the granting of a De
Novo classification request), we are proposing an alternative inpatient
new technology add-on payment pathway to facilitate access to this
technology for Medicare beneficiaries.
Specifically, we are proposing that, for applications received for
new technology add-on payments for FY 2021 and subsequent fiscal years,
if a medical device is part of the FDA's Breakthrough Devices Program
and received FDA marketing authorization, it would be considered new
and not substantially similar to an existing technology for purposes of
the new technology add-on payment under the IPPS. In light of the
criteria applied under the FDA's Breakthrough Device Program, and
because the technology may not have a sufficient evidence base to
demonstrate substantial clinical improvement at the time of FDA
marketing authorization, we also are proposing that the medical device
would not need to meet the requirement under Sec. 412.87(b)(1) that it
represent an advance that substantially improves, relative to
technologies previously available, the diagnosis or treatment of
Medicare beneficiaries. We are proposing to add a new paragraph (c)
under Sec. 412.87 to codify this proposed policy; existing paragraph
(c) would be redesignated as paragraph (d) and amendments would be made
to proposed redesignated paragraph (d) to reflect this proposed
alternative pathway and to make clear that a new medical device may
only be approved under Sec. 412.87(b) or proposed new Sec. 412.87(c).
Under this proposed alternative pathway, a medical device that has
received FDA marketing authorization (that is, has been approved or
cleared by, or had a De Novo classification request granted by, the
FDA) and that is part of the FDA's Breakthrough Devices Program would
need to meet the cost criterion under Sec. 412.87(b)(3), as reflected
in proposed new Sec. 412.87(c)(3), and would be considered new as
reflected in proposed Sec. 412.87(c)(2).
Given the lack of an evidence base to demonstrate substantial
clinical improvement at the time of FDA marketing authorization, we are
soliciting public comment on how CMS should weigh the benefits of this
proposed alternative pathway to facilitate beneficiary access to
transformative new medical devices, including the benefits of
mitigating potential delayed access to innovation and adoption, against
any potential risks, such as the risk of adverse events or negative
outcomes that might come to light later.
We further note that section 1886(d)(5)(K)(ii)(II) of the Act
provides for the collection of data with respect to the costs of a new
medical service or technology described in subclause (I) for a period
of not less than 2 years and not more than 3 years beginning on the
date on which an inpatient hospital code is issued with respect to the
service or technology. We also are seeking public comments on whether
the newness period under the proposed alternative new technology add-on
payment pathway for transformative new medical devices should be
limited to a period of time sufficient for the evidence base for the
new transformative medical device to develop to the point where a
substantial clinical improvement determination can be made (for
example, 1 to 2 years after approval, depending on whether the
transformative new medical device would be eligible for a third year of
new
[[Page 19373]]
technology add-on payments). We note that, if we were to adopt such a
policy in the future, the proposed amended regulation text would be
revised accordingly. We further note that the newness period for a
transformative new medical device cannot exceed 3 years, regardless of
whether it is approved under the current eligibility criteria, the
proposed alternative pathway, or potentially first under the proposed
alternative pathway, and subsequently under the current eligibility
criteria later in its newness period.
As stated above, for the reasons discussed in section I.O. of
Appendix A to this proposed rule, we are not proposing an alternative
inpatient new technology add-on payment pathway for drugs at this time.
9. Proposed Change to the Calculation of the Inpatient New Technology
Add-On Payment
As noted earlier, section 1886(d)(5)(K)(ii)(I) of the Act specifies
that a new medical service or technology may be considered for a new
technology add-on payment if, based on the estimated costs incurred
with respect to discharges involving such service or technology, the
DRG prospective payment rate otherwise applicable to such discharges
under this subsection is inadequate. As discussed in the September 7,
2001 final rule, in deciding which treatment is most appropriate for
any particular patient, it is expected that physicians would balance
the clinical needs of patients with the efficacy and costliness of
particular treatments. In the May 4, 2001 proposed rule (66 FR 22695),
we stated that we believed it is appropriate to limit the additional
payment to 50 percent of the additional cost of the new technology to
appropriately balance the incentives. We stated that this proposed
limit would provide hospitals an incentive for continued cost-effective
behavior in relation to the overall costs of the case. In addition, we
stated that we believed hospitals would face an incentive to balance
the desirability of using the new technology versus the old; otherwise,
there would be a large and perhaps inappropriate incentive to use the
new technology.
As such, the current calculation of the new technology add-on
payment is based on the cost to hospitals for the new medical service
or technology. Specifically, under Sec. 412.88, if the costs of the
discharge (determined by applying CCRs as described in Sec. 412.84(h))
exceed the full DRG payment (including payments for IME and DSH, but
excluding outlier payments), Medicare will make an add-on payment equal
to the lesser of: (1) 50 percent of the costs of the new medical
service or technology; or (2) 50 percent of the amount by which the
costs of the case exceed the standard DRG payment. Unless the discharge
qualifies for an outlier payment, the additional Medicare payment is
limited to the full MS-DRG payment plus 50 percent of the estimated
costs of the new technology or medical service.
Since the 50-percent limit to the new technology add-on payment was
first established, we have received feedback from stakeholders that our
current policy does not adequately reflect the costs of new technology
and does not sufficiently support healthcare innovations. For example,
stakeholders have stated that a maximum add-on payment of 50 percent
does not allow for accurate payment of a new technology with an
unprecedented high cost, such as the CAR T-cell technologies
KYMRIAH[supreg] and YESCARTA[supreg] (83 FR 41173).
After consideration of the concerns raised by commenters and other
stakeholders, and consistent with the Administration's commitment to
addressing barriers to healthcare innovation and ensuring Medicare
beneficiaries have access to critical and life-saving new cures and
technologies that improve beneficiary health outcomes, we agree that
there may be merit to the recommendations to increase the maximum add-
on amount, and that capping the add-on payment amount at 50 percent
could in some cases no longer provide a sufficient incentive for the
use of a new technology. Costs of new medical technologies have
increased over the years to the point where 50 percent of the estimated
cost may not be adequate, and we have received feedback that hospitals
may potentially choose not to provide certain technologies for that
reason alone.
At the same time, we continue to believe that it is important to
preserve the incentives inherent under an average-based prospective
payment system through the use of a percentage of the estimated costs
of a new technology or service. We stated in the September 7, 2001
final rule (66 FR 46919) that we do not believe it is appropriate to
pay an add-on amount equal to 100 percent of the costs of new
technology because there is no similar methodology to reduce payments
for cost-saving technology. For example, as new technologies permit the
development of less-invasive surgical procedures, the total costs per
case may begin to decline as patients recover and leave the hospital
sooner. Finally, we stated our concern that, because these payments are
linked to charges submitted by hospitals, there is the potential that
hospitals may adapt their charge structure to maximize payments for
DRGs that include eligible new technologies. The higher the marginal
cost factor, the greater the incentive hospitals face in this regard.
It is challenging to determine empirically a precise payment
percentage between the current 50 percent and 100 percent payment that
would be the most appropriate. We believe that 65 percent is an
incremental increase that would reasonably balance the need to maintain
the incentives inherent to the prospective payment system while also
encouraging the development and use of new technologies.
Therefore, we are proposing that, beginning with discharges on or
after October 1, 2019, if the costs of a discharge involving a new
technology (determined by applying CCRs as described in Sec.
412.84(h)) exceed the full DRG payment (including payments for IME and
DSH, but excluding outlier payments), Medicare will make an add-on
payment equal to the lesser of: (1) 65 percent of the costs of the new
medical service or technology; or (2) 65 percent of the amount by which
the costs of the case exceed the standard DRG payment. Unless the
discharge qualifies for an outlier payment, the additional Medicare
payment would be limited to the full MS-DRG payment plus 65 percent of
the estimated costs of the new technology or medical service. We also
are proposing to revise paragraphs (a)(2) and (b) under Sec. 412.88 to
reflect these proposed changes to the calculation of the new technology
add-on payment amount beginning in FY 2020.
III. Proposed Changes to the Hospital Wage Index for Acute Care
Hospitals
A. Background
1. Legislative Authority
Section 1886(d)(3)(E) of the Act requires that, as part of the
methodology for determining prospective payments to hospitals, the
Secretary adjust the standardized amounts for area differences in
hospital wage levels by a factor (established by the Secretary)
reflecting the relative hospital wage level in the geographic area of
the hospital compared to the national average hospital wage level. We
currently define hospital labor market areas based on the delineations
of statistical areas established by the Office of Management and Budget
(OMB). A
[[Page 19374]]
discussion of the proposed FY 2020 hospital wage index based on the
statistical areas appears under section III.A.2. of the preamble of
this proposed rule.
Section 1886(d)(3)(E) of the Act requires the Secretary to update
the wage index annually and to base the update on a survey of wages and
wage-related costs of short-term, acute care hospitals. (CMS collects
these data on the Medicare cost report, CMS Form 2552-10, Worksheet S-
3, Parts II, III, and IV. The OMB control number for approved
collection of this information is 0938-0050.) This provision also
requires that any updates or adjustments to the wage index be made in a
manner that ensures that aggregate payments to hospitals are not
affected by the change in the wage index. The proposed adjustment for
FY 2020 is discussed in section II.B. of the Addendum to this proposed
rule.
As discussed in section III.I. of the preamble of this proposed
rule, we also take into account the geographic reclassification of
hospitals in accordance with sections 1886(d)(8)(B) and 1886(d)(10) of
the Act when calculating IPPS payment amounts. Under section
1886(d)(8)(D) of the Act, the Secretary is required to adjust the
standardized amounts so as to ensure that aggregate payments under the
IPPS after implementation of the provisions of sections 1886(d)(8)(B),
1886(d)(8)(C), and 1886(d)(10) of the Act are equal to the aggregate
prospective payments that would have been made absent these provisions.
The proposed budget neutrality adjustment for FY 2020 is discussed in
section II.A.4.b. of the Addendum to this proposed rule.
Section 1886(d)(3)(E) of the Act also provides for the collection
of data every 3 years on the occupational mix of employees for short-
term, acute care hospitals participating in the Medicare program, in
order to construct an occupational mix adjustment to the wage index. A
discussion of the occupational mix adjustment that we are proposing to
apply to the FY 2020 wage index appears under sections III.E.3. and F.
of the preamble of this proposed rule.
2. Core-Based Statistical Areas (CBSAs) for the Proposed FY 2020
Hospital Wage Index
The wage index is calculated and assigned to hospitals on the basis
of the labor market area in which the hospital is located. Under
section 1886(d)(3)(E) of the Act, beginning with FY 2005, we delineate
hospital labor market areas based on OMB-established Core-Based
Statistical Areas (CBSAs). The current statistical areas (which were
implemented beginning with FY 2015) are based on revised OMB
delineations issued on February 28, 2013, in OMB Bulletin No. 13-01.
OMB Bulletin No. 13-01 established revised delineations for
Metropolitan Statistical Areas, Micropolitan Statistical Areas, and
Combined Statistical Areas in the United States and Puerto Rico based
on the 2010 Census, and provided guidance on the use of the
delineations of these statistical areas using standards published on
June 28, 2010 in the Federal Register (75 FR 37246 through 37252). We
refer readers to the FY 2015 IPPS/LTCH PPS final rule (79 FR 49951
through 49963) for a full discussion of our implementation of the OMB
labor market area delineations beginning with the FY 2015 wage index.
Generally, OMB issues major revisions to statistical areas every 10
years, based on the results of the decennial census. However, OMB
occasionally issues minor updates and revisions to statistical areas in
the years between the decennial censuses through OMB Bulletins. On July
15, 2015, OMB issued OMB Bulletin No. 15-01, which provided updates to
and superseded OMB Bulletin No. 13-01 that was issued on February 28,
2013. The attachment to OMB Bulletin No. 15-01 provided detailed
information on the update to statistical areas since February 28, 2013.
The updates provided in OMB Bulletin No. 15-01 were based on the
application of the 2010 Standards for Delineating Metropolitan and
Micropolitan Statistical Areas to Census Bureau population estimates
for July 1, 2012 and July 1, 2013. In the FY 2017 IPPS/LTCH PPS final
rule (81 FR 56913), we adopted the updates set forth in OMB Bulletin
No. 15-01 effective October 1, 2016, beginning with the FY 2017 wage
index. For a complete discussion of the adoption of the updates set
forth in OMB Bulletin No. 15-01, we refer readers to the FY 2017 IPPS/
LTCH PPS final rule. In the FY 2018 IPPS/LTCH PPS final rule (82 FR
38130), we continued to use the OMB delineations that were adopted
beginning with FY 2015 to calculate the area wage indexes, with updates
as reflected in OMB Bulletin No. 15-01 specified in the FY 2017 IPPS/
LTCH PPS final rule.
On August 15, 2017, OMB issued OMB Bulletin No. 17-01, which
provided updates to and superseded OMB Bulletin No. 15-01 that was
issued on July 15, 2015. The attachments to OMB Bulletin No. 17-01
provide detailed information on the update to statistical areas since
July 15, 2015, and are based on the application of the 2010 Standards
for Delineating Metropolitan and Micropolitan Statistical Areas to
Census Bureau population estimates for July 1, 2014 and July 1, 2015.
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41362 through 41363), we
adopted the updates set forth in OMB Bulletin No. 17-01 effective
October 1, 2018, beginning with the FY 2019 wage index. For a complete
discussion of the adoption of the updates set forth in OMB Bulletin No.
17-01, we refer readers to the FY 2019 IPPS/LTCH PPS final rule.
For FY 2020, we are continuing to use the OMB delineations that
were adopted beginning with FY 2015 (based on the revised delineations
issued in OMB Bulletin No. 13-01) to calculate the area wage indexes,
with updates as reflected in OMB Bulletin Nos. 15-01 and 17-01.
3. Codes for Constituent Counties in CBSAs
CBSAs are made up of one or more constituent counties. Each CBSA
and constituent county has its own unique identifying codes. There are
two different lists of codes associated with counties: Social Security
Administration (SSA) codes and Federal Information Processing Standard
(FIPS) codes. Historically, CMS has listed and used SSA and FIPS county
codes to identify and crosswalk counties to CBSA codes for purposes of
the hospital wage index. As we discussed in the FY 2018 IPPS/LTCH PPS
final rule (82 FR 38129 through 38130), we have learned that SSA county
codes are no longer being maintained and updated. However, the FIPS
codes continue to be maintained by the U.S. Census Bureau. We believe
that using the latest FIPS codes will allow us to maintain a more
accurate and up-to-date payment system that reflects the reality of
population shifts and labor market conditions.
The Census Bureau's most current statistical area information is
derived from ongoing census data received since 2010; the most recent
data are from 2015. The Census Bureau maintains a complete list of
changes to counties or county equivalent entities on the website at:
https://www.census.gov/geo/reference/county-changes.html. We believe
that it is important to use the latest counties or county equivalent
entities in order to properly crosswalk hospitals from a county to a
CBSA for purposes of the hospital wage index used under the IPPS.
In the FY 2018 IPPS/LTCH PPS final rule (82 FR 38129 through
38130), we adopted a policy to discontinue the use of the SSA county
codes and began using only the FIPS county codes for purposes of
crosswalking counties to
[[Page 19375]]
CBSAs. In addition, in the same rule, we implemented the latest FIPS
code updates which were effective October 1, 2017, beginning with the
FY 2018 wage indexes. These updates have been used to calculate the
wage indexes in a manner generally consistent with the CBSA-based
methodologies finalized in the FY 2005 IPPS final rule and the FY 2015
IPPS/LTCH PPS final rule.
For FY 2020, we are continuing to use only the FIPS county codes
for purposes of crosswalking counties to CBSAs. For FY 2020, Tables 2
and 3 associated with this proposed rule and the County to CBSA
Crosswalk File and Urban CBSAs and Constituent Counties for Acute Care
Hospitals File posted on the CMS website reflect these county changes.
B. Worksheet S-3 Wage Data for the Proposed FY 2020 Wage Index
The proposed FY 2020 wage index values are based on the data
collected from the Medicare cost reports submitted by hospitals for
cost reporting periods beginning in FY 2016 (the FY 2019 wage indexes
were based on data from cost reporting periods beginning during FY
2015).
1. Included Categories of Costs
The proposed FY 2020 wage index includes all of the following
categories of data associated with costs paid under the IPPS (as well
as outpatient costs):
Salaries and hours from short-term, acute care hospitals
(including paid lunch hours and hours associated with military leave
and jury duty);
Home office costs and hours;
Certain contract labor costs and hours, which include
direct patient care, certain top management, pharmacy, laboratory, and
nonteaching physician Part A services, and certain contract indirect
patient care services (as discussed in the FY 2008 final rule with
comment period (72 FR 47315 through 47317)); and
Wage-related costs, including pension costs (based on
policies adopted in the FY 2012 IPPS/LTCH PPS final rule (76 FR 51586
through 51590)) and other deferred compensation costs.
2. Excluded Categories of Costs
Consistent with the wage index methodology for FY 2019, the
proposed wage index for FY 2020 also excludes the direct and overhead
salaries and hours for services not subject to IPPS payment, such as
skilled nursing facility (SNF) services, home health services, costs
related to GME (teaching physicians and residents) and certified
registered nurse anesthetists (CRNAs), and other subprovider components
that are not paid under the IPPS. The proposed FY 2020 wage index also
excludes the salaries, hours, and wage-related costs of hospital-based
rural health clinics (RHCs), and Federally qualified health centers
(FQHCs) because Medicare pays for these costs outside of the IPPS (68
FR 45395). In addition, salaries, hours, and wage-related costs of CAHs
are excluded from the wage index for the reasons explained in the FY
2004 IPPS final rule (68 FR 45397 through 45398). For FY 2020 and
subsequent years, other wage-related costs are also excluded from the
calculation of the wage index. As discussed in the FY 2019 IPPS/LTCH
final rule (83 FR 41365 through 41369), other wage-related costs
reported on Worksheet S-3, Part II, Line 18 and Worksheet S-3, Part IV,
Line 25 and subscripts, as well as all other wage-related costs, such
as contract labor costs, are excluded from the calculation of the wage
index.
3. Use of Wage Index Data by Suppliers and Providers Other Than Acute
Care Hospitals Under the IPPS
Data collected for the IPPS wage index also are currently used to
calculate wage indexes applicable to suppliers and other providers,
such as SNFs, home health agencies (HHAs), ambulatory surgical centers
(ASCs), and hospices. In addition, they are used for prospective
payments to IRFs, IPFs, and LTCHs, and for hospital outpatient
services. We note that, in the IPPS rules, we do not address comments
pertaining to the wage indexes of any supplier or provider except IPPS
providers and LTCHs. Such comments should be made in response to
separate proposed rules for those suppliers and providers.
C. Verification of Worksheet S-3 Wage Data
The wage data for the proposed FY 2020 wage index were obtained
from Worksheet S-3, Parts II and III of the Medicare cost report (Form
CMS-2552-10, OMB Control Number 0938-0050) for cost reporting periods
beginning on or after October 1, 2015, and before October 1, 2016. For
wage index purposes, we refer to cost reports during this period as the
``FY 2016 cost report,'' the ``FY 2016 wage data,'' or the ``FY 2016
data.'' Instructions for completing the wage index sections of
Worksheet S-3 are included in the Provider Reimbursement Manual (PRM),
Part 2 (Pub. 15-2), Chapter 40, Sections 4005.2 through 4005.4. The
data file used to construct the proposed FY 2020 wage index includes FY
2016 data submitted to us as of February 7, 2019. As in past years, we
performed an extensive review of the wage data, mostly through the use
of edits designed to identify aberrant data.
We asked our MACs to revise or verify data elements that result in
specific edit failures. For the proposed FY 2020 wage index, we
identified and excluded 81 providers with aberrant data that should not
be included in the wage index, although if data elements for some of
these providers are corrected, we intend to include data from those
providers in the final FY 2020 wage index. We also adjusted certain
aberrant data and included these data in the proposed wage index. For
example, in situations where a hospital did not have documentable
salaries, wages, and hours for housekeeping and dietary services, we
imputed estimates, in accordance with policies established in the FY
2015 IPPS/LTCH PPS final rule (79 FR 49965 through 49967). We
instructed MACs to complete their data verification of questionable
data elements and to transmit any changes to the wage data no later
than March 22, 2019. In addition, as a result of the April and May
appeals processes, and posting of the April 30, 2019 PUF, we may make
additional revisions to the FY 2020 wage data, as described further
below. The revised data would be reflected in the FY 2020 IPPS/LTCH PPS
final rule.
Among the hospitals we identified and excluded with aberrant data
that should not be included in the proposed FY 2020 wage index are
eight hospitals that are part of a health care delivery system that is
unique in several ways. The vast majority of the system's hospitals
(38) are located in a single State, with one union representing most of
their hospital employees in the ``northern'' region of the State, while
another union represents most of their hospital employees in the
``southern'' region of the State. The salaries negotiated do not
reflect competitive local labor market salaries; rather, the salaries
reflect negotiated salary rates for the ``northern'' and ``southern''
regions of the State respectively. For example, all medical assistants
in the ``northern'' region start at $24.31 per hour, and medical
assistants in the ``southern'' region start at $20.36 per hour. Thus,
all salaries for similar positions and levels of experience in the
northern region, for example, are the same regardless of prevailing
labor market conditions in the area in which the hospital is located.
In addition, this chain is part of a managed care organization and an
integrated delivery system wherein the hospitals rely on the system's
health care plans for funding. For the FY 2020 proposed wage index
calculation, we have identified and excluded eight of the hospitals
that are part of this health
[[Page 19376]]
care system. The average hourly wages of these eight hospitals differ
most from their respective CBSA average hourly wages, and there is a
large gap between the average hourly wage of each of the eight
hospitals and the next closest average hourly wage in their respective
CBSAs. We do not believe that the average hourly wages of these eight
hospitals accurately reflect the economic conditions in their
respective labor market areas during the FY 2016 cost reporting period.
Therefore, we believe the inclusion of the wage data for these eight
hospitals in the proposed wage index would not ensure that the FY 2020
wage index represents the relative hospital wage level in the
geographic area of the hospital as compared to the national average of
wages. Rather, the inclusion of these data would distort the comparison
of the average hourly wage of each of these hospitals' labor market
areas to the national average hourly wage. We believe that under
section 1886(d)(3)(E) of the Act, which requires the Secretary to
establish an adjustment factor (the wage index) reflecting the relative
hospital wage level in the geographic area of a hospital compared to
the national average hospital wage level, we have the discretion to
remove hospital data from the wage index that is not reflective of the
relative hospital wage level in the hospitals' geographic area. In
previous rulemaking (80 FR 49491), we explained that we remove
hospitals from the wage index because their average hourly wages are
either extraordinarily high or extraordinarily low compared to their
labor market areas, even though their data were properly documented.
For this reason, we have removed the data of other hospitals in the
past; for example, data from government-owned hospitals and hospitals
providing unique or niche services which affect their average hourly
wages. We note that we are considering removing all of the hospitals in
this health care system from the FY 2021 and subsequent wage index
calculations, not because they are failing edits due to inaccuracy, but
because of the uniqueness of this chain of hospitals, in particular,
the fact that the salaries of their employees are not based on local
labor market rates.
In constructing the proposed FY 2020 wage index, we included the
wage data for facilities that were IPPS hospitals in FY 2016, inclusive
of those facilities that have since terminated their participation in
the program as hospitals, as long as those data did not fail any of our
edits for reasonableness. We believe that including the wage data for
these hospitals is, in general, appropriate to reflect the economic
conditions in the various labor market areas during the relevant past
period and to ensure that the current wage index represents the labor
market area's current wages as compared to the national average of
wages. However, we excluded the wage data for CAHs as discussed in the
FY 2004 IPPS final rule (68 FR 45397 through 45398); that is, any
hospital that is designated as a CAH by 7 days prior to the publication
of the preliminary wage index public use file (PUF) is excluded from
the calculation of the wage index. For this proposed rule, we removed 4
hospitals that converted to CAH status on or after January 26, 2018,
the cut-off date for CAH exclusion from the FY 2019 wage index, and
through and including January 24, 2019, the cut-off date for CAH
exclusion from the FY 2020 wage index. After excluding CAHs and
hospitals with aberrant data, we calculated the proposed wage index
using the Worksheet S-3, Parts II and III wage data of 3,221 hospitals.
For the proposed FY 2020 wage index, we allotted the wages and
hours data for a multicampus hospital among the different labor market
areas where its campuses are located in the same manner that we
allotted such hospitals' data in the FY 2019 wage index (83 FR 41364
through 41365); that is, using campus full-time equivalent (FTE)
percentages as originally finalized in the FY 2012 IPPS/LTCH PPS final
rule (76 FR 51591). Table 2, which contains the proposed FY 2020 wage
index associated with this proposed rule (available via the internet on
the CMS website), includes separate wage data for the campuses of 17
multicampus hospitals. The following chart lists the multicampus
hospitals by CSA certification number (CCN) and the FTE percentages on
which the wages and hours of each campus were allotted to their
respective labor market areas:
------------------------------------------------------------------------
Full-time
equivalent
CCN of multicampus hospital (FTE)
percentages
------------------------------------------------------------------------
050121.................................................. 0.83
05B121.................................................. 0.17
070033.................................................. 0.92
07B033.................................................. 0.08
100029.................................................. 0.54
10B029.................................................. 0.46
100167.................................................. 0.39
10B167.................................................. 0.61
140010.................................................. 0.83
14B010.................................................. 0.17
220074.................................................. 0.86
22B074.................................................. 0.14
330195.................................................. 0.90
33B195.................................................. 0.10
330234.................................................. 0.73
33B234.................................................. 0.27
340115.................................................. 0.96
34B115.................................................. 0.04
360020.................................................. 0.99
36B020.................................................. 0.01
370041.................................................. 0.89
37B041.................................................. 0.11
390006.................................................. 0.94
39B006.................................................. 0.06
390115.................................................. 0.86
39B115.................................................. 0.14
390142.................................................. 0.83
39B142.................................................. 0.17
460051.................................................. 0.82
46B051.................................................. 0.18
510022.................................................. 0.95
51B022.................................................. 0.05
670062.................................................. 0.55
67B062.................................................. 0.45
------------------------------------------------------------------------
We note that, in past years, in Table 2, we have placed a ``B'' to
designate the subordinate campus in the fourth position of the hospital
CCN. However, for the FY 2019 IPPS/LTCH PPS proposed and final rules
and subsequent rules, we have moved the ``B'' to the third position of
the CCN. Because all IPPS hospitals have a ``0'' in the third position
of the CCN, we believe that placement of the ``B'' in this third
position, instead of the ``0'' for the subordinate campus, is the most
efficient method of identification and interferes the least with the
other, variable, digits in the CCN.
D. Method for Computing the Proposed FY 2020 Unadjusted Wage Index
In the FY 2019 IPPS/LTCH PPS proposed rule (83 FR 41365), we
indicated we were committed to transforming the health care delivery
system, including the Medicare program, by putting an additional focus
on patient-centered care and working with providers, physicians, and
patients to improve outcomes. One key to that transformation is
ensuring that the Medicare payment rates are as accurate and
appropriate as possible, consistent with the law. We invited the public
to submit comments, suggestions, and recommendations for regulatory and
policy changes to address wage index disparities. Our proposals for FY
2020 to address wage index disparities, particularly for rural
hospitals, to the extent permitted under current law, are discussed in
section III.N. of the preamble to this proposed rule. We continue to
believe that broader statutory wage index reform is needed.
[[Page 19377]]
1. Proposed Methodology for FY 2020
The method used to compute the proposed FY 2020 wage index without
an occupational mix adjustment follows the same methodology that we
used to compute the proposed wage indexes without an occupational mix
adjustment since FY 2012 (76 FR 51591 through 51593), except as
discussed below. Typically, we do not restate all of the steps of the
methodology to compute the wage indexes in each proposed and final
rulemaking; instead, we refer readers to the FY 2012 IPPS/LTCH PPS
final rule. However, below in this FY 2020 IPPS/LTCH PPS proposed rule,
we are (1) restating the steps of the methodology in order to update
outdated references to certain cost report lines which were then
reflected on Medicare CMS Form 2552-96 but are now reflected on
Medicare CMS Form 2552-10; (2) proposing to change the calculation of
the Overhead Rate in Step 4; (3) proposing to modify our methodology
with regard to how dollar amounts, hours, and other numerical values in
the wage index calculation are rounded; and (4) proposing a methodology
for calculating the wage index for urban areas without wage data. We
are otherwise not proposing to make any other policy changes in this
section to the methodology set forth in the FY 2012 IPPS/LTCH PPS
proposed rule (76 FR 51591 through 51593) for computing the proposed
wage index without an occupational mix adjustment. Unless otherwise
specified, all cost report line references below refer to CMS Form
2552-10.
Step 1.--We gathered data from each of the non-Federal, short-term,
acute care hospitals for which data were reported on the Worksheet S-3,
Parts II and III of the Medicare cost report for the hospital's cost
reporting period relevant to the proposed wage index (in this case, for
FY 2020, these would be data from cost reports for cost reporting
periods beginning on or after October 1, 2015, and before October 1,
2016). In addition, we include data from some hospitals that had cost
reporting periods beginning before October 2015 and reported a cost
reporting period covering all of FY 2016. These data are included
because no other data from these hospitals would be available for the
cost reporting period described above, and because particular labor
market areas might be affected due to the omission of these hospitals.
However, we generally describe these wage data as FY 2016 data. We note
that, if a hospital had more than one cost reporting period beginning
during FY 2016 (for example, a hospital had two short cost reporting
periods beginning on or after October 1, 2015, and before October 1,
2016), we include wage data from only one of the cost reporting
periods, the longer, in the wage index calculation. If there was more
than one cost reporting period and the periods were equal in length, we
included the wage data from the later period in the wage index
calculation.
Step 2.--Salaries.--The method used to compute a hospital's average
hourly wage excludes certain costs that are not paid under the IPPS.
(We note that, beginning with FY 2008 (72 FR 47315), we included what
were then Lines 22.01, 26.01, and 27.01 of Worksheet S-3, Part II of
CMS Form 2552-96 for overhead services in the wage index. Currently,
these lines are lines 28, 33, and 35 on CMS Form 2552-10. However, we
note that the wages and hours on these lines are not incorporated into
Line 101, Column 1 of Worksheet A, which, through the electronic cost
reporting software, flows directly to Line 1 of Worksheet S-3, Part II.
Therefore, the first step in the wage index calculation is to compute a
``revised'' Line 1, by adding to the Line 1 on Worksheet S-3, Part II
(for wages and hours respectively) the amounts on Lines 28, 33, and
35.) In calculating a hospital's Net Salaries (we note that we
previously used the term ``average'' salaries in the FY 2012 IPPS/LTCH
PPS final rule (76 FR 51592), but we now use the term ``net'' salaries)
plus wage-related costs, we first compute the following: Subtract from
Line 1 (total salaries) the GME and CRNA costs reported on CMS Form
2552-10, Lines 2, 4.01, 7, and 7.01, the Part B salaries reported on
Lines 3, 5 and 6, home office salaries reported on Line 8, and exclude
salaries reported on Lines 9 and 10 (that is, direct salaries
attributable to SNF services, home health services, and other
subprovider components not subject to the IPPS). We also subtract from
Line 1 the salaries for which no hours were reported. Therefore, the
formula for Net Salaries (from Worksheet S-3, Part II) is the
following:
((Line 1 + Line 28 + Line 33 + Line 35) - (Line 2 + Line 3 + Line 4.01
+ Line 5 + Line 6 + Line 7 + Line 7.01 + Line 8 + Line 9 + Line 10))
To determine Total Salaries plus Wage-Related Costs, we add to the
Net Salaries the costs of contract labor for direct patient care,
certain top management, pharmacy, laboratory, and nonteaching physician
Part A services (Lines 11, 12 and 13), home office salaries and wage-
related costs reported by the hospital on Lines 14.01, 14.02, and 15,
and nonexcluded area wage-related costs (Lines 17, 22, 25.50, 25.51,
and 25.52). We note that contract labor and home office salaries for
which no corresponding hours are reported are not included. In
addition, wage-related costs for nonteaching physician Part A employees
(Line 22) are excluded if no corresponding salaries are reported for
those employees on Line 4.
The formula for Total Salaries plus Wage-Related Costs (from
Worksheet S-3, Part II) is the following: ((Line 1 + Line 28 + Line 33
+ Line 35) - (Line 2 + Line 3 + Line 4.01 + Line 5 + Line 6 + Line 7 +
Line 7.01 + Line 8 + Line 9 + Line 10)) + (Line 11 + Line 12 + Line 13
+ Line 14.01 + 14.02 + Line 15) + (Line 17 + Line 22 + 25.50 + 25.51 +
25.52)
Step 3.--Hours.--With the exception of wage-related costs, for
which there are no associated hours, we compute total hours using the
same methods as described for salaries in Step 2.
The formula for Total Hours (from Worksheet S-3, Part II) is the
following: ((Line 1 + Line 28 + Line 33 + Line 35) - (Line 2 + Line 3 +
Line 4.01 + Line 5 + Line 6 + Line 7 + Line 7.01 + Line 8 + Line 9 +
Line 10)) + (Line 11 + Line 12 + Line 13 + Line 14.01 + 14.02 + Line
15).
Step 4.--For each hospital reporting both total overhead salaries
and total overhead hours greater than zero, we then allocate overhead
costs to areas of the hospital excluded from the wage index
calculation. First, we determine the ``excluded rate'', which is the
ratio of excluded area hours to Revised Total Hours (from Worksheet S-
3, Part II) with the following formula: (Line 9 + Line 10)/(Line 1 +
Line 28 + Line 33 + Line 35) - (Lines 2, 3, 4.01, 5, 6, 7, 7.01, and 8
and Lines 26 through 43).
We then compute the amounts of overhead salaries and hours to be
allocated to excluded areas by multiplying the above ratio by the total
overhead salaries and hours reported on Lines 26 through 43 of
Worksheet S-3, Part II. Next, we compute the amounts of overhead wage-
related costs to be allocated to excluded areas using three steps:
(1) We determine the ``overhead rate'' (from Worksheet S-3, Part
II), which is the ratio of overhead hours (Lines 26 through 43 minus
the sum of Lines 28, 33, and 35) to revised hours excluding the sum of
lines 28, 33, and 35 (Line 1 minus the sum of Lines 2, 3, 4.01, 5, 6,
7, 7.01, 8, 9, 10, 28, 33, and 35). We note that, for the FY 2008 and
subsequent wage index calculations, we have been excluding the overhead
contract labor (Lines 28, 33, and 35) from the determination of the
ratio of overhead hours to revised hours because hospitals
[[Page 19378]]
typically do not provide fringe benefits (wage-related costs) to
contract personnel. Therefore, it is not necessary for the wage index
calculation to exclude overhead wage-related costs for contract
personnel. Further, if a hospital does contribute to wage-related costs
for contracted personnel, the instructions for Lines 28, 33, and 35
require that associated wage-related costs be combined with wages on
the respective contract labor lines.
The formula for the Overhead Rate (from Worksheet S-3, Part II) has
been the following: (Lines 26 through 43-Lines 28, 33 and 35)/((((Line
1 + Lines 28, 33, 35) - (Lines 2, 3, 4.01, 5, 6, 7, 7.01, 8, 26 through
43)) - (Lines 9, 10, 28, 33, and 35)) + (Lines 26 through 43 - Lines
28, 33, and 35)).
We note that, for the calculation for FY 2020 and subsequent fiscal
years, we are reexamining this step above regarding removal of the sum
of overhead contract labor hours on Lines 28, 33, and 35. In the
denominator of this calculation of the overhead rate, we have been
subtracting out the sum of the overhead contract labor hours from
Revised Total Hours. However, this requires modification because
Revised Total Hours do not include these overhead contract labor hours.
We are proposing to modify this step of the calculation of the overhead
rate as follows:
The formula for the Overhead Rate (from Worksheet S-3, Part II)
would be the following: (Lines 26 through 43-Lines 28, 33 and 35)/
((((Line 1 + Lines 28, 33, 35) - (Lines 2, 3, 4.01, 5, 6, 7, 7.01, 8,
and 26 through 43)) - (Lines 9 and 10)) + (Lines 26 through 43 - Lines
28, 33, and 35)).
(2) We compute overhead wage-related costs by multiplying the
overhead hours ratio by wage-related costs reported on Part II, Lines
17, 22, 25.50, 25.51, and 25.52.
(3) We multiply the computed overhead wage-related costs by the
above excluded area hours ratio.
Finally, we subtract the computed overhead salaries, wage-related
costs, and hours associated with excluded areas from the total salaries
(plus wage-related costs) and hours derived in Steps 2 and 3.
Step 5.--For each hospital, we adjust the total salaries plus wage-
related costs to a common period to determine total adjusted salaries
plus wage-related costs. To make the wage adjustment, we estimate the
percentage change in the employment cost index (ECI) for compensation
for each 30-day increment from October 14, 2015 through April 15, 2017,
for private industry hospital workers from the BLS' Compensation and
Working Conditions. We use the ECI because it reflects the price
increase associated with total compensation (salaries plus fringes)
rather than just the increase in salaries. In addition, the ECI
includes managers as well as other hospital workers. This methodology
to compute the monthly update factors uses actual quarterly ECI data
and assures that the update factors match the actual quarterly and
annual percent changes. We also note that, since April 2006 with the
publication of March 2006 data, the BLS' ECI uses a different
classification system, the North American Industrial Classification
System (NAICS), instead of the Standard Industrial Codes (SICs), which
no longer exist. We have consistently used the ECI as the data source
for our wages and salaries and other price proxies in the IPPS market
basket, and we are not proposing to make any changes to the usage for
FY 2020. The factors used to adjust the hospital's data were based on
the midpoint of the cost reporting period, as indicated below.
Step 6.--Each hospital is assigned to its appropriate urban or
rural labor market area before any reclassifications under section
1886(d)(8)(B), section 1886(d)(8)(E), or section 1886(d)(10) of the
Act. Within each urban or rural labor market area, we add the total
adjusted salaries plus wage-related costs obtained in Step 5 for all
hospitals in that area to determine the total adjusted salaries plus
wage-related costs for the labor market area.
Step 7.--We divide the total adjusted salaries plus wage-related
costs obtained under Step 6 by the sum of the corresponding total hours
(from Step 4) for all hospitals in each labor market area to determine
an average hourly wage for the area.
Step 8.--We add the total adjusted salaries plus wage-related costs
obtained in Step 5 for all hospitals in the Nation and then divide the
sum by the national sum of total hours from Step 4 to arrive at a
national average hourly wage.
Step 9.--For each urban or rural labor market area, we calculate
the hospital wage index value, unadjusted for occupational mix, by
dividing the area average hourly wage obtained in Step 7 by the
national average hourly wage computed in Step 8.
Step 10.--For each urban labor market area for which we do not have
any hospital wage data (either because there are no IPPS hospitals in
that labor market area, or there are IPPS hospitals in that area but
their data are either too new to be reflected in the current year's
wage index calculation, or their data are aberrant and are deleted from
the wage index), we are proposing that, for FY 2020 and subsequent
years' wage index calculations, such CBSA's wage index would be equal
to total urban salaries plus wage-related costs (from Step 5) in the
State, divided by the total urban hours (from Step 4) in the State,
divided by the national average hourly wage from Step 8. We believe
that, in the absence of wage data for an urban labor market area, it is
reasonable to propose to use a statewide urban average, which is based
on actual, acceptable wage data of hospitals in that State, rather than
impute some other type of value using a different methodology.
For calculation of the proposed FY 2020 wage index, we note there
are 2 urban CBSAs for which we do not have IPPS hospital wage data. In
Table 3 associated with this proposed rule (which is available via the
internet on the CMS website) which contains the area wage indexes, we
are including a footnote to indicate to which CBSAs this proposed
policy would apply. We are proposing that these CBSAs' wage indexes
would be equal to total urban salaries plus wage-related costs (from
Step 5) in the respective State, divided by the total urban hours (from
Step 4) in the respective State, divided by the national average hourly
wage (from Step 8). Under this step, we also are proposing to apply our
proposed policy with regard to how dollar amounts, hours, and other
numerical values in the wage index calculations are rounded.
We refer readers to section II. of the Appendix of this proposed
rule for the policy regarding rural areas that do not have IPPS
hospitals.
Step 11.--Section 4410 of Public Law 105-33 provides that, for
discharges on or after October 1, 1997, the area wage index applicable
to any hospital that is located in an urban area of a State may not be
less than the area wage index applicable to hospitals located in rural
areas in that State. The areas affected by this provision are
identified in Table 2 which is listed in section VI. of the Addendum to
this proposed rule and available via the internet on the CMS website.
As we noted previously in this section, we are proposing to modify
our methodology with regard to how dollar amounts, hours, and other
numerical values in the unadjusted and adjusted wage index calculation
are rounded, in order to help ensure consistency in the calculation.
For example, we have received questions from stakeholders who use data
printed in our proposed and final rules and online in our public use
files (PUFs) to calculate the wage indexes, and it has come to our
attention that, due in part to occasional inconsistencies in rounding
of data,
[[Page 19379]]
CMS' calculations and stakeholders' calculations may not match.
Therefore, to help ensure consistency in the calculation, we are
proposing to modify how the wage data numbers are rounded, as follows.
For data that we consider to be ``raw data,'' such as the cost report
data on Worksheets S-3, Parts II and III, and the occupational mix
survey data, we are proposing to use such data ``as is,'' and not round
any of the individual line items or fields. However, for any dollar
amounts within the wage index calculations, including any type of
summed wage amount, average hourly wages, and the national average
hourly wage (both the unadjusted and adjusted for occupational mix), we
are proposing to round the dollar amounts to 2 decimals. For any hour
amounts within the wage index calculations, we are proposing to round
such hour amounts to the nearest whole number. For any numbers not
expressed as dollars or hours within the wage index calculations, which
could include ratios, percentages, or inflation factors, we are
proposing to round such numbers to 5 decimals. However, we are
proposing to continue rounding the actual unadjusted and adjusted wage
indexes to 4 decimals, as we have done historically.
As discussed in the FY 2012 IPPS/LTCH PPS final rule, in ``Step
5,'' for each hospital, we adjust the total salaries plus wage-related
costs to a common period to determine total adjusted salaries plus
wage-related costs. To make the wage adjustment, we estimate the
percentage change in the employment cost index (ECI) for compensation
for each 30-day increment from October 14, 2015, through April 15,
2017, for private industry hospital workers from the BLS' Compensation
and Working Conditions. We have consistently used the ECI as the data
source for our wages and salaries and other price proxies in the IPPS
market basket, and we are not proposing any changes to the usage of the
ECI for FY 2020. The factors used to adjust the hospital's data were
based on the midpoint of the cost reporting period, as indicated in the
following table.
Midpoint of Cost Reporting Period
------------------------------------------------------------------------
Adjustment
After Before factor
------------------------------------------------------------------------
10/14/2015.................................... 11/15/2015 1.03058
11/14/2015.................................... 12/15/2015 1.02885
12/14/2015.................................... 01/15/2016 1.02708
01/14/2016.................................... 02/15/2016 1.02532
02/14/2016.................................... 03/15/2016 1.02357
03/14/2016.................................... 04/15/2016 1.02177
04/14/2016.................................... 05/15/2016 1.01988
05/14/2016.................................... 06/15/2016 1.01790
06/14/2016.................................... 07/15/2016 1.01585
07/14/2016.................................... 08/15/2016 1.01375
08/14/2016.................................... 09/15/2016 1.01162
09/14/2016.................................... 10/15/2016 1.00952
10/14/2016.................................... 11/15/2016 1.00751
11/14/2016.................................... 12/15/2016 1.00560
12/14/2016.................................... 01/15/2017 1.00374
01/14/2017.................................... 02/15/2017 1.00187
02/14/2017.................................... 03/15/2017 1.00000
03/14/2017.................................... 04/15/2017 0.99818
------------------------------------------------------------------------
For example, the midpoint of a cost reporting period beginning
January 1, 2016, and ending December 31, 2016, is June 30, 2016. An
adjustment factor of 1.01585 was applied to the wages of a hospital
with such a cost reporting period.
Previously, we also would provide a Puerto Rico overall average
hourly wage. As discussed in the FY 2017 IPPS/LTCH PPS final rule (81
FR 56915), prior to January 1, 2016, Puerto Rico hospitals were paid
based on 75 percent of the national standardized amount and 25 percent
of the Puerto Rico-specific standardized amount. As a result, we
calculated a Puerto Rico-specific wage index that was applied to the
labor-related share of the Puerto Rico-specific standardized amount.
Section 601 of the Consolidated Appropriations Act, 2016 (Pub. L. 114-
113) amended section 1886(d)(9)(E) of the Act to specify that the
payment calculation with respect to operating costs of inpatient
hospital services of a subsection (d) Puerto Rico hospital for
inpatient hospital discharges on or after January 1, 2016, shall use
100 percent of the national standardized amount. As we stated in the FY
2017 IPPS/LTCH PPS final rule (81 FR 56915 through 56916), because
Puerto Rico hospitals are no longer paid with a Puerto Rico-specific
standardized amount as of January 1, 2016, under section 1886(d)(9)(E)
of the Act, as amended by section 601 of the Consolidated
Appropriations Act, 2016, there is no longer a need to calculate a
Puerto Rico-specific average hourly wage and wage index. Hospitals in
Puerto Rico are now paid 100 percent of the national standardized
amount and, therefore, are subject to the national average hourly wage
(unadjusted for occupational mix) and the national wage index, which is
applied to the national labor-related share of the national
standardized amount. Therefore, for FY 2020, there is no Puerto Rico-
specific overall average hourly wage or wage index.
Based on the above methodology, the proposed unadjusted national
average hourly wage is the following:
------------------------------------------------------------------------
------------------------------------------------------------------------
Proposed FY 2020 Unadjusted National Average Hourly Wage..... $44.03
------------------------------------------------------------------------
2. Policies Regarding Rural Reclassification and Special Statuses for
Multicampus Hospitals
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41369 through
41374), we codified policies regarding rural reclassification and
special statuses for multicampus hospitals in the regulations at Sec.
412.92 for sole community hospitals (SCHs), Sec. 412.96 for rural
referral centers (RRCs), Sec. 412.103 for rural reclassification, and
Sec. 412.108 for Medicare-dependent, small rural hospitals (MDHs).
We stated that these policies apply to hospitals that have a main
campus and one or more remote locations under a single provider
agreement where services are provided and billed under the IPPS and
that meet the provider-based criteria at Sec. 413.65 as a main campus
and a remote location of a hospital, also referred to as multicampus
hospitals or hospitals with remote locations. As discussed in the FY
2019 IPPS/LTCH PPS final rule (83 FR 41369), a main campus of a
hospital cannot obtain an SCH, RRC, or MDH status or rural
reclassification independently or separately from its remote
location(s), and vice versa. Rather, if the criteria are met in the
regulations at Sec. 412.92 for SCHs, Sec. 412.96 for RRCs, Sec.
412.103 for rural reclassification, or Sec. 412.108 for MDHs, the
hospital (that is, the main campus and its remote location(s)) will be
granted the special treatment or rural reclassification afforded by the
aforementioned regulations.
We stated that, to qualify for rural reclassification or SCH, RRC,
or MDH status, a hospital with remote locations must demonstrate that
both the main campus and its remote location(s) satisfy the relevant
qualifying criteria. If the regulations at Sec. 412.92, Sec. 412.96,
Sec. 412.103, and Sec. 412.108 require data, such as bed count,
number of discharges, or case-mix index, for example, to demonstrate
that the hospital meets the qualifying criteria, the combined data from
the main campus and its remote location(s) are to be used.
[[Page 19380]]
For other qualifying criteria set forth in the regulations at
Sec. Sec. 412.92, 412.96, 412.103, and 412.108 that do not involve
data that can be combined, specifically qualifying criteria related to
location, mileage, travel time, and distance requirements, a hospital
would need to demonstrate that the main campus and its remote
location(s) each independently satisfy those requirements in order for
the entire hospital, including its remote location(s), to be
reclassified or obtain a special status.
We refer readers to the FY 2019 IPPS/LTCH PPS final rule (83 FR
41369 through 41374) for a detailed discussion of our policies for
multicampus hospitals.
E. Proposed Occupational Mix Adjustment to the FY 2020 Wage Index
As stated earlier, section 1886(d)(3)(E) of the Act provides for
the collection of data every 3 years on the occupational mix of
employees for each short-term, acute care hospital participating in the
Medicare program, in order to construct an occupational mix adjustment
to the wage index, for application beginning October 1, 2004 (the FY
2005 wage index). The purpose of the occupational mix adjustment is to
control for the effect of hospitals' employment choices on the wage
index. For example, hospitals may choose to employ different
combinations of registered nurses, licensed practical nurses, nursing
aides, and medical assistants for the purpose of providing nursing care
to their patients. The varying labor costs associated with these
choices reflect hospital management decisions rather than geographic
differences in the costs of labor.
1. Use of 2016 Medicare Wage Index Occupational Mix Survey for the FY
2019, FY 2020, and FY 2021 Wage Indexes
Section 304(c) of the Consolidated Appropriations Act, 2001 (Pub.
L. 106-554) amended section 1886(d)(3)(E) of the Act to require CMS to
collect data every 3 years on the occupational mix of employees for
each short-term, acute care hospital participating in the Medicare
program. We collected data in 2013 to compute the occupational mix
adjustment for the FY 2016, FY 2017, and FY 2018 wage indexes. As
discussed in the FY 2018 IPPS/LTCH PPS proposed rule (82 FR 19903) and
final rule (82 FR 38137), a new measurement of occupational mix (the
2016 survey) was required for FY 2019, FY 2020, and FY 2021.
The FY 2020 occupational mix adjustment is based on the calendar
year (CY) 2016 survey. Hospitals were required to submit their
completed 2016 surveys (Form CMS-10079, OMB number 0938-0907) to their
MACs by July 3, 2017. The preliminary, unaudited CY 2016 survey data
were posted on the CMS website on July 12, 2017. As with the Worksheet
S-3, Parts II and III cost report wage data, as part of the FY 2020
desk review process, the MACs revised or verified data elements in
hospitals' occupational mix surveys that resulted in certain edit
failures.
2. Calculation of the Occupational Mix Adjustment for FY 2020
For FY 2020, we are proposing to calculate the occupational mix
adjustment factor using the same methodology that we have used since
the FY 2012 wage index (76 FR 51582 through 51586) and to apply the
occupational mix adjustment to 100 percent of the FY 2020 wage index.
As we explained in section III.D. of the preamble of this proposed
rule, we are proposing to modify our methodology with regard to how
dollar amounts, hours, and other numerical values in the unadjusted and
adjusted wage index calculation are rounded, in order to ensure
consistency in the calculation. For data that we consider to be ``raw
data,'' such as the cost report data on Worksheets S-3, Parts II and
III, and the occupational mix survey data, we are proposing to use
these data ``as is'', and not round any of the individual line items or
fields. However, for any dollar amounts within the wage index
calculations, including any type of summed wage amount, average hourly
wages, and the national average hourly wage (both the unadjusted and
adjusted for occupational mix), we are proposing to round such dollar
amounts to 2 decimals. We are proposing to round any hour amounts
within the wage index calculations to the nearest whole number. We are
proposing to round any numbers not expressed as dollars or hours in the
wage index calculations, which could include ratios, percentages, or
inflation factors, to 5 decimals. However, we are proposing to continue
rounding the actual unadjusted and adjusted wage indexes to 4 decimals,
as we have done historically.
Similar to the method we use for the calculation of the wage index
without occupational mix, salaries and hours for a multicampus hospital
are allotted among the different labor market areas where its campuses
are located. Table 2 associated with this proposed rule (which is
available via the internet on the CMS website), which contains the
proposed FY 2020 occupational mix adjusted wage index, includes
separate wage data for the campuses of multicampus hospitals. We refer
readers to section III.C. of the preamble of this proposed rule for a
chart listing the multicampus hospitals and the FTE percentages used to
allot their occupational mix data.
Because the statute requires that the Secretary measure the
earnings and paid hours of employment by occupational category not less
than once every 3 years, all hospitals that are subject to payments
under the IPPS, or any hospital that would be subject to the IPPS if
not granted a waiver, must complete the occupational mix survey, unless
the hospital has no associated cost report wage data that are included
in the FY 2020 wage index. For the proposed FY 2020 wage index, we are
using the Worksheet S-3, Parts II and III wage data of 3,221 hospitals,
and we are using the occupational mix surveys of 3,119 hospitals for
which we also have Worksheet S-3 wage data, which represented a
``response'' rate of 97 percent (3,119/3,221). For the proposed FY 2020
wage index, we are applying proxy data for noncompliant hospitals, new
hospitals, or hospitals that submitted erroneous or aberrant data in
the same manner that we applied proxy data for such hospitals in the FY
2012 wage index occupational mix adjustment (76 FR 51586). As a result
of applying this methodology, the proposed FY 2020 occupational mix
adjusted national average hourly wage is the following:
------------------------------------------------------------------------
------------------------------------------------------------------------
Proposed FY 2020 Occupational Mix Adjusted National Average $43.99
Hourly Wage.................................................
------------------------------------------------------------------------
F. Analysis and Implementation of the Proposed Occupational Mix
Adjustment and the Proposed FY 2020 Occupational Mix Adjusted Wage
Index
As discussed in section III.E. of the preamble of this proposed
rule, for FY 2020, we are proposing to apply the occupational mix
adjustment to 100 percent of the FY 2020 wage index. We calculated the
proposed occupational mix adjustment using data from the 2016
occupational mix survey data, using the methodology described in the FY
2012 IPPS/LTCH PPS final rule (76 FR 51582 through 51586).
The proposed FY 2020 national average hourly wages for each
occupational mix nursing subcategory as calculated in Step 2 of the
occupational mix calculation are as follows. (We note that the average
hourly wage figures are rounded to two decimal places as we are
proposing in section III.D. of the preamble of this proposed rule.)
[[Page 19381]]
------------------------------------------------------------------------
Average
Occupational mix nursing subcategory hourly
wage
------------------------------------------------------------------------
National RN................................................... $41.54
National LPN and Surgical Technician.......................... 24.67
National Nurse Aide, Orderly, and Attendant................... 16.95
National Medical Assistant.................................... 18.14
National Nurse Category....................................... 34.91
------------------------------------------------------------------------
The proposed national average hourly wage for the entire nurse
category is computed in Step 5 of the occupational mix calculation.
Hospitals with a nurse category average hourly wage (as calculated in
Step 4) of greater than the national nurse category average hourly wage
receive an occupational mix adjustment factor (as calculated in Step 6)
of less than 1.0. Hospitals with a nurse category average hourly wage
(as calculated in Step 4) of less than the national nurse category
average hourly wage receive an occupational mix adjustment factor (as
calculated in Step 6) of greater than 1.0.
Based on the 2016 occupational mix survey data, we determined (in
Step 7 of the occupational mix calculation) that the national
percentage of hospital employees in the nurse category is 42 percent,
and the national percentage of hospital employees in the all other
occupations category is 58 percent. At the CBSA level, the percentage
of hospital employees in the nurse category ranged from a low of 27
percent in one CBSA to a high of 82 percent in another CBSA.
We compared the FY 2020 proposed occupational mix adjusted wage
indexes for each CBSA to the proposed unadjusted wage indexes for each
CBSA. Applying the proposed occupational mix adjustment to the wage
data resulted in the following:
Comparison of the FY 2020 Proposed Occupational Mix Adjusted Wage
Indexes to the Proposed Unadjusted Wage Indexes by CBSA
------------------------------------------------------------------------
------------------------------------------------------------------------
Number of Urban Areas Wage Index 233 (56.8 percent).
Increasing.
Number of Rural Areas Wage Index 23 (48.9 percent).
Increasing.
Number of Urban Areas Wage Index 113 (27.6 percent).
Increasing by Greater Than or Equal to 1
Percent But Less Than 5 Percent.
Number of Urban Areas Wage Index 7 (1.7 percent).
Increasing by 5 percent or More.
Number of Rural Areas Wage Index 10 (21.3 percent).
Increasing by Greater Than or Equal to 1
Percent But Less Than 5 percent.
Number of Rural Areas Wage Index 0 (0 percent).
Increasing by 5 Percent or More.
Number of Urban Areas Wage Index 175 (42.7 percent).
Decreasing.
Number of Rural Areas Wage Index 24 (51.1 percent).
Decreasing.
Number of Urban Areas Wage Index 80 (19.5 percent).
Decreasing by Greater Than or Equal to 1
Percent But Less Than 5 percent.
Number of Urban Areas Wage Index 1 (0.2 percent).
Decreasing by 5 Percent or More.
Number of Rural Areas Wage Index 7 (14.9 percent).
Decreasing by Greater Than or Equal to 1
Percent But Less than 5 Percent.
Number of Rural Areas Wage Index 0 (0 percent).
Decreasing by 5 Percent or More.
Largest Proposed Positive Impact for an 6.39 percent.
Urban Area.
Largest Proposed Positive Impact for a 3.82 percent.
Rural Area.
Largest Proposed Negative Impact for an 5.90 percent.
Urban Area.
Largest Proposed Negative Impact for a 1.66 percent.
Rural Area.
Urban Areas Unchanged by Application of 2.
the Proposed Occupational Mix Adjustment.
Rural Areas Unchanged by Application of 0.
the Proposed Occupational Mix Adjustment.
------------------------------------------------------------------------
These results indicate that a larger percentage of urban areas
(56.8 percent) would benefit from the occupational mix adjustment than
would rural areas (48.9 percent).
G. Proposed Application of the Rural Floor, Summary of Expired Imputed
Floor Policy, and Proposed Application of the State Frontier Floor
1. Proposed Rural Floor
Section 4410(a) of Public Law 105-33 provides that, for discharges
on or after October 1, 1997, the area wage index applicable to any
hospital that is located in an urban area of a State may not be less
than the area wage index applicable to hospitals located in rural areas
in that State. This provision is referred to as the ``rural floor''.
Section 3141 of Public Law 111-148 also requires that a national budget
neutrality adjustment be applied in implementing the rural floor. Based
on the proposed FY 2020 wage index associated with this proposed rule
(which is available via the internet on the CMS website) and our
proposal, as discussed in section III.N. of the preamble of this
proposed rule, to calculate the rural floor without the wage data of
hospitals that have reclassified as rural under Sec. 412.103, we
estimated that 166 hospitals would receive an increase in their FY 2020
proposed wage index due to the application of the rural floor.
2. Summary of Expired Imputed Floor Policy
As discussed in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41376
through 41380), the imputed floor under both the original methodology
and the alternative methodology expired on September 30, 2018. As such,
the wage index and impact tables associated with this FY 2020 IPPS/LTCH
PPS proposed rule (which are available on the internet via the CMS
website) do not reflect the imputed floor policy, and we are not
applying a national budget neutrality adjustment for the imputed floor
for FY 2020. For a complete discussion, we refer readers to the FY 2019
IPPS/LTCH PPS final rule (83 FR 41376 through 41380). As discussed in
section III.N. of the preamble of this proposed rule, we are seeking
public comments on proposals to help address wage index disparities
under the IPPS. We also are seeking public comments on how the
expiration of the imputed floor has impacted hospitals in FY 2019.
3. Proposed State Frontier Floor for FY 2020
Section 10324 of Public Law 111-148 requires that hospitals in
frontier States cannot be assigned a wage index of less than 1.0000.
(We refer readers to the regulations at 42 CFR 412.64(m) and to a
discussion of the implementation of this provision in the FY 2011 IPPS/
LTCH PPS final rule (75 FR 50160 through 50161).) In this FY 2020 IPPS/
LTCH PPS proposed rule, we are not proposing any changes to the
frontier floor policy for FY 2020. In this proposed rule, 45 hospitals
would receive the frontier floor value of 1.0000 for their FY 2020 wage
index. These hospitals are located in Montana, Nevada, North Dakota,
South Dakota, and Wyoming.
The areas affected by the proposed rural and frontier floor
policies for the proposed FY 2020 wage index are identified in Table 2
associated with this proposed rule, which is available via the internet
on the CMS website.
[[Page 19382]]
H. Proposed FY 2020 Wage Index Tables
In the FY 2016 IPPS/LTCH PPS final rule (80 FR 49498 and 49807
through 49808), we finalized a proposal to streamline and consolidate
the wage index tables associated with the IPPS proposed and final rules
for FY 2016 and subsequent fiscal years. Prior to FY 2016, the wage
index tables had consisted of 12 tables (Tables 2, 3A, 3B, 4A, 4B, 4C,
4D, 4E, 4F, 4J, 9A, and 9C) that were made available via the internet
on the CMS website. Effective beginning FY 2016, with the exception of
Table 4E, we streamlined and consolidated 11 tables (Tables 2, 3A, 3B,
4A, 4B, 4C, 4D, 4F, 4J, 9A, and 9C) into 2 tables (Tables 2 and 3). As
discussed in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41380),
beginning with FY 2019, we added Table 4 which is titled and includes a
``List of Counties Eligible for the Out-Migration Adjustment under
Section 1886(d)(13) of the Act'' for the relevant fiscal year. We refer
readers to section VI. of the Addendum to this proposed rule for a
discussion of the proposed wage index tables for FY 2020.
I. Revisions to the Wage Index Based on Hospital Redesignations and
Reclassifications
1. General Policies and Effects of Reclassification and Redesignation
Under section 1886(d)(10) of the Act, the Medicare Geographic
Classification Review Board (MGCRB) considers applications by hospitals
for geographic reclassification for purposes of payment under the IPPS.
Hospitals must apply to the MGCRB to reclassify not later than 13
months prior to the start of the fiscal year for which reclassification
is sought (usually by September 1). Generally, hospitals must be
proximate to the labor market area to which they are seeking
reclassification and must demonstrate characteristics similar to
hospitals located in that area. The MGCRB issues its decisions by the
end of February for reclassifications that become effective for the
following fiscal year (beginning October 1). The regulations applicable
to reclassifications by the MGCRB are located in 42 CFR 412.230 through
412.280. (We refer readers to a discussion in the FY 2002 IPPS final
rule (66 FR 39874 and 39875) regarding how the MGCRB defines mileage
for purposes of the proximity requirements.) The general policies for
reclassifications and redesignations and the policies for the effects
of hospitals' reclassifications and redesignations on the wage index
are discussed in the FY 2012 IPPS/LTCH PPS final rule for the FY 2012
final wage index (76 FR 51595 and 51596). In addition, in the FY 2012
IPPS/LTCH PPS final rule, we discussed the effects on the wage index of
urban hospitals reclassifying to rural areas under 42 CFR 412.103.
Hospitals that are geographically located in States without any rural
areas are ineligible to apply for rural reclassification in accordance
with the provisions of 42 CFR 412.103.
On April 21, 2016, we published an interim final rule with comment
period (IFC) in the Federal Register (81 FR 23428 through 23438) that
included provisions amending our regulations to allow hospitals
nationwide to have simultaneous Sec. 412.103 and MGCRB
reclassifications. For reclassifications effective beginning FY 2018, a
hospital may acquire rural status under Sec. 412.103 and subsequently
apply for a reclassification under the MGCRB using distance and average
hourly wage criteria designated for rural hospitals. In addition, we
provided that a hospital that has an active MGCRB reclassification and
is then approved for redesignation under Sec. 412.103 will not lose
its MGCRB reclassification; such a hospital receives a reclassified
urban wage index during the years of its active MGCRB reclassification
and is still considered rural under section 1886(d) of the Act and for
other purposes.
We discussed that when there is both a Sec. 412.103 redesignation
and an MGCRB reclassification, the MGCRB reclassification controls for
wage index calculation and payment purposes. We exclude hospitals with
Sec. 412.103 redesignations from the calculation of the reclassified
rural wage index if they also have an active MGCRB reclassification to
another area. That is, if an application for urban reclassification
through the MGCRB is approved, and is not withdrawn or terminated by
the hospital within the established timelines, we consider the
hospital's geographic CBSA and the urban CBSA to which the hospital is
reclassified under the MGCRB for the wage index calculation. We refer
readers to the April 21, 2016 IFC (81 FR 23428 through 23438) and the
FY 2017 IPPS/LTCH PPS final rule (81 FR 56922 through 56930) for a full
discussion of the effect of simultaneous reclassifications under both
the Sec. 412.103 and the MGCRB processes on wage index calculations.
2. MGCRB Reclassification and Redesignation Issues for FY 2020
a. FY 2020 Reclassification Application Requirements and Approvals
As previously stated, under section 1886(d)(10) of the Act, the
MGCRB considers applications by hospitals for geographic
reclassification for purposes of payment under the IPPS. The specific
procedures and rules that apply to the geographic reclassification
process are outlined in regulations under 42 CFR 412.230 through
412.280.
At the time this proposed rule was constructed, the MGCRB had
completed its review of FY 2020 reclassification requests. Based on
such reviews, there are 357 hospitals approved for wage index
reclassifications by the MGCRB starting in FY 2020. Because MGCRB wage
index reclassifications are effective for 3 years, for FY 2020,
hospitals reclassified beginning in FY 2018 or FY 2019 are eligible to
continue to be reclassified to a particular labor market area based on
such prior reclassifications for the remainder of their 3-year period.
There were 332 hospitals approved for wage index reclassifications in
FY 2018 that will continue for FY 2020, and 274 hospitals approved for
wage index reclassifications in FY 2019 that will continue for FY 2020.
Of all the hospitals approved for reclassification for FY 2018, FY
2019, and FY 2020, based upon the review at the time of this proposed
rule, 963 hospitals are in a MGCRB reclassification status for FY 2020
(with 32 of these hospitals reclassified back to their geographic
location).
Under the regulations at 42 CFR 412.273, hospitals that have been
reclassified by the MGCRB are permitted to withdraw their applications
if the request for withdrawal is received by the MGCRB any time before
the MGCRB issues a decision on the application, or after the MGCRB
issues a decision, provided the request for withdrawal is received by
the MGCRB within 45 days of the date that CMS' annual notice of
proposed rulemaking is issued in the Federal Register concerning
changes to the inpatient hospital prospective payment system and
proposed payment rates for the fiscal year for which the application
has been filed. For information about withdrawing, terminating, or
canceling a previous withdrawal or termination of a 3-year
reclassification for wage index purposes, we refer readers to Sec.
412.273, as well as the FY 2002 IPPS final rule (66 FR 39887 through
39888) and the FY 2003 IPPS final rule (67 FR 50065 through 50066).
Additional discussion on withdrawals and terminations, and
clarifications regarding reinstating reclassifications and ``fallback''
reclassifications were included in the FY 2008 IPPS final rule (72 FR
47333) and the FY 2018 IPPS/LTCH PPS final rule (82 FR 38148 through
38150).
[[Page 19383]]
Changes to the wage index that result from withdrawals of requests
for reclassification, terminations, wage index corrections, appeals,
and the Administrator's review process for FY 2020 will be incorporated
into the wage index values published in the FY 2020 IPPS/LTCH PPS final
rule. These changes affect not only the wage index value for specific
geographic areas, but also the wage index value that redesignated/
reclassified hospitals receive; that is, whether they receive the wage
index that includes the data for both the hospitals already in the area
and the redesignated/reclassified hospitals. Further, the wage index
value for the area from which the hospitals are redesignated/
reclassified may be affected.
Applications for FY 2021 reclassifications (OMB control number
0938-0573) are due to the MGCRB by September 3, 2019 (the first working
day of September 2019). We note that this is also the deadline for
canceling a previous wage index reclassification withdrawal or
termination under 42 CFR 412.273(d). Applications and other information
about MGCRB reclassifications may be obtained beginning in mid-July
2019, via the internet on the CMS website at: https://www.cms.gov/Regulations-and-Guidance/Review-Boards/MGCRB/, or by calling
the MGCRB at (410) 786-1174.
b. Proposed Elimination of Copy Requirement to CMS
Under regulations in effect prior to FY 2018 (42 CFR
412.256(a)(1)), applications for reclassification were required to be
mailed or delivered to the MGCRB, with a copy to CMS, and were not
allowed to be submitted through the facsimile (FAX) process or by other
electronic means. Because we believed this previous policy was outdated
and overly restrictive and to promote ease of application for FY 2018
and subsequent years, in the FY 2017 IPPS/LTCH PPS final rule (81 FR
56928), we revised this policy to require applications and supporting
documentation to be submitted via the method prescribed in instructions
by the MGCRB, with an electronic copy to CMS.
Beginning with applications from hospitals to reclassify for FY
2020, the MGCRB requires applications, supporting documents, and
subsequent correspondence to be filed electronically through the MGCRB
module of the Office of Hearings Case and Document Management System
(``OH CDMS''). Also, the MGCRB issues all of its notices and decisions
via email and these documents are accessible electronically through OH
CDMS. Registration instructions and the system user manual are
available at: https://www.cms.gov/Regulations-and-Guidance/Review-Boards/MGCRB/Electronic-Filing.html.
Filing a reclassification application using OH CDMS entails
completing required fields electronically and uploading supporting
documentation. We believe that the requirement for hospitals to submit
a copy of the application to CMS would now require hospitals to compile
their application information in a different format than what is
required by the MGCRB, which would result in additional burden for
hospitals. Furthermore, we believe that CMS can forgo the copy of
applications provided by hospitals because the MGCRB's electronic
module will facilitate CMS' verification of reclassification statuses
during the wage index development process. Therefore, we are proposing
to reduce burden for hospitals by eliminating the requirement to copy
CMS. Specifically, we are proposing to revise Sec. 412.256(a)(1) to
delete the requirement that an electronic copy of the application be
sent to CMS, so that this section would specify that an application
must be submitted to the MGCRB according to the method prescribed by
the MGCRB.
c. Proposed Revision To Clarify Criteria for a Hospital Seeking
Reclassification to Another Rural Area or Urban Area
Section 412.230(a)(4) of our regulations currently specifies that
the rounding of numbers to meet certain mileage or qualifying
percentage standards is not permitted when an individual hospital seeks
wage index reclassification through the MGCRB. In this section, the
regulation specifically cites paragraphs (b)(1), (b)(2), (d)(1)(iii),
and (d)(1)(iv)(A) and (B). The qualifying percentage standards included
in these paragraphs have been periodically updated, and additional
paragraphs have been added in Sec. 412.230 to reflect these changes.
Specifically, paragraphs (d)(1)(iv)(C), (D), and (E) have been added to
Sec. 412.230 to reflect changes in the percentage standards
implemented in FY 2002, FY 2010, and FY 2011, respectively. Although we
have continued to apply the policy set forth at Sec. 412.230(a)(4) to
the updated percentage standards set forth in paragraphs (d)(1)(iv)(C),
(D), and (E) in Sec. 412.230, conforming changes to Sec.
412.230(a)(4) were not made to reflect these new paragraphs. This
oversight has caused some confusion. Therefore, we are proposing to
revise Sec. 412.230(a)(4) to clarify that the policy prohibiting the
rounding of qualifying percentage standards applies to paragraphs
(d)(1)(iv)(C), (D), and (E) in Sec. 412.230. Specifically, we are
proposing to remove specific references to paragraphs (d)(1)(iv)(A) and
(B) and instead cite paragraph (d)(1)(iv) as a more general reference
to the specific standards.
3. Redesignations Under Section 1886(d)(8)(B) of the Act
a. Lugar Status Determinations
In the FY 2012 IPPS/LTCH PPS final rule (76 FR 51599 through
51600), we adopted the policy that, beginning with FY 2012, an eligible
hospital that waives its Lugar status in order to receive the out-
migration adjustment has effectively waived its deemed urban status
and, thus, is rural for all purposes under the IPPS effective for the
fiscal year in which the hospital receives the out-migration
adjustment. In addition, in that rule, we adopted a minor procedural
change that would allow a Lugar hospital that qualifies for and accepts
the out-migration adjustment (through written notification to CMS
within 45 days from the publication of the proposed rule) to waive its
urban status for the full 3-year period for which its out-migration
adjustment is effective. By doing so, such a Lugar hospital would no
longer be required during the second and third years of eligibility for
the out-migration adjustment to advise us annually that it prefers to
continue being treated as rural and receive the out-migration
adjustment. In the FY 2017 IPPS/LTCH PPS final rule (81 FR 56930), we
further clarified that if a hospital wishes to reinstate its urban
status for any fiscal year within this 3-year period, it must send a
request to CMS within 45 days of publication of the proposed rule for
that particular fiscal year. We indicated that such reinstatement
requests may be sent electronically to [email protected]. In the FY
2018 IPPS/LTCH PPS final rule (82 FR 38147 through 38148), we finalized
a policy revision to require a Lugar hospital that qualifies for and
accepts the out-migration adjustment, or that no longer wishes to
accept the out-migration adjustment and instead elects to return to its
deemed urban status, to notify CMS within 45 days from the date of
public display of the proposed rule at the Office of the Federal
Register. These revised notification timeframes were effective
beginning October 1, 2017. In addition, in the FY 2018 IPPS/LTCH PPS
final rule (82 FR 38148), we clarified that both requests to waive and
to reinstate ``Lugar'' status may be sent to
[[Page 19384]]
[email protected]. To ensure proper accounting, we request
hospitals to include their CCN, and either ``waive Lugar'' or
``reinstate Lugar'', in the subject line of these requests.
b. Clarification Regarding Accepting the Out-Migration Adjustment When
the Outmigration Adjustment Changes After Reclassification
Section 1886(d)(8)(B) of the Act provides that for purposes a
reclassification under this subsection, the Secretary shall treat a
hospital located in a rural county adjacent to one or more urban areas
as being located in the urban metropolitan statistical area to which
the greatest number of workers in the county commute if certain
criteria are met. Rural hospitals in these counties are commonly known
as ``Lugar'' hospitals. This statutory provision specifies that Lugar
status is mandatory (not optional) if the statutory criteria are met.
However, as discussed in the FY 2012 IPPS/LTCH PPS proposed and final
rules (76 FR 25885 through 25886 and 51599), Lugar hospitals located in
counties that qualify for the out-migration adjustment are required to
waive their Lugar urban status in its entirety in order to receive the
out-migration adjustment. We stated our belief that this represents one
permissible reading of the statute, given that section 1886(d)(13)(G)
of the Act states that a hospital in a county that has an out-migration
adjustment and that has not waived that adjustment under section
1886(d)(13)(F) of the Act is not eligible for reclassification under
section 1886(d)(8) or (10) of the Act. Therefore, a hospital may opt to
receive either its county's out-migration adjustment or the wage index
determined by its Lugar reclassification.
We have become aware of a potential issue with the current election
process that requires further clarification. As discussed in the
following section, the out-migration adjustment is calculated to
provide a positive adjustment to the wage index for hospitals located
in certain counties that have a relatively high percentage of hospital
employees who reside in the county but work in a different county (or
counties) with a higher wage index. When a county is determined to
qualify for an out-migration adjustment, the final adjustment value is
determined in accordance with section 1886(d)(13)(D) of the Act and is
fixed by statute for a 3-year period under section 1886(d)(13)(F) of
the Act. CMS performs an annual analysis to evaluate all counties
without current out-migration adjustment values assigned, including
counties where the out-migration adjustment value will be expiring
after a 3-year period. Initial out-migration adjustment values are
published in Table 4 associated with the IPPS proposed and final rules
(which are available via the internet on the CMS website). Due to
various factors, including hospitals withdrawing or terminating MGCRB
reclassifications, obtaining Sec. 412.103 rural reclassifications, or
corrections to hospital wage data, the amount of newly proposed (1st
year) out-migration adjustment values may fluctuate between the
proposed rule and the final rule (and subsequent correction notices).
These fluctuations are typically minimal. However, in certain
circumstances, after processing varying forms of reclassification, wage
index values may change so that a county would no longer qualify for an
out-migration adjustment. In particular, when changes in wage index
reclassification status alter the State rural floor so that multiple
CBSAs would be assigned the same wage index value, an out-migration
adjustment may no longer be indicated for a county as there would be
little, if any, differential in nearby wage index values. This can lead
to a situation where a hospital has opted to receive a non-existent
out-migration adjustment. We believe this situation is not compatible
with longstanding CMS policy preventing a hospital from waiving its
deemed urban Lugar status outside the prescribed out-migration
adjustment election process described above. Section 1886(d)(13)(G) of
the Act specifies that a hospital in a county that has a wage index
increase under section 1886(d)(13)(F) of the Act (the out-migration
adjustment) and that has not waived such increase under section
1886(d)(13)(F) of the Act is not eligible for reclassification under
section 1886(d)(8) or (10) of the Act during that period. If there is
no out-migration adjustment available to provide a wage index increase,
the fact pattern for which CMS established the process for a hospital
to opt to receive a county out-migration adjustment in lieu of its
``Lugar'' reclassification no longer applies, and the hospital must be
assigned its deemed urban status. Therefore, we are clarifying that, in
circumstances where an eligible hospital elects to receive the out-
migration adjustment within 45 days of the public display date of the
proposed rule at the Office of the Federal Register in lieu of its
Lugar wage index reclassification, and the county in which the hospital
is located would no longer qualify for an out-migration adjustment when
the final rule (or a subsequent correction notice) wage index
calculations are completed, the hospital's request to accept the out-
migration adjustment would be denied, and the hospital would be
automatically assigned to its deemed urban status under section
1886(d)(8)(B) of the Act. Final rule wage index values would be
recalculated to reflect this reclassification, and in some instances,
after taking into account this reclassification, the out-migration
adjustment for the county in question could be restored in the final
rule. However, as the hospital is assigned a Lugar reclassification
under section 1886(d)(8)(B) of the Act, it would be ineligible to
receive the county out-migration adjustment under section
1886(d)(13)(G) of the Act. Because the out-migration adjustment, once
finalized, is locked for a 3-year period under section 1886(d)(13)(F)
of the Act, the hospital would be eligible to accept its out-migration
adjustment in either the second or third year.
c. Proposed Change to Lugar County Assignments
Section 1886(d)(8)(B) of the Act establishes a wage index
reclassification process by which the Secretary is required to treat a
hospital located in a rural county adjacent to one or more urban areas
as being located in the urban metropolitan statistical area (MSA), or
core based statistical area (CBSA), to which the greatest number of
workers in the county commute if certain criteria are met. Rural
hospitals in these counties are known as ``Lugar'' hospitals and the
counties themselves are often referred to as ``Lugar'' counties. These
Lugar counties are not located in any urban area, but are adjacent to
two or more urban CBSAs. In determining whether a county qualifies as a
Lugar county, sections 1886(d)(8)(B)(i) and (ii) of the Act require us
to use the standards for designating MSAs published in the Federal
Register by OMB based on the most recent available decennial population
data. Based on OMB definitions (75 FR 37246 through 37252), a CBSA is
composed of ``central'' counties and ``outlying'' counties. While
``central'' counties meet certain population density requirements and
other urban characteristics, a county qualifies as an ``outlying''
county of a CBSA if it meets one of the following commuting
requirements: (a) At least 25 percent of the workers living in the
county work in the central county or counties of the CBSA; or (b) at
least 25 percent of the employment in the county is accounted for by
workers who reside in the central county or counties
[[Page 19385]]
of the CBSA. Given the OMB standards above, when a county is located
between two or more urban centers, these ``central'' county commuting
patterns may be split between two or more CBSAs, and the 25-percent
thresholds to qualify as an outlying county for any single CBSA may not
be met. In such situations, the county would be considered rural
according to CMS, based on the OMB definitions above, as it would not
be part of an urban CBSA. Section 1886(d)(8)(B) of the Act addresses
this issue where a county would have qualified as an outlying urban
county if all its central county commuting data to adjacent urban CBSAs
were combined. Specifically, section 1886(d)(8)(B)(i) of the Act
requires CMS to consider a rural county to be part of an adjacent CBSA
if the rural county would otherwise be considered part of an urban area
under the OMB standards for designating MSAs if the commuting rates
used in determining outlying counties were determined on the basis of
the aggregate number of resident workers who commute to (and, if
applicable under the standards, from) the central county or counties of
all contiguous MSAs. Section 1886(d)(8)(B)(i) further requires CMS to
assign these Lugar counties to the CBSA to which the greatest number of
workers in the county commute. Since the implementation of section
1886(d)(8)(B) of the Act for discharges occurring after October 1,
1988, CMS' policy has been that, once a county qualifies as Lugar, the
proper methodology for determining the CBSA to which the greatest
number of workers in the county commute should be based on the same OMB
dataset used to determine whether a county qualifies as an ``outlying''
county of a CBSA. These data are a summary of commuting patterns
between the non-central county being evaluated and the ``central''
county or counties of an urban metropolitan area (without taking into
account outlying counties). Section 1886(d)(8)(B) of the Act clearly
instructs CMS to use the OMB criteria for determining ``outlying''
counties when determining the list of qualifying Lugar counties. These
criteria are limited to assessing commuting patterns to and from
central counties. Further, we do not believe the statute requires that
CMS perform an additional and separate community analysis, taking into
account outlying counties, to determine to which CBSA a Lugar county
should be assigned. When CMS updated the OMB labor market delineations
based on 2010 decennial census in FY 2015, we were made aware that a
hospital in Henderson County, TX (a Lugar county) disagreed with CMS'
interpretation of the statute. In particular, the hospital stated that
section 1886(d)(8)(B)(i) of the Act requires that CMS assign a
qualified Lugar county to ``the urban metropolitan statistical area to
which the greatest number of workers in the county commute,'' and that
this instruction does not distinguish between an urban CBSA's central
counties and outlying counties. The hospital claimed that the
assignment of a Lugar county to a CBSA should not be based solely on
commuting data and commuting patterns to and from the central county or
counties of a CBSA, but should consider outlying counties as well.
After consideration of this matter, we continue to believe that
CMS' methodology is a reasonable interpretation of the statute.
However, upon further consideration and analysis, we have determined
that the Henderson, TX hospital's interpretation of section
1886(d)(8)(B) of the Act is a reasonable alternative. After reanalyzing
the commuting data used when developing the FY 2015 IPPS/LTCH PPS final
rule (the American Community Survey commuting data for 2006-2010), we
identified 10 instances where a rural county would have been assigned
to a different CBSA if we had considered outlying counties in our
analysis of the urban metropolitan statistical area to which the
greatest number of workers in the county commute, as shown in the table
below.
BILLING CODE 4120-01-P
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[GRAPHIC] [TIFF OMITTED] TP03MY19.020
BILLING CODE 4120-01-C
Of these 10 counties, currently only 3 counties (Talladega, AL,
Pearl River, MS, and Henderson, TX) contain IPPS hospitals (4 hospitals
in total). When including ``outlying'' counties in the commuting
analysis, the analysis suggests that generally (but not always) the
revised CBSA assignment would be to a larger CBSA, which would be
expected as larger CBSAs generally include a greater number of
``outlying'' counties. After further consideration of this issue, we
believe that inclusion of outlying counties in the commuting analysis
for purposes of assigning counties that qualify as Lugar counties (the
second step of the Lugar analysis),
[[Page 19387]]
although not unambiguously required by statute, is a reasonable, and
arguably more natural, reading of the language in section
1886(d)(8)(B)(i) of the Act. Accordingly, we are proposing to modify
the assigned CBSA for the 10 Lugar counties specified in the table
above for FY 2020. We also plan to fully reevaluate this proposed
policy and underlying methodologies, if finalized, when CMS updates
Lugar county assignments, which typically occurs after OMB labor market
delineations are updated in response to the next decennial census.
J. Proposed Out-Migration Adjustment Based on Commuting Patterns of
Hospital Employees
In accordance with section 1886(d)(13) of the Act, as added by
section 505 of Public Law 108-173, beginning with FY 2005, we
established a process to make adjustments to the hospital wage index
based on commuting patterns of hospital employees (the ``out-
migration'' adjustment). The process, outlined in the FY 2005 IPPS
final rule (69 FR 49061), provides for an increase in the wage index
for hospitals located in certain counties that have a relatively high
percentage of hospital employees who reside in the county but work in a
different county (or counties) with a higher wage index.
Section 1886(d)(13)(B) of the Act requires the Secretary to use
data the Secretary determines to be appropriate to establish the
qualifying counties. When the provision of section 1886(d)(13) of the
Act was implemented for the FY 2005 wage index, we analyzed commuting
data compiled by the U.S. Census Bureau that were derived from a
special tabulation of the 2000 Census journey-to-work data for all
industries (CMS extracted data applicable to hospitals). These data
were compiled from responses to the ``long-form'' survey, which the
Census Bureau used at that time and which contained questions on where
residents in each county worked (69 FR 49062). However, the 2010 Census
was ``short form'' only; information on where residents in each county
worked was not collected as part of the 2010 Census. The Census Bureau
worked with CMS to provide an alternative dataset based on the latest
available data on where residents in each county worked in 2010, for
use in developing a new out-migration adjustment based on new commuting
patterns developed from the 2010 Census data beginning with FY 2016.
To determine the out-migration adjustments and applicable counties
for FY 2016, we analyzed commuting data compiled by the Census Bureau
that were derived from a custom tabulation of the American Community
Survey (ACS), an official Census Bureau survey, utilizing 2008 through
2012 (5-year) Microdata. The data were compiled from responses to the
ACS questions regarding the county where workers reside and the county
to which workers commute. As we discussed in the FYs 2016, 2017, 2018,
and 2019 IPPS/LTCH PPS final rules (80 FR 49501, 81 FR 56930, 82 FR
38150, and 83 FR 41384, respectively), the same policies, procedures,
and computation that were used for the FY 2012 out-migration adjustment
were applicable for FYs 2016 through 2019, and we are proposing to use
them again for FY 2020. We have applied the same policies, procedures,
and computations since FY 2012, and we believe they continue to be
appropriate for FY 2020. We refer readers to the FY 2016 IPPS/LTCH PPS
final rule (80 FR 49500 through 49502) for a full explanation of the
revised data source.
For FY 2020, the out-migration adjustment will continue to be based
on the data derived from the custom tabulation of the ACS utilizing
2008 through 2012 (5-year) Microdata. For future fiscal years, we may
consider determining out-migration adjustments based on data from the
next Census or other available data, as appropriate. For FY 2020, we
are not proposing any changes to the methodology or data source that we
used for FY 2016 (81 FR 25071). (We refer readers to a full discussion
of the out-migration adjustment, including rules on deeming hospitals
reclassified under section 1886(d)(8) or section 1886(d)(10) of the Act
to have waived the out-migration adjustment, in the FY 2012 IPPS/LTCH
PPS final rule (76 FR 51601 through 51602).)
Table 2 associated with this proposed rule (which is available via
the internet on the CMS website) includes the proposed out-migration
adjustments for the FY 2020 wage index. In addition, as discussed in
the FY 2019 IPPS/LTCH PPS proposed rule (83 FR 20367), we have added a
Table 4, ``List of Counties Eligible for the Out-Migration Adjustment
under Section 1886(d)(13) of the Act.'' For this proposed rule, Table 4
consists of the following: A list of counties that would be eligible
for the out-migration adjustment for FY 2020 identified by FIPS county
code, the proposed FY 2020 out-migration adjustment, and the number of
years the adjustment would be in effect. We believe this table makes
this information more transparent and provides the public with easier
access to this information. We note that we intend to make the
information available annually via Table 4 associated with the IPPS/
LTCH PPS proposed and final rules, and are including it among the
tables associated with this FY 2020 IPPS/LTCH PPS proposed rule that
are available via the internet on the CMS website.
K. Reclassification From Urban to Rural Under Section 1886(d)(8)(E) of
the Act, Implemented at 42 CFR 412.103
1. Application for Rural Status and Lock-In Date
Under section 1886(d)(8)(E) of the Act, a qualifying prospective
payment hospital located in an urban area may apply for rural status
for payment purposes separate from reclassification through the MGCRB.
Specifically, section 1886(d)(8)(E) of the Act provides that, not later
than 60 days after the receipt of an application (in a form and manner
determined by the Secretary) from a subsection (d) hospital that
satisfies certain criteria, the Secretary shall treat the hospital as
being located in the rural area (as defined in paragraph (2)(D)) of the
State in which the hospital is located. We refer readers to the
regulations at 42 CFR 412.103 for the general criteria and application
requirements for a subsection (d) hospital to reclassify from urban to
rural status in accordance with section 1886(d)(8)(E) of the Act. The
FY 2012 IPPS/LTCH PPS final rule (76 FR 51595 through 51596) includes
our policies regarding the effect of wage data from reclassified or
redesignated hospitals.
Hospitals must meet the criteria to be reclassified from urban to
rural status under Sec. 412.103, as well as fulfill the requirements
for the application process. There may be one or more reasons that a
hospital applies for the urban to rural reclassification, and the
timeframe that a hospital submits an application is often dependent on
those reason(s). Because the wage index is part of the methodology for
determining the prospective payments to hospitals for each fiscal year,
we stated in the FY 2017 IPPS/LTCH PPS final rule (81 FR 56931) that we
believed there should be a definitive timeframe within which a hospital
should apply for rural status in order for the reclassification to be
reflected in the next Federal fiscal year's wage data used for setting
payment rates.
Therefore, after notice of proposed rulemaking and consideration of
public comments, in the FY 2017 IPPS/LTCH PPS final rule (81 FR 56931
through 56932), we revised Sec. 412.103(b) by
[[Page 19388]]
adding paragraph (6) to specify that, in order for a hospital to be
treated as rural in the wage index and budget neutrality calculations
under Sec. Sec. 412.64(e)(1)(ii), (e)(2), (e)(4), and (h) for payment
rates for the next Federal fiscal year, the hospital's filing date (the
lock-in date) must be no later than 70 days prior to the second Monday
in June of the current Federal fiscal year and the application must be
approved by the CMS Regional Office in accordance with the requirements
of Sec. 412.103.
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41384 through
41386), we changed the lock-in date to provide for additional time in
the ratesetting process and to match the lock-in date with another
existing deadline, the usual public comment deadline for the IPPS
proposed rule. We revised Sec. 412.103(b)(6) to specify that, in order
for a hospital to be treated as rural in the wage index and budget
neutrality calculations under Sec. Sec. 412.64(e)(1)(ii), (e)(2),
(e)(4), and (h) for payment rates for the next Federal fiscal year, the
hospital's application must be approved by the CMS Regional Office in
accordance with the requirements of Sec. 412.103 no later than 60 days
after the public display date at the Office of the Federal Register of
the IPPS proposed rule for the next Federal fiscal year.
The lock-in date does not affect the timing of payment changes
occurring at the hospital-specific level as a result of
reclassification from urban to rural under Sec. 412.103. As we
discussed in the FY 2017 IPPS/LTCH PPS final rule (81 FR 56931) and the
FY 2019 IPPS/LTCH PPS final rule (83 FR 41385 through 41386), this
lock-in date also does not change the current regulation that allows
hospitals that qualify under Sec. 412.103(a) to request, at any time
during a cost reporting period, to reclassify from urban to rural. A
hospital's rural status and claims payment reflecting its rural status
continue to be effective on the filing date of its reclassification
application, which is the date the CMS Regional Office receives the
application, in accordance with Sec. 412.103(d). The hospital's IPPS
claims will be paid reflecting its rural status beginning on the filing
date (the effective date) of the reclassification, regardless of when
the hospital applies.
2. Proposed Change to the Regulations To Allow for Electronic
Submission of Applications for Reclassification From Urban to Rural
Status
The application requirements at Sec. 412.103(b)(3) for
reclassification from urban to rural status currently state that an
application must be mailed to the CMS Regional Office by the requesting
hospital and may not be submitted by facsimile or other electronic
means. We believe that this policy is outdated and overly restrictive.
In the interest of burden reduction and to promote ease of application,
in this proposed rule, we are proposing to eliminate the restriction on
submitting an application by facsimile or other electronic means so
that hospitals may also submit applications to the CMS Regional Office
electronically. Accordingly, we are proposing to revise Sec.
412.103(b)(3) to allow a requesting hospital to submit an application
to the CMS Regional Office by mail or by facsimile or other electronic
means.
3. Proposed Changes to Cancellation Requirements for Rural
Reclassifications
Under current regulations at Sec. 412.103(g)(1), hospitals, other
than those hospitals that are rural referral centers (RRCs), may cancel
a rural reclassification by submitting a written request to the CMS
Regional Office not less than 120 days before the end of its current
cost reporting period, effective beginning with the next full cost
reporting period. Under the current regulations at Sec. 412.103(g)(2),
a hospital that was classified as an RRC under Sec. 412.96 based on
rural reclassification under Sec. 412.103 may cancel its rural
reclassification by submitting a written request to the CMS Regional
Office not less than 120 days prior to the end of the Federal fiscal
year and after being paid as rural for at least one 12-month cost
reporting period. The RRC's cancellation of a Sec. 412.103 rural
reclassification is not effective until it has been paid as rural for
at least one 12-month cost reporting period, and not until the
beginning of the Federal fiscal year following both the request for
cancellation and the 12-month cost reporting period.
In this proposed rule, we are proposing to revise the rural
reclassification cancellation requirements at Sec. 412.103(g) for
hospitals classified as RRCs. Currently, Sec. 412.103(g)(2) requires
that, for a hospital that has been classified as an RRC based on rural
reclassification under Sec. 412.103, cancellation of a Sec. 412.103
rural reclassification is not effective until the hospital that is
classified as an RRC has been paid as rural for at least one 12-month
cost reporting period, and not until the beginning of the Federal
fiscal year following both the request for cancellation and the 12-
month cost reporting period. We stated in the FY 2008 IPPS final rule
(72 FR 47371 through 47373) that the goal of creating this minimum time
period was to disincentivize hospitals from receiving a rural
redesignation, obtaining RRC status to take advantage of special MGCRB
reclassification rules, and then terminating their rural status.
However, as suggested by a commenter in response to the April 22, 2016
interim final rule with comment period (81 FR 56926), this disincentive
is no longer necessary now that hospitals can have simultaneous MGCRB
and Sec. 412.103 reclassifications. Accordingly, in this proposed
rule, we are proposing to revise Sec. 412.103(g)(2)(iii) to specify
that the provisions set forth at Sec. 412.103(g)(2)(i) and (ii) are
effective for all written requests submitted by hospitals on or after
October 1, 2007 and before October 1, 2019 to cancel rural
reclassifications. Therefore, the reclassification cancellation
requirements specific to RRCs at Sec. 412.103(g)(2) would no longer
apply for cancellation requests submitted on or after October 1, 2019.
In addition, as further discussed below, we are proposing to revise
Sec. 412.103(g) to include uniform reclassification cancellation
requirements that would be applied to all hospitals effective for
cancellation requests submitted on or after October 1, 2019.
As further discussed below, we are proposing to revise the
regulations at Sec. 412.103(g) to set forth uniform requirements
applicable to all hospitals for cancelling rural reclassifications.
Currently, for non-RRCs, the cancellation of rural status is effective
beginning with the hospital's next cost reporting period. A hospital
that has a Sec. 412.103 rural reclassification and that does not have
an additional MGCRB or ``Lugar'' reclassification is assigned the rural
wage index value for its State. Because wage index values are
determined and assigned to hospitals on a Federal fiscal year basis,
when such an aforementioned hospital cancels its rural
reclassification, the wage index value must be manually updated by the
MAC to its appropriate urban wage index value. Because the end dates of
cost reporting periods vary among hospitals, this process can be
cumbersome and some cancellation requests may not be processed in time
to be accurately reflected in the IPPS final rule appendix tables.
Because there is no apparent advantage to continuing to link the rural
reclassification cancellation date to a hospital's cost reporting
period, we believe that, in the interests of reducing overall
complexity and administrative burden, the cancellation of rural
reclassification should be effective for all hospitals
[[Page 19389]]
beginning with the next Federal fiscal year (that is, the Federal
fiscal year following the cancellation request). In addition, similar
to the current requirements at Sec. 412.103(g)(2), we believe it would
be appropriate to require hospitals to request cancellation not less
than 120 days prior to the end of a Federal fiscal year. We believe
this proposed 120-day timeframe would provide hospitals adequate time
to assess and review reclassification options, and provide CMS adequate
time to incorporate the cancellation in the wage index development
process. As discussed in the FY 2019 IPPS/LTCH PPS final rule (83 FR
41384 through 41386), we finalized a lock-in date for a new rural
reclassification to be approved in order for a hospital to be treated
as rural in the wage index and budget neutrality calculations under
Sec. Sec. 412.64(e)(1)(ii), (e)(2), (e)(4), and (h) for payment rates
for the next Federal fiscal year. We considered using this deadline,
which is 60 days after the public display date at the Office of the
Federal Register of the IPPS proposed rule for the next Federal fiscal
year, as the deadline to submit cancellation requests effective for the
next Federal fiscal year as well. While we see certain advantages with
aligning various wage index deadlines to the same date, based on the
public display date of the proposed rule, we believe the proposed
deadline of not less than 120 days prior to the end of the Federal
fiscal year would give hospitals adequate time to assess and review
reclassification options, and CMS adequate time to incorporate the
cancellation in the wage index and budget neutrality calculations under
Sec. Sec. 412.64(e)(1)(ii), (e)(2), (e)(4), and (h) for payment rates
for the next Federal fiscal year. In addition, this proposed 120-day
deadline is already familiar to many hospitals because it is similar to
the current deadline under Sec. 412.103(g)(2), and therefore, we
believe implementation of the proposed deadline may pose less of a
burden overall for many hospitals. For these reasons, we are proposing
to add paragraph (g)(3) to Sec. 412.103 to specify that, for all
written requests submitted by hospitals on or after October 1, 2019 to
cancel rural reclassifications, a hospital may cancel its rural
reclassification by submitting a written request to the CMS Regional
Office not less than 120 days prior to the end of a Federal fiscal
year, and the hospital's cancellation of the classification would be
effective beginning with the next Federal fiscal year. In addition, we
are proposing to add paragraph (g)(1)(iii) to Sec. 412.103 to specify
that the provisions of paragraphs (g)(1)(i) and (ii) of Sec. 412.103
are effective only for written requests submitted by hospitals before
October 1, 2019 to cancel rural reclassification.
In addition, we are proposing to codify into regulations a
longstanding CMS policy regarding canceling a Sec. 412.103
reclassification when a hospital opts to accept and receives its county
out-migration adjustment in lieu of its ``Lugar'' reclassification. As
discussed in section III.I.3. of the preamble of this proposed rule, a
hospital may opt to receive either its ``Lugar'' county
reclassification established under section 1886(d)(8)(B) of the Act, or
the county out-migration adjustment determined under section
1886(d)(13) of the Act. Such requests may be submitted to CMS by email
to [email protected] within 45 days of the public display date of
the proposed rule for the next Federal fiscal year. We established this
process because section 1886(d)(13)(G) of the Act prohibits a hospital
from having both an out-migration wage index adjustment and
reclassification under section 1886(d)(8) or (10) of the Act. Because
Sec. 412.103 reclassifications were established under section
1886(d)(8)(E) of the Act, a hospital cannot simultaneously have an out-
migration adjustment and be reclassified as rural under Sec. 412.103.
In the FY 2012 IPPS/LTCH PPS final rule (76 FR 51600), we addressed a
commenter's concern regarding timing issues for some hospitals that
wish to receive their county out-migration adjustment, but would not
have adequate time to also cancel their rural reclassification. In that
rule, we stated that ``we will allow the act of waiving Lugar status
for the out-migration adjustment to simultaneously waive the hospital's
deemed urban status and cancel the hospital's acquired rural status,
thus treating the hospital as a rural provider effective on October
1.'' While this policy modification was initially discussed in the FY
2012 IPPS/LTCH PPS final rule in the context of hospitals wishing to
obtain or maintain sole community hospital (SCH) or Medicare-dependent
hospital (MDH) status, its application has not been limited to current
or potential SCHs or MDHs. We continue to believe this policy of
automatically canceling rural reclassifications when a hospital waives
its Lugar reclassification to receive its out-migration adjustment
reduces overall burden on hospitals by not requiring them to file a
separate rural reclassification cancellation request. We also believe
this policy reduces overall complexity for CMS, avoiding the need to
track and process multiple cancellation requests. Accordingly, we
believe this policy should be codified in the regulations at Sec.
412.103.
Therefore, we are proposing to add paragraph (g)(4) to Sec.
412.103 to specify that a rural reclassification will be considered
cancelled effective for the next Federal fiscal year when a hospital
opts (by submitting a request to CMS within 45 days of the date of
public display of the proposed rule for the next Federal fiscal year at
the Office of the Federal Register in accordance with the procedure
described in section III.I.3. of the preamble of this proposed rule) to
accept and receives its county out-migration wage index adjustment
determined under section 1886(d)(13) of the Act in lieu of its
geographic reclassification described under section 1886(d)(8)(B) of
the Act. If the hospital wishes to once again obtain a Sec. 412.103
rural reclassification, it would have to reapply through the CMS
Regional Office in accordance with Sec. 412.103, and the hospital
would once again be ineligible to receive its out-migration adjustment.
We note that, in a case where a hospital reclassified as rural under
Sec. 412.103 wishes to receive its out-migration adjustment but does
not qualify for a ``Lugar'' reclassification, the hospital would need
to formally cancel its Sec. 412.103 rural reclassification by written
request to the CMS Regional Office within the timeframe specified at
Sec. 412.103. Finally, in order to address the scenario described in
section III.I.3.b. of the preamble of this proposed rule, we note that,
in proposed Sec. 412.103(g)(4), we are providing that the hospital
must not only opt to accept, but also receive, its county out-migration
wage index adjustment to trigger cancellation of rural reclassification
under that provision. In such cases where an out-migration adjustment
is no longer applicable based on the wage index in the final rule, a
hospital's rural reclassification remains in effect (unless otherwise
cancelled by written request to the CMS Regional Office within the
timeframe specified at Sec. 412.103).
L. Process for Requests for Wage Index Data Corrections
1. Process for Hospitals To Request Wage Index Data Corrections
The preliminary, unaudited Worksheet S-3 wage data files and the
preliminary CY 2016 occupational mix data files for the proposed FY
2020 wage index were made available on June 5, 2018 through the
internet on the CMS website at: https://www.cms.gov/Medicare/Medicare-
Fee-for-Service-
[[Page 19390]]
Payment/AcuteInpatientPPS/Wage-Index-Files-Items/FY2020-Wage-Index-
Home-Page.html.
On January 31, 2019, we posted a public use file (PUF) at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatient
PPS/Wage-Index-Files-Items/FY2020-Wage-Index-Home-Page.html containing
FY 2020 wage index data available as of January 30, 2019. This PUF
contains a tab with the Worksheet S-3 wage data (which includes
Worksheet S-3, Parts II and III wage data from cost reporting periods
beginning on or after October 1, 2015 through September 30, 2016; that
is, FY 2016 wage data), a tab with the occupational mix data (which
includes data from the CY 2016 occupational mix survey, Form CMS-
10079), a tab containing the Worksheet S-3 wage data of hospitals
deleted from the January 31, 2019 wage data PUF, and a tab containing
the CY 2016 occupational mix data of the hospitals deleted from the
January 31, 2019 occupational mix PUF. In a memorandum dated January
18, 2019, we instructed all MACs to inform the IPPS hospitals that they
service of the availability of the January 31, 2019 wage index data
PUFs, and the process and timeframe for requesting revisions in
accordance with the FY 2020 Wage Index Timetable.
In the interest of meeting the data needs of the public, beginning
with the proposed FY 2009 wage index, we post an additional PUF on the
CMS website that reflects the actual data that are used in computing
the proposed wage index. The release of this file does not alter the
current wage index process or schedule. We notify the hospital
community of the availability of these data as we do with the current
public use wage data files through our Hospital Open Door Forum. We
encourage hospitals to sign up for automatic notifications of
information about hospital issues and about the dates of the Hospital
Open Door Forums at the CMS website at: https://www.cms.gov/Outreach-and-Education/Outreach/OpenDoorForums/.
In a memorandum dated April 20, 2018, we instructed all MACs to
inform the IPPS hospitals that they service of the availability of the
preliminary wage index data files and the CY 2016 occupational mix
survey data files posted on May 18, 2018, and the process and timeframe
for requesting revisions.
In a memorandum dated June 6, 2018, we corrected and reposted the
preliminary wage file on our website because we realized that the PUF
originally posted on May 18 2018 did not include new line items that
were first included in cost reports for cost reporting periods
beginning on or after October 1, 2015 (and will be used for the first
time in the FY 2020 wage index). Specifically, the lines are: Worksheet
S-3, Part II, lines 14.01 and 14.02, and 25.50, 25.51, 25.52, and
25.53; and Worksheet S-3, Part IV, lines 8.01, 8.02, 8.03. In the same
memorandum, we instructed all MACs to inform the IPPS hospitals that
they service of the availability of the corrected and reposted
preliminary wage index data files and the CY 2016 occupational mix
survey data files posted on June 6, 2018, and the process and timeframe
for requesting revisions.
If a hospital wished to request a change to its data as shown in
the June 6, 2018 preliminary wage and occupational mix data files, the
hospital had to submit corrections along with complete, detailed
supporting documentation to its MAC by September 4, 2018. Hospitals
were notified of this deadline and of all other deadlines and
requirements, including the requirement to review and verify their data
as posted in the preliminary wage index data files on the internet,
through the letters sent to them by their MACs. November 16, 2018 was
the deadline for MACs to complete all desk reviews for hospital wage
and occupational mix data and transmit revised Worksheet S-3 wage data
and occupational mix data to CMS.
November 6, 2018 was the date by when MACs notified State hospital
associations regarding hospitals that failed to respond to issues
raised during the desk reviews. Additional revisions made by the MACs
were transmitted to CMS throughout January 2019. CMS published the wage
index PUFs that included hospitals' revised wage index data on January
31, 2019. Hospitals had until February 15, 2019, to submit requests to
the MACs to correct errors in the January 31, 2019 PUF due to CMS or
MAC mishandling of the wage index data, or to revise desk review
adjustments to their wage index data as included in the January 31,
2019 PUF. Hospitals also were required to submit sufficient
documentation to support their requests.
After reviewing requested changes submitted by hospitals, MACs were
required to transmit to CMS any additional revisions resulting from the
hospitals' reconsideration requests by March 22, 2019. Under our
current policy as adopted in the FY 2018 IPPS/LTCH PPS final rule (82
FR 38153), the deadline for a hospital to request CMS intervention in
cases where a hospital disagreed with a MAC's handling of wage data on
any basis (including a policy, factual, or other dispute) was April 4,
2019. Data that were incorrect in the preliminary or January 31, 2019
wage index data PUFs, but for which no correction request was received
by the February 15, 2019 deadline, are not considered for correction at
this stage. In addition, April 4, 2019 was the deadline for hospitals
to dispute data corrections made by CMS of which the hospital is
notified after the January 31, 2019 PUF and at least 14 calendar days
prior to April 4, 2019 (that is, March 21, 2018), that do not arise
from a hospital's request for revisions. We note that, as with previous
years, for the proposed FY 2020 wage index, in accordance with the FY
2020 wage index timeline posted on the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatient
PPS/Wage-Index-Files-Items/FY2020-Wage-Index-Home-Page.html, the April
appeals have to be sent via mail and email. We refer readers to the
wage index timeline for complete details.
Hospitals are given the opportunity to examine Table 2 associated
with this proposed rule, which is listed in section VI. of the Addendum
to this proposed rule and available via the internet on the CMS website
at: https://www.cms.gov/Medicare/Medicare-Fee-for-ServicePayment/AcuteInpatientPPS-FY2020-IPPS-Proposed-Rule-Home-Page.html. Table 2
contains each hospital's proposed adjusted average hourly wage used to
construct the wage index values for the past 3 years, including the FY
2016 data used to construct the proposed FY 2020 wage index. We note
that the proposed hospital average hourly wages shown in Table 2 only
reflect changes made to a hospital's data that were transmitted to CMS
by early February 2019.
We plan to post the final wage index data PUFs in late April 2019
via the internet on the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatient PPS/Wage-Index-Files-
Items/FY2020-Wage-Index-Home-Page.html. The April 2019 PUFs are made
available solely for the limited purpose of identifying any potential
errors made by CMS or the MAC in the entry of the final wage index data
that resulted from the correction process previously described (the
process for disputing revisions submitted to CMS by the MACs by March
21, 2019, and the process for disputing data corrections made by CMS
that did not arise from a hospital's request for wage data revisions as
discussed earlier).
After the release of the April 2019 wage index data PUFs, changes
to the wage and occupational mix data can only be made in those very
limited situations involving an error by the
[[Page 19391]]
MAC or CMS that the hospital could not have known about before its
review of the final wage index data files. Specifically, neither the
MAC nor CMS will approve the following types of requests:
Requests for wage index data corrections that were
submitted too late to be included in the data transmitted to CMS by the
MACs on or before March 21, 2018.
Requests for correction of errors that were not, but could
have been, identified during the hospital's review of the January 31,
2019 wage index PUFs.
Requests to revisit factual determinations or policy
interpretations made by the MAC or CMS during the wage index data
correction process.
If, after reviewing the April 2019 final wage index data PUFs, a
hospital believes that its wage or occupational mix data are incorrect
due to a MAC or CMS error in the entry or tabulation of the final data,
the hospital is given the opportunity to notify both its MAC and CMS
regarding why the hospital believes an error exists and provide all
supporting information, including relevant dates (for example, when it
first became aware of the error). The hospital is required to send its
request to CMS and to the MAC no later than May 30, 2019. May 30, 2019
is also the deadline for hospitals to dispute data corrections made by
CMS of which the hospital is notified on or after 13 calendar days
prior to April 4, 2019 (that is, March 22, 2019), and at least 14
calendar days prior to May 30, 2019 (that is, May 16, 2019), that do
not arise from a hospital's request for revisions. (Data corrections
made by CMS of which a hospital is notified on or after 13 calendar
days prior to May 30, 2019 (that is, May 17, 2019) may be appealed to
the Provider Reimbursement Review Board (PRRB)). Similar to the April
appeals, beginning with the FY 2015 wage index, in accordance with the
FY 2020 wage index timeline posted on the CMS website at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInpatientPPS/Wage-Index-Files-Items/FY2020-Wage-Index-Home-Page.html, the May appeals must be sent via mail and email to CMS and
the MACs. We refer readers to the wage index timeline for complete
details.
Verified corrections to the wage index data received timely (that
is, by May 30, 2019) by CMS and the MACs will be incorporated into the
final FY 2020 wage index, which will be effective October 1, 2019.
We created the processes previously described to resolve all
substantive wage index data correction disputes before we finalize the
wage and occupational mix data for the FY 2020 payment rates.
Accordingly, hospitals that do not meet the procedural deadlines set
forth earlier will not be afforded a later opportunity to submit wage
index data corrections or to dispute the MAC's decision with respect to
requested changes. Specifically, our policy is that hospitals that do
not meet the procedural deadlines set forth above (requiring requests
to MACs by the specified date in February and, where such requests are
unsuccessful, requests for intervention by CMS by the specified date in
April) will not be permitted to challenge later, before the PRRB, the
failure of CMS to make a requested data revision. We refer readers also
to the FY 2000 IPPS final rule (64 FR 41513) for a discussion of the
parameters for appeals to the PRRB for wage index data corrections. As
finalized in the FY 2018 IPPS/LTCH PPS final rule (82 FR 38154 through
38156), this policy also applies to a hospital disputing corrections
made by CMS that do not arise from a hospital's request for a wage
index data revision. That is, a hospital disputing an adjustment made
by CMS that did not arise from a hospital's request for a wage index
data revision would be required to request a correction by the first
applicable deadline. Hospitals that do not meet the procedural
deadlines set forth earlier will not be afforded a later opportunity to
submit wage index data corrections or to dispute CMS' decision with
respect to requested changes.
Again, we believe the wage index data correction process described
earlier provides hospitals with sufficient opportunity to bring errors
in their wage and occupational mix data to the MAC's attention.
Moreover, because hospitals have access to the final wage index data
PUFs by late April 2019, they have the opportunity to detect any data
entry or tabulation errors made by the MAC or CMS before the
development and publication of the final FY 2020 wage index by August
2019, and the implementation of the FY 2020 wage index on October 1,
2019. Given these processes, the wage index implemented on October 1
should be accurate. Nevertheless, in the event that errors are
identified by hospitals and brought to our attention after May 30,
2019, we retain the right to make midyear changes to the wage index
under very limited circumstances.
Specifically, in accordance with 42 CFR 412.64(k)(1) of our
regulations, we make midyear corrections to the wage index for an area
only if a hospital can show that: (1) The MAC or CMS made an error in
tabulating its data; and (2) the requesting hospital could not have
known about the error or did not have an opportunity to correct the
error, before the beginning of the fiscal year. For purposes of this
provision, ``before the beginning of the fiscal year'' means by the May
deadline for making corrections to the wage data for the following
fiscal year's wage index (for example, May 30, 2019 for the FY 2020
wage index). This provision is not available to a hospital seeking to
revise another hospital's data that may be affecting the requesting
hospital's wage index for the labor market area. As indicated earlier,
because CMS makes the wage index data available to hospitals on the CMS
website prior to publishing both the proposed and final IPPS rules, and
the MACs notify hospitals directly of any wage index data changes after
completing their desk reviews, we do not expect that midyear
corrections will be necessary. However, under our current policy, if
the correction of a data error changes the wage index value for an
area, the revised wage index value will be effective prospectively from
the date the correction is made.
In the FY 2006 IPPS final rule (70 FR 47385 through 47387 and
47485), we revised 42 CFR 412.64(k)(2) to specify that, effective on
October 1, 2005, that is, beginning with the FY 2006 wage index, a
change to the wage index can be made retroactive to the beginning of
the Federal fiscal year only when CMS determines all of the following:
(1) The MAC or CMS made an error in tabulating data used for the wage
index calculation; (2) the hospital knew about the error and requested
that the MAC and CMS correct the error using the established process
and within the established schedule for requesting corrections to the
wage index data, before the beginning of the fiscal year for the
applicable IPPS update (that is, by the May 30, 2019 deadline for the
FY 2020 wage index); and (3) CMS agreed before October 1 that the MAC
or CMS made an error in tabulating the hospital's wage index data and
the wage index should be corrected.
In those circumstances where a hospital requested a correction to
its wage index data before CMS calculated the final wage index (that
is, by the May 30, 2019 deadline for the FY 2020 wage index), and CMS
acknowledges that the error in the hospital's wage index data was
caused by CMS' or the MAC's mishandling of the data, we believe that
the hospital should not be penalized by our delay in publishing or
implementing the correction. As with our current policy, we indicated
that the provision is not available to a hospital seeking to revise
another hospital's data.
[[Page 19392]]
In addition, the provision cannot be used to correct prior years' wage
index data; and it can only be used for the current Federal fiscal
year. In situations where our policies would allow midyear corrections
other than those specified in 42 CFR 412.64(k)(2)(ii), we continue to
believe that it is appropriate to make prospective-only corrections to
the wage index.
We note that, as with prospective changes to the wage index, the
final retroactive correction will be made irrespective of whether the
change increases or decreases a hospital's payment rate. In addition,
we note that the policy of retroactive adjustment will still apply in
those instances where a final judicial decision reverses a CMS denial
of a hospital's wage index data revision request.
2. Process for Data Corrections by CMS After the January 31 Public Use
File (PUF)
The process set forth with the wage index timeline discussed in
section III.L.1. of the preamble of this proposed rule allows hospitals
to request corrections to their wage index data within prescribed
timeframes. In addition to hospitals' opportunity to request
corrections of wage index data errors or MACs' mishandling of data, CMS
has the authority under section 1886(d)(3)(E) of the Act to make
corrections to hospital wage index and occupational mix data in order
to ensure the accuracy of the wage index. As we explained in the FY
2016 IPPS/LTCH PPS final rule (80 FR 49490 through 49491) and the FY
2017 IPPS/LTCH PPS final rule (81 FR 56914), section 1886(d)(3)(E) of
the Act requires the Secretary to adjust the proportion of hospitals'
costs attributable to wages and wage-related costs for area differences
reflecting the relative hospital wage level in the geographic areas of
the hospital compared to the national average hospital wage level. We
believe that, under section 1886(d)(3)(E) of the Act, we have
discretion to make corrections to hospitals' data to help ensure that
the costs attributable to wages and wage-related costs in fact
accurately reflect the relative hospital wage level in the hospitals'
geographic areas.
We have an established multistep, 15-month process for the review
and correction of the hospital wage data that is used to create the
IPPS wage index for the upcoming fiscal year. Since the origin of the
IPPS, the wage index has been subject to its own annual review process,
first by the MACs, and then by CMS. As a standard practice, after each
annual desk review, CMS reviews the results of the MACs' desk reviews
and focuses on items flagged during the desk review, requiring that, if
necessary, hospitals provide additional documentation, adjustments, or
corrections to the data. This ongoing communication with hospitals
about their wage data may result in the discovery by CMS of additional
items that were reported incorrectly or other data errors, even after
the posting of the January 31 PUF, and throughout the remainder of the
wage index development process. In addition, the fact that CMS analyzes
the data from a regional and even national level, unlike the review
performed by the MACs that review a limited subset of hospitals, can
facilitate additional editing of the data that may not be readily
apparent to the MACs. In these occasional instances, an error may be of
sufficient magnitude that the wage index of an entire CBSA is affected.
Accordingly, CMS uses its authority to ensure that the wage index
accurately reflects the relative hospital wage level in the geographic
area of the hospital compared to the national average hospital wage
level, by continuing to make corrections to hospital wage data upon
discovering incorrect wage data, distinct from instances in which
hospitals request data revisions.
We note that CMS corrects errors to hospital wage data as
appropriate, regardless of whether that correction will raise or lower
a hospital's average hourly wage. For example, as discussed in section
III.C. of the preamble of the FY 2019 IPPS/LTCH PPS final rule (83 FR
41364), in situations where a hospital did not have documentable
salaries, wages, and hours for housekeeping and dietary services, we
imputed estimates, in accordance with policies established in the FY
2015 IPPS/LTCH PPS final rule (79 FR 49965 through 49967). Furthermore,
if CMS discovers after conclusion of the desk review, for example, that
a MAC inadvertently failed to incorporate positive adjustments
resulting from a prior year's wage index appeal of a hospital's wage-
related costs such as pension, CMS would correct that data error and
the hospital's average hourly wage would likely increase as a result.
While we maintain CMS' authority to conduct additional review and
make resulting corrections at any time during the wage index
development process, in accordance with the policy finalized in the FY
2018 IPPS/LTCH PPS final rule (82 FR 38154 through 38156) and as first
implemented with the FY 2019 wage index (83 FR 41389), hospitals are
able to request further review of a correction made by CMS that did not
arise from a hospital's request for a wage index data correction.
Instances where CMS makes a correction to a hospital's data after the
January 31 PUF based on a different understanding than the hospital
about certain reported costs, for example, could potentially be
resolved using this process before the final wage index is calculated.
We believe this process and the timeline for requesting such
corrections (as described earlier and in the FY 2018 IPPS/LTCH PPS
final rule) promote additional transparency to instances where CMS
makes data corrections after the January 31 PUF, and provide
opportunities for hospitals to request further review of CMS changes in
time for the most accurate data to be reflected in the final wage index
calculations. These additional appeals opportunities are described
earlier and in the FY 2020 Wage Index Development Time Table, as well
as in the FY 2018 IPPS/LTCH PPS final rule (82 FR 38154 through 38156).
M. Proposed Labor-Related Share for the Proposed FY 2020 Wage Index
Section 1886(d)(3)(E) of the Act directs the Secretary to adjust
the proportion of the national prospective payment system base payment
rates that are attributable to wages and wage-related costs by a factor
that reflects the relative differences in labor costs among geographic
areas. It also directs the Secretary to estimate from time to time the
proportion of hospital costs that are labor-related and to adjust the
proportion (as estimated by the Secretary from time to time) of
hospitals' costs that are attributable to wages and wage-related costs
of the DRG prospective payment rates. We refer to the portion of
hospital costs attributable to wages and wage-related costs as the
labor-related share. The labor-related share of the prospective payment
rate is adjusted by an index of relative labor costs, which is referred
to as the wage index.
Section 403 of Public Law 108-173 amended section 1886(d)(3)(E) of
the Act to provide that the Secretary must employ 62 percent as the
labor-related share unless this would result in lower payments to a
hospital than would otherwise be made. However, this provision of
Public Law 108-173 did not change the legal requirement that the
Secretary estimate from time to time the proportion of hospitals' costs
that are attributable to wages and wage-related costs. Thus, hospitals
receive payment based on either a 62-percent labor-related share, or
the labor-related share estimated from time to time by the Secretary,
depending on which labor-
[[Page 19393]]
related share resulted in a higher payment.
In the FY 2018 IPPS/LTCH PPS final rule (82 FR 38158 through
38175), we rebased and revised the hospital market basket. We
established a 2014-based IPPS hospital market basket to replace the FY
2010-based IPPS hospital market basket, effective October 1, 2017.
Using the 2014-based IPPS market basket, we finalized a labor-related
share of 68.3 percent for discharges occurring on or after October 1,
2017. In addition, in FY 2018, we implemented this revised and rebased
labor-related share in a budget neutral manner (82 FR 38522). However,
consistent with section 1886(d)(3)(E) of the Act, we did not take into
account the additional payments that would be made as a result of
hospitals with a wage index less than or equal to 1.0000 being paid
using a labor-related share lower than the labor-related share of
hospitals with a wage index greater than 1.0000. In the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41389 and 41390), for FY 2019, we continued
to use a labor-related share of 68.3 percent for discharges occurring
on or after October 1, 2018.
The labor-related share is used to determine the proportion of the
national IPPS base payment rate to which the area wage index is
applied. We include a cost category in the labor-related share if the
costs are labor intensive and vary with the local labor market. In this
proposed rule, for FY 2020, we are not proposing to make any further
changes to the national average proportion of operating costs that are
attributable to wages and salaries, employee benefits, professional
fees: Labor-related, administrative and facilities support services,
installation, maintenance, and repair services, and all other labor-
related services. Therefore, for FY 2020, we are proposing to continue
to use a labor-related share of 68.3 percent for discharges occurring
on or after October 1, 2019.
As discussed in section IV.B. of the preamble of this proposed
rule, prior to January 1, 2016, Puerto Rico hospitals were paid based
on 75 percent of the national standardized amount and 25 percent of the
Puerto Rico-specific standardized amount. As a result, we applied the
Puerto Rico-specific labor-related share percentage and nonlabor-
related share percentage to the Puerto Rico-specific standardized
amount. Section 601 of the Consolidated Appropriations Act, 2016 (Pub.
L. 114-113) amended section 1886(d)(9)(E) of the Act to specify that
the payment calculation with respect to operating costs of inpatient
hospital services of a subsection (d) Puerto Rico hospital for
inpatient hospital discharges on or after January 1, 2016, shall use
100 percent of the national standardized amount. Because Puerto Rico
hospitals are no longer paid with a Puerto Rico-specific standardized
amount as of January 1, 2016, under section 1886(d)(9)(E) of the Act as
amended by section 601 of the Consolidated Appropriations Act, 2016,
there is no longer a need for us to calculate a Puerto Rico-specific
labor-related share percentage and nonlabor-related share percentage
for application to the Puerto Rico-specific standardized amount.
Hospitals in Puerto Rico are now paid 100 percent of the national
standardized amount and, therefore, are subject to the national labor-
related share and nonlabor-related share percentages that are applied
to the national standardized amount. Accordingly, for FY 2020, we are
not proposing a Puerto Rico-specific labor-related share percentage or
a nonlabor-related share percentage.
Tables 1A and 1B, which are published in section VI. of the
Addendum to this FY 2020 IPPS/LTCH PPS proposed rule and available via
the internet on the CMS website, reflect the proposed national labor-
related share, which is also applicable to Puerto Rico hospitals. For
FY 2020, for all IPPS hospitals (including Puerto Rico hospitals) whose
wage indexes are less than or equal to 1.0000, we are proposing to
apply the wage index to a labor-related share of 62 percent of the
national standardized amount. For all IPPS hospitals (including Puerto
Rico hospitals) whose wage indexes are greater than 1.000, for FY 2020,
we are proposing to apply the wage index to a proposed labor-related
share of 68.3 percent of the national standardized amount.
N. Proposals To Address Wage Index Disparities Between High and Low
Wage Index Hospitals
In the FY 2019 IPPS/LTCH PPS proposed rule (83 FR 20372), we
invited the public to submit further comments, suggestions, and
recommendations for regulatory and policy changes to the Medicare wage
index. Many of the responses received from this request for information
(RFI) reflect a common concern that the current wage index system
perpetuates and exacerbates the disparities between high and low wage
index hospitals. Many respondents also expressed concern that the
calculation of the rural floor has allowed a limited number of States
to manipulate the wage index system to achieve higher wages for many
urban hospitals in those states at the expense of hospitals in other
states, which also contributes to wage index disparities.
To help mitigate these wage index disparities, including those
resulting from the inclusion of hospitals with rural reclassifications
under 42 CFR 412.103 in the calculation of the rural floor, we are
proposing to reduce the disparity between high and low wage index
hospitals by increasing the wage index values for certain hospitals
with low wage index values and decreasing the wage index values for
certain hospitals with high wage index values to maintain budget
neutrality, and changing the calculation of the rural floor, as further
discussed below. We also are proposing a transition for hospitals
experiencing significant decreases in their wage index values as a
result of our proposed wage index policies. We discuss these proposed
changes to the wage index in more detail below.
1. Prior Rulemaking Public Comments
As described in the FY 2019 IPPS/LTCH PPS proposed rule (83 FR
20372 through 20377), there have been numerous studies, analyses, and
reports on ways to revise the Medicare wage index. In public comments
received on prior rulemakings for FYs 2009, 2010, and 2011, many
commenters argued that the current labor market definitions and wage
data sources used by CMS, in many instances, are not reflective of the
true cost of labor for any given hospital or are inappropriate to use
for this purpose because of, for example, the resulting payment
disparities, or both. For our responses to public comments received on
the FY 2009 IPPS/LTCH PPS proposed rule, we refer readers to the FY
2009 IPPS/LTCH PPS final rule (73 FR 48563 through 48567); for
responses to public comments on the FY 2010 IPPS/LTCH PPS proposed
rule, we refer readers to the FY 2010 IPPS/LTCH PPS final rule (74 FR
43824 through 43826); and for responses to public comments on the FY
2011 IPPS/LTCH PPS proposed rule, we refer readers to the FY 2011 IPPS/
LTCH PPS final rule (75 FR 50157 through 50160). The public comments on
these proposed rules are available at www.regulations.gov under file
numbers CMS-1390-P, CMS-1406-P, and CMS-1498-P, respectively.
In the FY 2019 IPPS/LTCH proposed rule, we invited the public to
submit further comments, suggestions, and recommendations for
regulatory and policy changes to the Medicare wage index. We requested
the public to submit appropriate supporting data and specific
recommendations in their comments. We also welcomed analysis
[[Page 19394]]
regarding CMS' authority for our consideration. We received many
comments, many of which addressed wage index disparities between high
and low wage index hospitals. The following is a summary of the
comments we received on the wage index disparity issue. We note that we
also received comments regarding other aspects of the wage index
system, including current labor market areas, MGCRB reclassifications,
use of alternative data, and the use of the hospital wage index by
nonhospital providers. We will continue to consider those comments for
potential future rulemaking.
2. Public Comments on Wage Index Disparities in Response to the Request
for Information in the FY 2019 IPPS/LTCH PPS Proposed Rule
One of the concerns regarding the wage index system expressed by
hospitals in low wage index areas is the disparity in wage index values
between high and low wage index areas. The following comment, received
in response to the request for information in the FY 2019 IPPS/LTCH PPS
proposed rule, is a typical comment in this regard:
``The most significant issue with the current system can be traced
to the data sources used to calculate the wage index. Relying
exclusively on hospital cost reports as the source to calculate the
wage index allows hospitals in States with significantly higher wage
indexes to maintain and improve their favorable position in the current
system by setting higher than market value wages for their employees.
The higher wage hospitals can, by virtue of higher Medicare payments,
afford to pay wages that allow them to continue as a high wage index
State. Low wage index States . . . cannot afford to pay wages that
would allow their hospitals to climb back toward the median wage index.
Over time this condition of circularity has increased the gap between
the wage indexes of the high and low wage States to a much larger
degree than what the wage index was initially designed to address, the
difference in labor markets across the country for comparable
services.''
For discussion purposes, we will refer to this situation as the
``downward spiral,'' as this term has been used by some stakeholders to
describe this issue. Some respondents stated that the disparity between
the higher and lower wage index areas continues to grow and suggested
that the problem is, in large part, due to providers in low wage index
areas having difficulty keeping pace with competitive labor costs and
having to reduce expenses in other areas to make up for it. Some
respondents indicated that the downward spiral faced by hospitals in
low wage index areas was the most important wage index issue facing the
system and it needed to be addressed quickly.
Some respondents recommended that CMS create a wage index floor for
low wage hospitals, and that, in order to maintain budget neutrality,
CMS reduce the wage index values for high wage hospitals through the
creation of wage index ceiling.
Some respondents also indicated that the current wage index
methodology encourages misuse and opportunist gaming, especially in the
area of urban to rural reclassifications and the rural floor. According
to these respondents, under current policies, providers in some urban
areas are able to reclassify to a rural area and substantially raise
the rural floor for an entire State. Several respondents suggested that
this is inconsistent with the intent of the rural floor policy, which
is to protect vulnerable urban hospitals, and that the policy was not
intended to allow urban hospitals to artificially inflate the rural
floor through urban to rural reclassification. These respondents
indicated that, because the rural floor policy is budget neutral
nationally, all providers throughout the country that do not benefit
from the rural floor policy have their payments lowered due to this
misuse and opportunistic gaming. These respondents stressed that this
further contributes to financial distress of hospitals in low wage
index areas.
Some respondents stated that CMS has the regulatory authority to
determine how it calculates the rural floor. They stated that the
calculation should mirror the spirit and intent of law by only
considering the geographically rural providers in a State when
calculating a rural floor. According to these respondents, CMS should
consider changing the existing calculation to include only the
geographically rural providers when calculating the rural floor for a
State in order to ensure that existing regulatory policy around the
rural floor calculation meets the intent of law and does not harm
vulnerable providers the law intended to protect.
Other commenters were not critical in their comments regarding wage
index disparities. The following is a typical comment arguing that the
reflection of such disparities in the wage index is appropriate:
``CMS has requested comments on wage index disparities, but we urge
the agency to continue to recognize that as long as there are
`disparities' in the cost of labor and cost of living between different
parts of the country, there will and should always be wage index
`disparities'. The area wage index is intended to recognize differences
in resource use across types and location of hospitals. In a quest to
smooth out so-called `disparities', we urge CMS to continue to
adequately account for these resource differences in its payment
systems.''
Some commenters indicated that further analysis and study are
needed. The following comment is a typical comment expressing this
view:
``The area wage index is intended to recognize differences in
resource use across types and location of hospitals. If these resource
differences are not adequately accounted for by Medicare payment
adjustments, hospitals are either inappropriately rewarded or put under
fiscal pressure. Taking this into account, hospitals have repeatedly
expressed concern that the wage index is greatly flawed in many
respects, including its accuracy, volatility, circularity, and
substantial reclassifications and exceptions. Members of Congress and
Medicare officials also have voiced concerns with the present system.
While a consensus solution to the wage index's shortcomings has not yet
been developed, further analysis of alternatives is needed to identify
approaches that promote payment adjustments that are accurate, fair,
and effective.''
As noted earlier, we also received comments regarding other aspects
of the wage index system. We will continue to consider those responses
for potential future rulemaking. We encourage interested members of the
public to review all the comments on the wage index received in
response to the request for information in their entirety, which are
available at www.regulations.gov under file number CMS-1694-P.
3. Proposals To Address Wage Index Disparities
a. Providing an Opportunity for Low Wage Index Hospitals To Increase
Employee Compensation
As CMS and other entities have stated in the past, comprehensive
wage index reform would require both statutory and regulatory changes,
and could require new data sources. Notwithstanding the challenges
associated with comprehensive wage index reform, we agree with
respondents to the request for information who indicated that some
current wage index policies create barriers to hospitals with low wage
index values from being able to increase employee compensation due to
the lag
[[Page 19395]]
between when hospitals increase the compensation and when those
increases are reflected in the calculation of the wage index. (We note
that this lag results from the fact that the wage index calculations
rely on historical data.) We also agree that addressing this systemic
issue does not need to wait for comprehensive wage index reform given
the growing disparities between low and high wage index hospitals,
including rural hospitals that may be in financial distress and facing
potential closure. Therefore, in response to these concerns, we are
proposing a policy that would provide certain low wage index hospitals
with an opportunity to increase employee compensation without the usual
lag in those increases being reflected in the calculation of the wage
index.
In general terms, as discussed further below, we are proposing to
increase the wage index values for hospitals with a wage index value in
the lowest quartile of the wage index values across all hospitals.
Quartiles are a common way to divide a distribution, and therefore we
believe it is appropriate to divide the wage indexes into quartiles for
this purpose. For example, the interquartile range is a common measure
of variability based on dividing data into quartiles. Furthermore,
quartiles are used to divide distributions for other purposes under the
Medicare program. For example, when determining Medicare Advantage
benchmarks, excluding quality bonuses, counties are organized into
quartiles based on their Medicare fee-for-service (FFS) spending. Also,
Congress chose the worst performing quartile of hospitals for the
Hospital-Acquired Condition Reduction Program penalty. (We refer
readers to section IV.J. of the preamble of this proposed rule for a
discussion of the Hospital-Acquired Condition Reduction Program.)
Having determined that quartiles are a reasonable method of dividing
the distribution of hospitals' wage index values, we believe that
identifying hospitals in the lowest quartile as low wage index
hospitals, hospitals in the second and third ``middle'' quartiles as
hospitals with wages index values that are neither low nor high, and
hospitals in the highest quartile as hospitals with high wage index
values, is then a reasonable method of determining low wage index and
high wage index hospitals for purposes of our proposals (discussed
below) addressing wage index disparities. While we acknowledge that
there is no set standard for identifying hospitals as having low or
high wage index values, we believe our proposed quartile approach is
reasonable for this purpose, given that, as discussed above, quartiles
are a common way to divide distributions, and this proposed approach is
consistent with approaches used in other areas of the Medicare program.
Based on the data for this proposed rule, for FY 2020, the 25th
percentile wage index value across all hospitals is 0.8482. If this
policy is adopted in the final rule, this number would be updated in
the final rule based on the final wage index values.
Under our proposed methodology, we are proposing to increase the
wage index for hospitals with a wage index value below the 25th
percentile wage index. The proposed increase in the wage index for
these hospitals would be equal to half the difference between the
otherwise applicable final wage index value for a year for that
hospital and the 25th percentile wage index value for that year across
all hospitals. For example, assume the otherwise applicable final FY
2020 wage index value for a geographically rural hospital in Alabama is
0.6663, and the 25th percentile wage index value for FY 2020 is 0.8482.
Half the difference between the otherwise applicable wage index value
and the 25th percentile wage index value is 0.0910 (that is, (0.8482 -
0.6663)/2). Under our proposal, the FY 2020 wage index value for such a
hospital would be 0.7573 (that is, 0.6663 + 0.0910).
Some respondents to the request for information indicated that CMS
should establish a wage index floor for hospitals with low wage index
values. However, we believe that it is important to preserve the rank
order of the wage index values under the current policy and, therefore,
are proposing to increase the wage index for the low-wage index
hospitals described above by half the difference between the otherwise
applicable final wage index value and the 25th percentile wage index
value. We believe the rank order generally reflects meaningful
distinctions between the employee compensation costs faced by hospitals
in different geographic areas. Although wage index value differences
between areas may be artificially magnified by the current wage index
policies, we do not believe those differences are nonexistent. For
example, if we were to instead create a floor to address the lag issue
discussed above, it does not seem likely that hospitals in Puerto Rico
and Alabama would have the same wage index value after hospitals in
both areas have had the opportunity increase their employee
compensation costs. We believe a distinction between their wage index
values would remain because hospitals in these areas face different
employee compensation costs in their respective labor market areas.
We are proposing that this policy would be effective for at least 4
years, beginning in FY 2020, in order to allow employee compensation
increases implemented by these hospitals sufficient time to be
reflected in the wage index calculation. For the FY 2020 wage index, we
are proposing to use data from the FY 2016 cost reports. Four years is
the minimum time before increases in employee compensation included in
the Medicare cost report could be reflected in the wage index data, and
additional time may be necessary. We intend to revisit the issue of the
duration of the policy in future rulemaking as we gain experience under
the policy if adopted.
b. Budget Neutrality for Providing an Opportunity for Low Wage Index
Hospitals To Increase Employee Compensation
As noted earlier, in response to the request for information on
wage index disparities in the FY 2019 IPPS/LTCH PPS proposed rule, some
respondents recommended that CMS create a wage index floor for low wage
index hospitals, and that, in order to maintain budget neutrality, CMS
reduce the wage index values for high wage index hospitals through the
creation of wage index ceiling.
While we do not believe it would be appropriate to create a wage
index floor or a wage index ceiling as suggested in the comment
summarized above, we believe the suggestion that we provide a mechanism
to increase the wage index of low wage index hospitals (as we have
proposed in section III.N.3.a. of the preamble of this proposed rule)
while maintaining budget neutrality for that increase through an
adjustment to the wage index of high wage index hospitals has two key
merits. First, by compressing the wage index for hospitals on the high
and low ends, that is, those hospitals with a low wage index and those
hospitals with a high wage index, such a methodology increases the
impact on existing wage index disparities more than by simply
addressing one end. Second, such a methodology ensures those hospitals
in the middle, that is, those hospitals whose wage index is not
considered high or low, do not have their wage index values affected by
this proposed policy. Thus, given the growing disparities between low
wage index hospitals and high wage index hospitals, consistent with the
comment summarized above, we believe it would
[[Page 19396]]
be appropriate to maintain budget neutrality for the low wage index
policy proposed in section III.N.3.a. of the preamble of this proposed
rule by adjusting the wage index for high wage index hospitals.
As discussed earlier, we believe it is important to preserve the
rank order of wage index values because the rank order generally
reflects meaningful distinctions between the employee compensation
costs faced by hospitals in different geographic areas. Although wage
index value differences between areas (including areas with high wage
index hospitals) may be artificially magnified by the current wage
index policies, we do not believe those differences are nonexistent,
and therefore, we do not believe it would be appropriate to set a wage
index ceiling or floor. Accordingly, in order to offset the estimated
increase in IPPS payments to hospitals with wage index values below the
25th percentile under our proposal in section III.N.3.a. of the
preamble of this proposed rule, we are proposing to decrease the wage
index values for hospitals with high wage index values, but preserve
the rank order among those values, as further discussed below.
As discussed in section III.N.3.a. of the preamble of this proposed
rule, we believe it is reasonable to divide all hospitals into
quartiles based on their wage index value whereby we identify hospitals
in the lowest quartile as low wage index hospitals, hospitals in the
second and third ``middle'' quartiles as hospitals with wage index
values that are neither high nor low, and hospitals in the highest
quartile as hospitals with high wage index values. We believe our
proposed quartile approach is reasonable for this purpose, given that,
as discussed above, quartiles are a common way to divide distributions,
and this proposed approach is consistent with approaches used in other
areas of the Medicare program. Therefore, we are proposing to identify
high wage index hospitals as hospitals in the highest quartile, and in
the budget neutrality discussion that follows, we refer to hospitals
with wage index values above the 75th percentile wage index value
across all hospitals for a fiscal year as ``high wage index
hospitals.''
To ensure our proposal in section III.N.3.a. of the preamble of
this proposed rule is budget neutral, we are proposing to reduce the
wage index values for high wage index hospitals using a methodology
analogous to the methodology used to increase the wage index values for
low wage index hospitals described in section III.N.3.a. of the
preamble of this proposed rule; that is, we are proposing to decrease
the wage index values for high wage index hospitals by a uniform factor
of the distance between the hospital's otherwise applicable wage index
and the 75th percentile wage index value for a fiscal year across all
hospitals. As described below, the proposed budget neutrality
adjustment factor is 3.4 percent for FY 2020.
In calculating the proposed budget neutrality adjustment factor for
our proposal in section III.N.3.a. of the preamble of this proposed
rule, we would first examine the distance between the wage index values
for high wage index hospitals and the 75th percentile wage index value
across all hospitals for a fiscal year. Based on the data for this
proposed rule, the 75th percentile wage index value is 1.0351.
Therefore, for example, if high wage index Hospital A had an otherwise
applicable wage index value of 1.7351, the distance between that
hospital's wage index value and the 75th percentile is 0.7000 (that is,
1.7351 - 1.0351). If high wage index Hospital B had an otherwise
applicable wage index value of 1.2351, the distance between that
hospital's wage index value and the 75th percentile is 0.2000 (that is,
1.2351 - 1.0351).
We would next estimate the uniform multiplicative budget neutrality
factor needed to reduce those distances for all high wage index
hospitals so that the estimated decreased aggregate payments to high
wage index hospitals offset the estimated increased aggregate payments
to low wage index hospitals under our proposed policy in section
III.N.3.a. of the preamble of this proposed rule. Based on the data for
this proposed rule, we estimate this factor is 3.4 percent for FY 2020.
Therefore, in the examples we provided earlier, the distance
between Hospital A's wage index value and the 75th percentile would be
reduced by 0.0238 (that is, the prior distance of 0.7000 * 0.034), and
therefore the wage index for Hospital A after application of the
proposed budget neutrality adjustment would be 1.7113 (that is, 1.7351
- 0.0238). The distance between Hospital B's wage index value and the
75th percentile would be reduced by 0.0068 (that is, the prior distance
of 0.2000 * 0.034), and therefore the wage index for Hospital B after
application of the proposed budget neutrality adjustment would be
1.2283 (that is, 1.2351-0.0068).
We believe we have authority to implement our lowest quartile wage
index proposal in section III.N.3.a. of the preamble of this proposed
rule and our budget neutrality proposal in this section III.N.3.b. of
the preamble of this proposed rule under section 1886(d)(3)(E) of the
Act (which gives the Secretary broad authority to adjust for area
differences in hospital wage levels by a factor (established by the
Secretary) reflecting the relative hospital wage level in the
geographic area of the hospital compared to the national average
hospital wage level, and requires those adjustments to be budget
neutral), and under our exceptions and adjustments authority under
section 1886(d)(5)(I) of the Act.
c. Preventing Inappropriate Payment Increases Due to Rural
Reclassifications Under the Provisions of 42 CFR 412.103
We also agree with respondents to the request for information who
indicated that another contributing systemic factor to wage index
disparities is the rural floor. As discussed in section III.G.1. of the
preamble of this proposed rule, section 4410(a) of Public Law 105-33
provides that, for discharges on or after October 1, 1997, the area
wage index applicable to any hospital that is located in an urban area
of a State may not be less than the area wage index applicable to
hospitals located in rural areas in that State. Section 3141 of Public
Law 111-148 also requires that a national budget neutrality adjustment
be applied in implementing the rural floor.
The rural floor policy was addressed by the Office of the Inspector
General (OIG) in its recent November 2018 report, ``Significant
Vulnerabilities Exist in the Hospital Wage Index System for Medicare
Payment'' (A-01-17-00500), which is available on the OIG website at:
https://oig.hhs.gov/oas/reports/region1/11700500.pdf. The OIG stated
(we note that the footnote references included here were in the
original document but are not carried here):
``The stated legislative intent of the rural floor was to correct
the `anomaly' of `some urban hospitals being paid less than the average
rural hospital in their States.' \9\ However, MedPAC, an independent
congressional advisory board, has since stated that it is `not aware of
any empirical support for this policy,\10\ and that the policy is built
on the false assumption that hospital wage rates in all urban labor
markets in a State are always higher than the average hospital wage
rate in rural areas of that State.\11\ ''
As one simplified example for purposes of illustrating the rural
floor policy, assume that the rural wage index for a State is 1.1000.
Therefore, under current policy, the rural floor for that State would
be 1.1000. Any urban hospital with a wage index value below
[[Page 19397]]
1.1000 in that State would have its wage index value raised to 1.1000.
The additional Medicare payments to those urban hospitals in that State
increase the national budget neutrality adjustment for the rural floor
provision.
For a real world example of the impact of the rural floor policy,
we point to FY 2018, in which 366 urban hospitals benefitted from the
rural floor. The increase in the wage indexes of urban hospitals
receiving the rural floor was offset by a nationwide decrease in all
hospitals' wage indexes of approximately 0.67 percent. In
Massachusetts, that meant that 36 urban hospitals received a wage index
based on hospital wages in Nantucket, an island that is home to the
only rural hospital contributing to the State's rural floor wage index.
In the FY 2018 IPPS/LTCH PPS final rule (82 FR 38557), we estimated
that those 36 hospitals would receive an additional $44 million in
inpatient payments for the year. These increased payments were offset
by decreased payments to hospitals nationwide, and those decreases were
not based on actual local wage rates but on the current rural floor
calculation.
As acknowledged by the OIG, CMS has long recognized the disparate
impacts and unintended outcomes of the rural floor. We have stated that
the rural floor creates a benefit for a minority of States that is then
funded by a majority of States, including States that are
overwhelmingly rural in character (73 FR 23528 and 23622). We also have
stated that ``as a result of hospital actions not envisioned by
Congress, the rural floor is resulting in significant disparities in
wage index and, in some cases, resulting in situations where all
hospitals in a State receive a wage index higher than that of the
single highest wage index urban hospital in the State'' (76 FR 42170
and 42212).
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41748), we indicated
that wage index disparities associated with the rural floor
significantly increased in FY 2019 with the urban to rural
reclassification of an urban hospital in Massachusetts. We also note
that Massachusetts is not the only State where urban hospitals
reclassified as rural under Sec. 412.103 have a significant impact on
the State's rural floor. This also occurs, for example, in Arizona and
Connecticut. The rural floor policy was meant to address anomalies of
some urban hospitals being paid less than the average rural hospital in
their States, not to raise the payments of many hospitals in a State to
the high wage level of a geographically urban hospital.
We note that, for FY 2020, the urban Massachusetts hospital
reclassified as rural under Sec. 412.103 has an approved MGCRB
reclassification back to its geographic location, and, therefore, its
MGCRB reclassification is used for wage index calculation and payment
purposes in this proposed rule (that is, this hospital would not be
considered rural for wage index purposes). However, under our current
wage index policy, the hospital would be able to influence the
Massachusetts rural floor by withdrawing or terminating its MGCRB
reclassification in accordance with the regulation at Sec. 412.273 for
FY 2020 or subsequent years.
Returning to our simplified example, for purposes of illustrating
the impact of an urban to rural reclassification on the calculation of
the rural floor under current policy, again assume that the rural wage
index for a State is 1.1000. Therefore, under current policy, the rural
floor for that State would be 1.1000. Any urban hospital with a wage
index value below 1.1000 in that State would have its wage index value
raised to 1.1000. However, now assume that one urban hospital in that
State subsequently reclassifies from urban to rural and raises the
rural wage index from 1.1000 to 1.2000. Now, solely because of a
geographically urban hospital, the rural floor in that State would go
from 1.1000 to 1.2000 under current policy.
As noted by OIG in the November 2018 report referenced above, the
stated legislative intent of the rural floor was to correct the
``anomaly'' of ``some urban hospitals being paid less than the average
rural hospital in their States.'' (Report 105-149 of the Committee on
the Budget, House of Representatives, to Accompany H.R. 2015, June 24,
1997, section 10205, page 1305.) We believe that urban to rural
reclassifications have stretched the rural floor provision beyond a
policy designed to address such anomalies. Rather than raising the
payment of some urban hospitals to the level of the average rural
hospital in their State, urban hospitals may have their payments raised
to the relatively high level of one or more geographically urban
hospitals reclassified as rural. The current state of affairs with
respect to urban to rural reclassifications goes beyond the general
criticisms of the rural floor policy by MedPAC, CMS, OIG, and many
stakeholders. We believe an adjustment is necessary to address the
unanticipated effects of urban to rural reclassifications on the rural
floor and the resulting wage index disparities, including the
inappropriate wage index disparities caused by the manipulation of the
rural floor policy by some hospitals.
Therefore, given the circumstances described above, the comments
received on the request for information, and that urban to rural
reclassifications have stretched the rural floor provision beyond a
policy designed to address anomalies of some urban hospitals being paid
less than the average rural hospital in their States, we are proposing
to remove urban to rural reclassifications from the calculation of the
rural floor. In other words, under our proposal, beginning in FY 2020,
the rural floor would be calculated without including the wage data of
urban hospitals that have reclassified as rural under section
1886(d)(8)(E) of the Act (as implemented at Sec. 412.103). We believe
our proposed calculation methodology is permissible under section
1886(d)(8)(E) of the Act and the rural floor statute (section 4410 of
Pub. L. 105-33). Section 1886(d)(8)(E) of the Act does not specify
where the wage data of reclassified hospitals must be included.
Therefore, we believe we have discretion to exclude the wage data of
such hospitals from the calculation of the rural floor. Furthermore,
the rural floor statute does not specify how the rural floor wage index
is to be calculated or what data are to be included in the calculation.
Therefore, we also believe we have discretion under the rural floor
statute to exclude the wage data of hospitals reclassified under
section 1886(d)(8)(E) of the Act from the calculation of the rural
floor. We believe this proposed policy is necessary and appropriate to
address the unanticipated effects of rural reclassifications on the
rural floor and the resulting wage index disparities, including the
effects of the manipulation of the rural floor by certain hospitals. As
discussed above, the inclusion of reclassified hospitals in the rural
floor calculation has had the unforeseen effect of exacerbating the
wage index disparities between low and high wage index hospitals.
Therefore, under our proposal, in the case of Massachusetts, for
example, the geographically rural hospital in Nantucket would still be
included in the calculation of the rural floor for Massachusetts, but a
geographically urban hospital reclassified under Sec. 412.103 would
not.
Returning to our simplified example for purposes of illustrating
the impact of the proposed policy, again assume that the rural wage
index for a State is 1.1000 without any hospital in the State having
reclassified from urban to rural. Therefore, the rural floor for that
State would be 1.1000. Any urban hospital
[[Page 19398]]
with a wage index value below 1.1000 in that State would have its wage
index value raised to 1.1000. However, again assume that one urban
hospital in that State subsequently reclassifies from urban to rural
and raises the rural wage index from 1.1000 to 1.2000. Under our
proposed policy, the rural floor in that State would not go from 1.1000
to 1.2000, but would remain at 1.1000 because urban to rural
reclassifications would no longer impact the rural floor.
As we discuss earlier, the purpose of our proposal to calculate the
rural floor without including the wage data of urban hospitals
reclassified as rural under section 1886(d)(8)(E) of the Act (as
implemented at Sec. 412.103) is to address wage index disparities that
result when urban hospitals may have their payments raised to the
relatively high level of one or more geographically urban hospitals
reclassified as rural. In particular, we believe that no urban hospital
not reclassified as rural should have its payments raised to the
relatively high level of one or more geographically urban hospitals
reclassified as rural, and we believe it would be inappropriate to
prevent this for one class of urban hospitals not reclassified as rural
(that is, under the rural floor provision) but allow this for another.
As such, for consistent treatment of urban hospitals not reclassified
as rural, we also are proposing to apply the provisions of section
1886(d)(8)(C)(iii) of the Act without including the wage data of urban
hospitals that have reclassified as rural under section 1886(d)(8)(E)
of the Act (as implemented at Sec. 412.103). Because section
1886(d)(8)(C)(iii) of the Act provides that reclassifications under
section 1886(d)(8)(B) of the Act and section 1886(d)(10) of the Act may
not reduce any county's wage index below the wage index for rural areas
in the State, we are making this proposal to help ensure no urban
hospitals not reclassified as rural, including those hospitals with no
reclassification as well as those hospitals reclassified under section
1886(d)(8)(B) of the Act or section 1886(d)(10) of the Act, have their
payments raised to the relatively high level of one or more
geographically urban hospitals reclassified as rural. Specifically, for
purposes of applying the provisions of section 1886(d)(8)(C)(iii) of
the Act, we are proposing to remove urban to rural reclassifications
from the calculation of ``the wage index for rural areas in the State
in which the county is located'' referred to in section
1886(d)(8)(C)(iii) of the Act.
d. Proposed Transition for Hospitals Negatively Impacted
We recognize that, absent further adjustments, the combined effect
of the proposed changes to the FY 2020 wage index could lead to
significant decreases in the wage index values for some hospitals
depending on the data for the final rule. In the past, we have proposed
and finalized budget neutral transition policies to help mitigate any
significant negative impacts on hospitals of certain wage index
proposals, and we believe it would be appropriate to propose a
transition policy here for the same purpose. For example, in the FY
2015 IPPS/LTCH PPS final rule (79 FR 49957 through 49963), we finalized
a budget neutral transition to address certain wage index changes that
occurred under the new OMB CBSA delineations.
Therefore, for FY 2020, we are proposing a transition wage index to
help mitigate any significant decreases in the wage index values of
hospitals compared to their final wage indexes for FY 2019.
Specifically, for FY 2020, we are proposing to place a 5-percent cap on
any decrease in a hospital's wage index from the hospital's final wage
index in FY 2019. In other words, we are proposing that a hospital's
final wage index for FY 2020 would not be less than 95 percent of its
final wage index for FY 2019. This proposed transition would allow the
effects of our proposed policies to be phased in over 2 years with no
estimated reduction in the wage index of more than 5 percent in FY 2020
(that is, no cap would be applied the second year). We believe 5
percent is a reasonable level for the cap because it would effectively
mitigate any significant decreases in the wage index for FY 2020.
However, we are seeking public comments on alternative levels for the
cap and accompanying rationale. Under the proposed transition policy,
we would compute the proposed FY 2020 wage index for each hospital as
follows.
Step 1.--Compute the proposed FY 2020 ``uncapped'' wage index that
would result from the implementation of proposed changes to the FY 2020
wage index.
Step 2.--Compute a proposed FY 2020 ``capped'' wage index which
would equal 95 percent of that provider's FY 2019 final wage index.
Step 3.--The proposed FY 2020 wage index is the greater of the
``uncapped'' wage index computed in Step 1 or the ``capped'' wage index
computed in Step 2.
e. Transition Budget Neutrality
We are proposing to apply a budget neutrality adjustment to the
standardized amount so that our proposed transition (described in
section III.N.3.c. of the preamble of this proposed rule) for hospitals
that could be negatively impacted is implemented in a budget neutral
manner under our authority in section 1886(d)(5)(I) of the Act. We note
that implementing the proposed transition wage index in a budget
neutral manner is consistent with past practice (for example, 79 FR
50372) where CMS has used its exceptions and adjustments authority
under section 1886(d)(5)(I)(i) of the Act to budget neutralize
transition wage index policies when such policies allow for the
application of a transitional wage index only when it benefits the
hospital. We believed, and continue to believe, that it would be
appropriate to ensure that such policies do not increase estimated
aggregate Medicare payments beyond the payments that would be made had
we never proposed these transition policies (79 FR 50732). Therefore,
for FY 2020, we are proposing to use our exceptions and adjustments
authority under section 1886(d)(5)(I)(i) of the Act to apply a budget
neutrality adjustment to the standardized amount so that our proposed
transition (described in section III.N.3.d. of the preamble of this
proposed rule) for hospitals negatively impacted is implemented in a
budget neutral manner.
Specifically, we are proposing to apply a budget neutrality
adjustment to ensure that estimated aggregate payments under our
proposed transition (described in section III.N.3.d. of the preamble of
this proposed rule) for hospitals negatively impacted by our proposed
wage index policies would equal what estimated aggregate payments would
have been without the proposed transition for hospitals negatively
impacted. To determine the associated budget neutrality factor, we
compared estimated aggregate IPPS payments with and without the
proposed transition. To achieve budget neutrality for the proposed
transition policy, we are proposing to apply a budget neutrality
adjustment factor of 0.998349 to the FY 2020 standardized amount, as
further discussed in section I.A.4.f. of the Addendum to this proposed
rule. If this policy is adopted in the final rule, this number would be
updated based on the final rule data.
We note that our proposal, discussed in section III.N.3.c. of the
preamble of this proposed rule, to prevent inappropriate payment
increases due rural reclassifications under Sec. 412.103 would also be
budget neutral, but this budget neutrality would occur through the
proposed budget neutrality
[[Page 19399]]
adjustments for geographic reclassifications and the rural floor that
are discussed in the Addendum to this proposed rule.
IV. Other Decisions and Proposed Changes to the IPPS for Operating
System
A. Proposed Changes to MS-DRGs Subject to Postacute Care Transfer
Policy and MS-DRG Special Payments Policies (Sec. 412.4)
1. Background
Existing regulations at 42 CFR 412.4(a) define discharges under the
IPPS as situations in which a patient is formally released from an
acute care hospital or dies in the hospital. Section 412.4(b) defines
acute care transfers, and Sec. 412.4(c) defines postacute care
transfers. Our policy set forth in Sec. 412.4(f) provides that when a
patient is transferred and his or her length of stay is less than the
geometric mean length of stay for the MS-DRG to which the case is
assigned, the transferring hospital is generally paid based on a
graduated per diem rate for each day of stay, not to exceed the full
MS-DRG payment that would have been made if the patient had been
discharged without being transferred.
The per diem rate paid to a transferring hospital is calculated by
dividing the full MS-DRG payment by the geometric mean length of stay
for the MS-DRG. Based on an analysis that showed that the first day of
hospitalization is the most expensive (60 FR 45804), our policy
generally provides for payment that is twice the per diem amount for
the first day, with each subsequent day paid at the per diem amount up
to the full MS-DRG payment (Sec. 412.4(f)(1)). Transfer cases also are
eligible for outlier payments. In general, the outlier threshold for
transfer cases, as described in Sec. 412.80(b), is equal to the fixed-
loss outlier threshold for nontransfer cases (adjusted for geographic
variations in costs), divided by the geometric mean length of stay for
the MS-DRG, and multiplied by the length of stay for the case, plus 1
day.
We established the criteria set forth in Sec. 412.4(d) for
determining which DRGs qualify for postacute care transfer payments in
the FY 2006 IPPS final rule (70 FR 47419 through 47420). The
determination of whether a DRG is subject to the postacute care
transfer policy was initially based on the Medicare Version 23.0
GROUPER (FY 2006) and data from the FY 2004 MedPAR file. However, if a
DRG did not exist in Version 23.0 or a DRG included in Version 23.0 is
revised, we use the current version of the Medicare GROUPER and the
most recent complete year of MedPAR data to determine if the DRG is
subject to the postacute care transfer policy. Specifically, if the MS-
DRG's total number of discharges to postacute care equals or exceeds
the 55th percentile for all MS-DRGs and the proportion of short-stay
discharges to postacute care to total discharges in the MS-DRG exceeds
the 55th percentile for all MS-DRGs, CMS will apply the postacute care
transfer policy to that MS-DRG and to any other MS-DRG that shares the
same base MS-DRG. The statute directs us to identify MS-DRGs based on a
high volume of discharges to postacute care facilities and a
disproportionate use of postacute care services. As discussed in the FY
2006 IPPS final rule (70 FR 47416), we determined that the 55th
percentile is an appropriate level at which to establish these
thresholds. In that same final rule (70 FR 47419), we stated that we
will not revise the list of DRGs subject to the postacute care transfer
policy annually unless we are making a change to a specific MS-DRG.
To account for MS-DRGs subject to the postacute care policy that
exhibit exceptionally higher shares of costs very early in the hospital
stay, Sec. 412.4(f) also includes a special payment methodology. For
these MS-DRGs, hospitals receive 50 percent of the full MS-DRG payment,
plus the single per diem payment, for the first day of the stay, as
well as a per diem payment for subsequent days (up to the full MS-DRG
payment (Sec. 412.4(f)(6)). For an MS-DRG to qualify for the special
payment methodology, the geometric mean length of stay must be greater
than 4 days, and the average charges of 1-day discharge cases in the
MS-DRG must be at least 50 percent of the average charges for all cases
within the MS-DRG. MS-DRGs that are part of an MS-DRG severity level
group will qualify under the MS-DRG special payment methodology policy
if any one of the MS-DRGs that share that same base MS-DRG qualifies
(Sec. 412.4(f)(6)).
Prior to the enactment of the Bipartisan Budget Act of 2018 (Pub.
L. 115-123), under section 1886(d)(5)(J) of the Act, a discharge was
deemed a ``qualified discharge'' if the individual was discharged to
one of the following postacute care settings:
A hospital or hospital unit that is not a subsection (d)
hospital.
A skilled nursing facility.
Related home health services provided by a home health
agency provided within a timeframe established by the Secretary
(beginning within 3 days after the date of discharge).
Section 53109 of the Bipartisan Budget Act of 2018 amended section
1886(d)(5)(J)(ii) of the Act to also include discharges to hospice care
provided by a hospice program as a qualified discharge, effective for
discharges occurring on or after October 1, 2018. Accordingly,
effective for discharges occurring on or after October 1, 2018, if a
discharge is assigned to one of the MS-DRGs subject to the postacute
care transfer policy and the individual is transferred to hospice care
by a hospice program, the discharge is subject to payment as a transfer
case. In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41394), we made
conforming amendments to Sec. 412.4(c) of the regulation to include
discharges to hospice care occurring on or after October 1, 2018 as
qualified discharges. We specified that hospital bills with a Patient
Discharge Status code of 50 (Discharged/Transferred to Hospice--Routine
or Continuous Home Care) or 51 (Discharged/Transferred to Hospice,
General Inpatient Care or Inpatient Respite) are subject to the
postacute care transfer policy in accordance with this statutory
amendment. Consistent with our policy for other qualified discharges,
CMS claims processing software has been revised to identify cases in
which hospice benefits were billed on the date of hospital discharge
without the appropriate discharge status code. Such claims will be
returned as unpayable to the hospital and may be rebilled with a
corrected discharge code.
2. Proposed Changes for FY 2020
As discussed in section II.F. of the preamble of this FY 2020 IPPS/
LTCH PPS proposed rule, based on our analysis of FY 2018 MedPAR claims
data, we are proposing to make changes to a number of MS-DRGs,
effective for FY 2020. Specifically, we are proposing to:
Reassign procedure codes from MS-DRGs 216 through 218
(Cardiac Valve and Other Major Cardiothoracic Procedures with Cardiac
Catheterization with MCC, CC and without CC/MCC, respectively), MS-DRGs
219 through 221 (Cardiac Valve and Other Major Cardiothoracic
Procedures without Cardiac Catheterization with MCC, CC and without CC/
MCC, respectively), and MS-DRGs 273 and 274 (Percutaneous Intracardiac
Procedures with and without MCC, respectively) and create new MS-DRGs
319 and 320 (Other Endovascular Cardiac Valve Procedures with and
without MCC, respectively); and
Delete MS-DRGs 691 and 692 (Urinary Stones with ESW
Lithotripsy with CC/MCC and without CC/MCC,
[[Page 19400]]
respectively) and revise the titles for MS-DRGs 693 and 694 to
``Urinary Stones with MCC'' and ``Urinary Stones without MCC'',
respectively.
In light of the proposed changes to these MS-DRGs for FY 2020,
according to the regulations under Sec. 412.4(d), we evaluated these
MS-DRGs using the general postacute care transfer policy criteria and
data from the FY 2018 MedPAR file. If an MS-DRG qualified for the
postacute care transfer policy, we also evaluated that MS-DRG under the
special payment methodology criteria according to regulations at Sec.
412.4(f)(6). We continue to believe it is appropriate to reassess MS-
DRGs when proposing reassignment of procedure codes or diagnosis codes
that would result in material changes to an MS-DRG. MS-DRGs 216, 217,
218, 219, 220, and 221 are currently subject to the postacute care
transfer policy. As a result of our review, these MS-DRGs, as proposed
to be revised, would continue to qualify to be included on the list of
MS-DRGs that are subject to the postacute care transfer policy. MS-DRGs
273 and 274 are also currently subject to the postacute care transfer
policy and MS-DRGs 693 and 694 are currently not subject to the
postacute care transfer policy. As a result of our review, these MS-
DRGs, as proposed to be revised, would not qualify to be included on
the list of MS-DRGs that are subject to the postacute care transfer
policy. Proposed new MS-DRGs 319 and 320 also would not qualify to be
included on the list of MS-DRGs that are subject to the postacute care
transfer policy. Therefore, we are proposing to remove MS-DRGs 273 and
274 from the list of MS-DRGs that are subject to the postacute care
transfer policy. We note that MS-DRGs that are subject to the postacute
care transfer policy for FY 2019 and are not revised will continue to
be subject to the policy in FY 2020.
Using the December 2018 update of the FY 2018 MedPAR file, we
developed the chart below, which sets forth the most recent analysis of
the postacute care transfer policy criteria completed for this proposed
rule with respect to each of these proposed new or revised MS-DRGs. For
the FY 2020 final rule, we intend to update this analysis using the
most recent available data at that time.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Percent of
short-stay
Postacute care postacute care
Proposed new or transfers Short-stay transfers to Current postacute Proposed postacute
revised MS-DRGS MS-DRG title Total cases (55th postacute care all cases care transfer policy care transfer policy
percentile: transfers (55th status status
1,400) percentile:
8.5132%)
--------------------------------------------------------------------------------------------------------------------------------------------------------
216................. Cardiac Valve & Other 5,733 4,196 1,643 28.6586 Yes................. Yes.
Major Cardiothoracic
Procedure with
Cardiac
Catheterization with
MCC.
217................. Cardiac Valve & Other 2,317 1,551 424 18.2995 Yes................. Yes.
Major Cardiothoracic
Procedure with
Cardiac
Catheterization with
CC.
218................. Cardiac Valve & Other 599 * 328 67 11.1853 Yes................. ** Yes.
Major Cardiothoracic
Procedure with
Cardiac
Catheterization
without CC/MCC.
219................. Cardiac Valve & Other 13,177 9,216 3,450 26.182 Yes................. Yes.
Major Cardiothoracic
Procedure without
Cardiac
Catheterization with
MCC.
220................. Cardiac Valve & Other 16,201 10,247 2,914 17.9865 Yes................. Yes.
Major Cardiothoracic
Procedure without
Cardiac
Catheterization with
CC.
221................. Cardiac Valve & Other 6,070 3,205 239 * 3.9374 Yes................. ** Yes.
Major Cardiothoracic
Procedure without
Cardiac
Catheterization
without CC/MCC.
273................. Percutaneous 5,958 2,152 280 * 4.6996 Yes................. No.
Intracardiac
Procedures with MCC.
274................. Percutaneous 0 * 0 0 * 0 Yes................. No.
Intracardiac
Procedures without
MCC.
319................. Other Endovascular 1,651 * 842 191 11.5687 New................. No.
Cardiac Valve
Procedures with MCC.
320................. Other Endovascular 707 * 229 30 * 4.2433 New................. No.
Cardiac Valve
Procedures without
MCC.
693................. Urinary Stones with 1,300 * 541 81 * 6.2308 No.................. No.
MCC.
694................. Urinary Stones without 8,025 1,739 185 * 2.3053 No.................. No.
MCC.
--------------------------------------------------------------------------------------------------------------------------------------------------------
* Indicates a current postacute care transfer policy criterion that the MS-DRG did not meet.
** As described in the policy at 42 CFR 412.4(d)(3)(ii)(D), MS-DRGs that share the same base MS-DRG will all qualify under the postacute care transfer
policy if any one of the MS-DRGs that share that same base MS-DRG qualifies.
During our annual review of proposed new or revised MS-DRGs and
analysis of the December 2018 update of the FY 2018 MedPAR file, we
reviewed the list of proposed revised or new MS-DRGs that qualify to be
included on the list of MS-DRGs subject to the postacute care transfer
policy for FY 2020 to determine if any of these MS-DRGs would also be
subject to the special payment methodology policy for FY 2020. Based on
our analysis of proposed changes to MS-DRGs included in this proposed
rule, we determined that proposed revised MS-DRGs 216, 217, 218, 219,
220, and 221 would continue to meet the criteria for the MS-DRG special
payment methodology. Because we are proposing to remove MS-DRGs 273 and
274 from the list of MS-DRGs subject to the postacute care transfer
policy, we also are proposing to remove these MS-DRGs from the list of
MS-DRGs subject to the MS-DRG special payment methodology, effective FY
2020.
For the FY 2020 final rule, we intend to update this analysis using
the most recent available data at that time.
[[Page 19401]]
--------------------------------------------------------------------------------------------------------------------------------------------------------
50 Percent of
Geometric mean Average average
Proposed revised MS- MS-DRG title length of charges of 1- charges for Current special Proposed special
DRG stay day all cases payment policy status payment policy status
discharges within MS-DRG
--------------------------------------------------------------------------------------------------------------------------------------------------------
216..................... Cardiac Valve & Other 14.1126 0 $186,087.76 Yes..................... Yes.
Major Cardiothoracic
Procedure with Cardiac
Catheterization with MCC.
217..................... Cardiac Valve & Other 8.9229 147,964.00 128,141.91 Yes..................... Yes.
Major Cardiothoracic
Procedure with Cardiac
Catheterization with CC.
218..................... Cardiac Valve & Other 6.46878 203,555.50 101,286.68 Yes..................... Yes.
Major Cardiothoracic
Procedure with Cardiac
Catheterization without
CC/MCC.
219..................... Cardiac Valve & Other 9.48987 185,157.20 152,482.54 Yes..................... Yes.
Major Cardiothoracic
Procedure without Cardiac
Catheterization with MCC.
220..................... Cardiac Valve & Other 6.3373 115,955.36 101,812.54 Yes..................... Yes.
Major Cardiothoracic
Procedure without Cardiac
Catheterization with CC.
221..................... Cardiac Valve & Other 4.66413 127,074.88 82,400.23 Yes..................... Yes.
Major Cardiothoracic
Procedure without Cardiac
Catheterization without
CC/MCC.
--------------------------------------------------------------------------------------------------------------------------------------------------------
The proposed postacute care transfer and special payment policy
status of these MS-DRGs is reflected in Table 5 associated with this
proposed rule, which is listed in section VI. of the Addendum to this
proposed rule and available via the internet on the CMS website.
B. Proposed Changes in the Inpatient Hospital Update for FY 2020 (Sec.
412.64(d))
1. Proposed FY 2020 Inpatient Hospital Update
In accordance with section 1886(b)(3)(B)(i) of the Act, each year
we update the national standardized amount for inpatient hospital
operating costs by a factor called the ``applicable percentage
increase.'' For FY 2020, we are setting the applicable percentage
increase by applying the adjustments listed in this section in the same
sequence as we did for FY 2019. (We note that section
1886(b)(3)(B)(xii) of the Act required an additional reduction each
year only for FYs 2010 through 2019.) Specifically, consistent with
section 1886(b)(3)(B) of the Act, as amended by sections 3401(a) and
10319(a) of the Affordable Care Act, we are setting the applicable
percentage increase by applying the following adjustments in the
following sequence. The applicable percentage increase under the IPPS
for FY 2020 is equal to the rate-of-increase in the hospital market
basket for IPPS hospitals in all areas, subject to--
(a) A reduction of one-quarter of the applicable percentage
increase (prior to the application of other statutory adjustments; also
referred to as the market basket update or rate-of-increase (with no
adjustments)) for hospitals that fail to submit quality information
under rules established by the Secretary in accordance with section
1886(b)(3)(B)(viii) of the Act;
(b) A reduction of three-quarters of the applicable percentage
increase (prior to the application of other statutory adjustments; also
referred to as the market basket update or rate-of-increase (with no
adjustments)) for hospitals not considered to be meaningful EHR users
in accordance with section 1886(b)(3)(B)(ix) of the Act; and
(c) An adjustment based on changes in economy-wide productivity
(the multifactor productivity (MFP) adjustment).
Section 1886(b)(3)(B)(xi) of the Act, as added by section 3401(a)
of the Affordable Care Act, states that application of the MFP
adjustment may result in the applicable percentage increase being less
than zero.
In compliance with section 404 of the MMA, in the FY 2018 IPPS/LTCH
PPS final rule (82 FR 38158 through 38175), we replaced the FY 2010-
based IPPS operating market basket with the rebased and revised 2014-
based IPPS operating market basket, effective with FY 2018.
We are proposing to base the proposed FY 2020 market basket update
used to determine the applicable percentage increase for the IPPS on
IHS Global Inc.'s (IGI's) fourth quarter 2018 forecast of the 2014-
based IPPS market basket rate-of-increase with historical data through
third quarter 2018, which is estimated to be 3.2 percent. We also are
proposing that if more recent data subsequently become available (for
example, a more recent estimate of the market basket and the MFP
adjustment), we would use such data, if appropriate, to determine the
FY 2020 market basket update and the MFP adjustment in the final rule.
For FY 2020, depending on whether a hospital submits quality data
under the rules established in accordance with section
1886(b)(3)(B)(viii) of the Act (hereafter referred to as a hospital
that submits quality data) and is a meaningful EHR user under section
1886(b)(3)(B)(ix) of the Act (hereafter referred to as a hospital that
is a meaningful EHR user), there are four possible applicable
percentage increases that can be applied to the standardized amount, as
specified in the table that appears later in this section.
In the FY 2012 IPPS/LTCH PPS final rule (76 FR 51689 through
51692), we finalized our methodology for calculating and applying the
MFP adjustment. As we explained in that rule, section
1886(b)(3)(B)(xi)(II) of the Act, as added by section 3401(a) of the
Affordable Care Act, defines this productivity adjustment as equal to
the 10-year moving average of changes in annual economy-wide, private
nonfarm business MFP (as projected by the Secretary for the 10-year
period ending with the applicable fiscal year, calendar year, cost
reporting period, or other annual period). The Bureau of Labor
Statistics (BLS) publishes the official measure of private nonfarm
business MFP. We refer readers to the BLS website at https://www.bls.gov/mfp for the BLS historical published MFP data.
MFP is derived by subtracting the contribution of labor and capital
input growth from output growth. The projections of the components of
MFP are currently produced by IGI, a nationally recognized economic
[[Page 19402]]
forecasting firm with which CMS contracts to forecast the components of
the market baskets and MFP. As we discussed in the FY 2016 IPPS/LTCH
PPS final rule (80 FR 49509), beginning with the FY 2016 rulemaking
cycle, the MFP adjustment is calculated using the revised series
developed by IGI to proxy the aggregate capital inputs. Specifically,
in order to generate a forecast of MFP, IGI forecasts BLS aggregate
capital inputs using a regression model. A complete description of the
MFP projection methodology is available on the CMS website at: https://www.cms.gov/Research-Statistics-Data-and-Systems/Statistics-Trends-and-Reports/MedicareProgramRatesStats/MarketBasketResearch.html. As
discussed in the FY 2016 IPPS/LTCH PPS final rule, if IGI makes changes
to the MFP methodology, we will announce them on our website rather
than in the annual rulemaking.
For FY 2020, we are proposing an MFP adjustment of 0.5 percentage
point. Similar to the market basket update, for this proposed rule, we
used IGI's fourth quarter 2018 forecast of the MFP adjustment to
compute the proposed FY 2020 MFP adjustment. As noted previously, we
are proposing that if more recent data subsequently become available,
we would use such data, if appropriate, to determine the FY 2020 market
basket update and the MFP adjustment for the final rule.
Based on these data, for this proposed rule, we have determined
four proposed applicable percentage increases to the standardized
amount for FY 2020, as specified in the following table:
Proposed FY 2020 Applicable Percentage Increases for the IPPS
----------------------------------------------------------------------------------------------------------------
Hospital Hospital Hospital did Hospital did
submitted submitted NOT submit NOT submit
quality data quality data quality data quality data
FY 2020 and is a and is NOT a and is a and is NOT a
meaningful EHR meaningful EHR meaningful EHR meaningful EHR
user user user user
----------------------------------------------------------------------------------------------------------------
Proposed Market Basket 3.2 3.2 3.2 3.2
Rate[dash]of[dash]Increase.....................
Proposed Adjustment for Failure to Submit 0 0 -0.8 -0.8
Quality Data under Section 1886(b)(3)(B)(viii)
of the Act.....................................
Proposed Adjustment for Failure to be a 0 -2.4 0 -2.4
Meaningful EHR User under Section
1886(b)(3)(B)(ix) of the Act...................
Proposed MFP Adjustment under Section -0.5 -0.5 -0.5 -0.5
1886(b)(3)(B)(xi) of the Act...................
Proposed Applicable Percentage Increase Applied 2.7 0.3 1.9 -0.5
to Standardized Amount.........................
----------------------------------------------------------------------------------------------------------------
We are proposing to revise the existing regulations at 42 CFR
412.64(d) to reflect the current law for the update for FY 2020 and
subsequent fiscal years. Specifically, in accordance with section
1886(b)(3)(B) of the Act, we are proposing to add paragraph (viii) to
Sec. 412.64(d)(1) to set forth the applicable percentage increase to
the operating standardized amount for FY 2020 and subsequent fiscal
years as the percentage increase in the market basket index, subject to
the reductions specified under Sec. 412.64(d)(2) for a hospital that
does not submit quality data and Sec. 412.64(d)(3) for a hospital that
is not a meaningful EHR user, less an MFP adjustment. (As noted above,
section 1886(b)(3)(B)(xii) of the Act required an additional reduction
each year only for FYs 2010 through 2019.)
Section 1886(b)(3)(B)(iv) of the Act provides that the applicable
percentage increase to the hospital-specific rates for SCHs and MDHs
equals the applicable percentage increase set forth in section
1886(b)(3)(B)(i) of the Act (that is, the same update factor as for all
other hospitals subject to the IPPS). Therefore, the update to the
hospital-specific rates for SCHs and MDHs also is subject to section
1886(b)(3)(B)(i) of the Act, as amended by sections 3401(a) and
10319(a) of the Affordable Care Act. (Under current law, the MDH
program is effective for discharges on or before September 30, 2022, as
discussed in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41429 through
41430).)
For FY 2020, we are proposing the following updates to the
hospital-specific rates applicable to SCHs and MDHs: A proposed update
of 2.7 percent for a hospital that submits quality data and is a
meaningful EHR user; a proposed update of 1.9 percent for a hospital
that fails to submit quality data and is a meaningful EHR user; a
proposed update of 0.3 percent for a hospital that submits quality data
and is not a meaningful EHR user; and a proposed update of -0.5 percent
for a hospital that fails to submit quality data and is not a
meaningful EHR user. As noted previously, for this FY 2020 IPPS/LTCH
PPS proposed rule, we are using IGI's fourth quarter 2018 forecast of
the 2014-based IPPS market basket update with historical data through
third quarter 2018. Similarly, we are using IGI's fourth quarter 2018
forecast of the MFP adjustment. We are proposing that if more recent
data subsequently become available (for example, a more recent estimate
of the market basket increase and the MFP adjustment), we would use
such data, if appropriate, to determine the update in the final rule.
2. Proposed FY 2020 Puerto Rico Hospital Update
As discussed in the FY 2017 IPPS/LTCH PPS final rule (81 FR 56937
through 56938), prior to January 1, 2016, Puerto Rico hospitals were
paid based on 75 percent of the national standardized amount and 25
percent of the Puerto Rico-specific standardized amount. Section 601 of
Public Law 114-113 amended section 1886(d)(9)(E) of the Act to specify
that the payment calculation with respect to operating costs of
inpatient hospital services of a subsection (d) Puerto Rico hospital
for inpatient hospital discharges on or after January 1, 2016, shall
use 100 percent of the national standardized amount. Because Puerto
Rico hospitals are no longer paid with a Puerto Rico-specific
standardized amount under the amendments to section 1886(d)(9)(E) of
the Act, there is no longer a need for us to determine an update to the
Puerto Rico standardized amount. Hospitals in Puerto Rico are now paid
100 percent of the national standardized amount and, therefore, are
subject to the same update to the national standardized amount
discussed under section IV.B.1. of the preamble of this proposed rule.
Accordingly, in this FY 2020 IPPS/LTCH PPS proposed rule, for FY 2020,
we are proposing an applicable percentage increase of 2.7 percent to
the
[[Page 19403]]
standardized amount for hospitals located in Puerto Rico.
We note that section 1886(b)(3)(B)(viii) of the Act, which
specifies the adjustment to the applicable percentage increase for
``subsection (d)'' hospitals that do not submit quality data under the
rules established by the Secretary, is not applicable to hospitals
located in Puerto Rico.
In addition, section 602 of Public Law 114-113 amended section
1886(n)(6)(B) of the Act to specify that Puerto Rico hospitals are
eligible for incentive payments for the meaningful use of certified EHR
technology, effective beginning FY 2016, and also to apply the
adjustments to the applicable percentage increase under section
1886(b)(3)(B)(ix) of the Act to Puerto Rico hospitals that are not
meaningful EHR users, effective FY 2022. Accordingly, because the
provisions of section 1886(b)(3)(B)(ix) of the Act are not applicable
to hospitals located in Puerto Rico until FY 2022, the adjustments
under this provision are not applicable for FY 2020.
C. Rural Referral Centers (RRCs) Proposed Annual Updates to Case-Mix
Index and Discharge Criteria (Sec. 412.96)
Under the authority of section 1886(d)(5)(C)(i) of the Act, the
regulations at Sec. 412.96 set forth the criteria that a hospital must
meet in order to qualify under the IPPS as a rural referral center
(RRC). RRCs receive some special treatment under both the DSH payment
adjustment and the criteria for geographic reclassification.
Section 402 of Public Law 108-173 raised the DSH payment adjustment
for RRCs such that they are not subject to the 12-percent cap on DSH
payments that is applicable to other rural hospitals. RRCs also are not
subject to the proximity criteria when applying for geographic
reclassification. In addition, they do not have to meet the requirement
that a hospital's average hourly wage must exceed, by a certain
percentage, the average hourly wage of the labor market area in which
the hospital is located.
Section 4202(b) of Public Law 105-33 states, in part, that any
hospital classified as an RRC by the Secretary for FY 1991 shall be
classified as such an RRC for FY 1998 and each subsequent fiscal year.
In the August 29, 1997 IPPS final rule with comment period (62 FR
45999), we reinstated RRC status for all hospitals that lost that
status due to triennial review or MGCRB reclassification. However, we
did not reinstate the status of hospitals that lost RRC status because
they were now urban for all purposes because of the OMB designation of
their geographic area as urban. Subsequently, in the August 1, 2000
IPPS final rule (65 FR 47089), we indicated that we were revisiting
that decision. Specifically, we stated that we would permit hospitals
that previously qualified as an RRC and lost their status due to OMB
redesignation of the county in which they are located from rural to
urban, to be reinstated as an RRC. Otherwise, a hospital seeking RRC
status must satisfy all of the other applicable criteria. We use the
definitions of ``urban'' and ``rural'' specified in Subpart D of 42 CFR
part 412. One of the criteria under which a hospital may qualify as an
RRC is to have 275 or more beds available for use (Sec.
412.96(b)(1)(ii)). A rural hospital that does not meet the bed size
requirement can qualify as an RRC if the hospital meets two mandatory
prerequisites (a minimum case-mix index (CMI) and a minimum number of
discharges), and at least one of three optional criteria (relating to
specialty composition of medical staff, source of inpatients, or
referral volume). (We refer readers to Sec. 412.96(c)(1) through
(c)(5) and the September 30, 1988 Federal Register (53 FR 38513) for
additional discussion.) With respect to the two mandatory
prerequisites, a hospital may be classified as an RRC if--
The hospital's CMI is at least equal to the lower of the
median CMI for urban hospitals in its census region, excluding
hospitals with approved teaching programs, or the median CMI for all
urban hospitals nationally; and
The hospital's number of discharges is at least 5,000 per
year, or, if fewer, the median number of discharges for urban hospitals
in the census region in which the hospital is located. The number of
discharges criterion for an osteopathic hospital is at least 3,000
discharges per year, as specified in section 1886(d)(5)(C)(i) of the
Act.
1. Case-Mix Index (CMI)
Section 412.96(c)(1) provides that CMS establish updated national
and regional CMI values in each year's annual notice of prospective
payment rates for purposes of determining RRC status. The methodology
we used to determine the national and regional CMI values is set forth
in the regulations at Sec. 412.96(c)(1)(ii). The proposed national
median CMI value for FY 2020 is based on the CMI values of all urban
hospitals nationwide, and the proposed regional median CMI values for
FY 2020 are based on the CMI values of all urban hospitals within each
census region, excluding those hospitals with approved teaching
programs (that is, those hospitals that train residents in an approved
GME program as provided in Sec. 413.75). These proposed values are
based on discharges occurring during FY 2018 (October 1, 2017 through
September 30, 2018), and include bills posted to CMS' records through
December 2018.
In this FY 2020 IPPS/LTCH PPS proposed rule, we are proposing that,
in addition to meeting other criteria, if rural hospitals with fewer
than 275 beds are to qualify for initial RRC status for cost reporting
periods beginning on or after October 1, 2019, they must have a CMI
value for FY 2018 that is at least--
1.68555 (national--all urban); or
The median CMI value (not transfer-adjusted) for urban
hospitals (excluding hospitals with approved teaching programs as
identified in Sec. 413.75) calculated by CMS for the census region in
which the hospital is located.
The proposed median CMI values by region are set forth in the table
below. We intend to update the proposed CMI values in the FY 2020 final
rule to reflect the updated FY 2018 MedPAR file, which will contain
data from additional bills received through March 2019.
------------------------------------------------------------------------
Proposed
Region case-mix
index value
------------------------------------------------------------------------
1. New England (CT, ME, MA, NH, RI, VT).................... 1.4231
2. Middle Atlantic (PA, NJ, NY)............................ 1.492
3. South Atlantic (DE, DC, FL, GA, MD, NC, SC, VA, WV)..... 1.576
4. East North Central (IL, IN, MI, OH, WI)................. 1.5921
5. East South Central (AL, KY, MS, TN)..................... 1.5579
6. West North Central (IA, KS, MN, MO, NE, ND, SD)......... 1.67025
7. West South Central (AR, LA, OK, TX)..................... 1.7172
8. Mountain (AZ, CO, ID, MT, NV, NM, UT, WY)............... 1.7769
9. Pacific (AK, CA, HI, OR, WA)............................ 1.6699
------------------------------------------------------------------------
A hospital seeking to qualify as an RRC should obtain its hospital-
specific CMI value (not transfer-adjusted) from its MAC. Data are
available on the Provider Statistical and Reimbursement (PS&R) System.
In keeping with our policy on discharges, the CMI values are computed
based on all Medicare patient discharges subject to the IPPS MS-DRG-
based payment.
2. Discharges
Section 412.96(c)(2)(i) provides that CMS set forth the national
and regional numbers of discharges criteria in each year's annual
notice of prospective
[[Page 19404]]
payment rates for purposes of determining RRC status. As specified in
section 1886(d)(5)(C)(ii) of the Act, the national standard is set at
5,000 discharges. For FY 2020, we are proposing to update the regional
standards based on discharges for urban hospitals' cost reporting
periods that began during FY 2017 (that is, October 1, 2016 through
September 30, 2017), which are the latest cost report data available at
the time this proposed rule was developed. Therefore, we are proposing
that, in addition to meeting other criteria, a hospital, if it is to
qualify for initial RRC status for cost reporting periods beginning on
or after October 1, 2019, must have, as the number of discharges for
its cost reporting period that began during FY 2017, at least--
5,000 (3,000 for an osteopathic hospital); or
If less, the median number of discharges for urban
hospitals in the census region in which the hospital is located. The
proposed numbers of discharges are set forth in the table below. We
intend to update these numbers in the FY 2020 final rule based on the
latest available cost report data.
------------------------------------------------------------------------
Number of
Region discharges
------------------------------------------------------------------------
1. New England (CT, ME, MA, NH, RI, VT).................... 8,542
2. Middle Atlantic (PA, NJ, NY)............................ 10,154
3. South Atlantic (DE, DC, FL, GA, MD, NC, SC, VA, WV)..... 10,653
4. East North Central (IL, IN, MI, OH, WI)................. 8,379
5. East South Central (AL, KY, MS, TN)..................... 7,627
6. West North Central (IA, KS, MN, MO, NE, ND, SD)......... 7,850
7. West South Central (AR, LA, OK, TX)..................... 5,468
8. Mountain (AZ, CO, ID, MT, NV, NM, UT, WY)............... 8,618
9. Pacific (AK, CA, HI, OR, WA)............................ 8,618
------------------------------------------------------------------------
We note that because the median number of discharges for hospitals
in each census region is greater than the national standard of 5,000
discharges, under this proposed rule, 5,000 discharges is the minimum
criterion for all hospitals, except for osteopathic hospitals for which
the minimum criterion is 3,000 discharges.
D. Proposed Payment Adjustment for Low-Volume Hospitals (Sec. 412.101)
1. Background
Section 1886(d)(12) of the Act provides for an additional payment
to each qualifying low-volume hospital under the IPPS beginning in FY
2005. The additional payment adjustment to a low-volume hospital
provided for under section 1886(d)(12) of the Act is in addition to any
payment calculated under section 1886 of the Act. Therefore, the
additional payment adjustment is based on the per discharge amount paid
to the qualifying hospital under section 1886 of the Act. In other
words, the low-volume hospital payment adjustment is based on total per
discharge payments made under section 1886 of the Act, including
capital, DSH, IME, and outlier payments. For SCHs and MDHs, the low-
volume hospital payment adjustment is based in part on either the
Federal rate or the hospital-specific rate, whichever results in a
greater operating IPPS payment.
As discussed in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41398
through 41399), section 50204 of the Bipartisan Budget Act of 2018
(Pub. L. 115-123) modified the definition of a low-volume hospital and
the methodology for calculating the payment adjustment for low-volume
hospitals for FYs 2019 through 2022. (Section 50204 also extended prior
changes to the definition of a low-volume hospital and the methodology
for calculating the payment adjustment for low-volume hospitals through
FY 2018.) Beginning with FY 2023, the low-volume hospital qualifying
criteria and payment adjustment will revert to the statutory
requirements that were in effect prior to FY 2011. (For additional
information on the low-volume hospital payment adjustment prior to FY
2018, we refer readers to the FY 2017 IPPS/LTCH PPS final rule (81 FR
56941 through 56943). For additional information on the low-volume
hospital payment adjustment for FY 2018, we refer readers to the FY
2018 IPPS notice (CMS-1677-N) that appeared in the Federal Register on
April 26, 2018 (83 FR 18301 through 18308).)
2. Temporary Changes to the Low-Volume Hospital Definition and Payment
Adjustment Methodology for FYs 2019 Through 2022
As discussed earlier, section 50204 of the Bipartisan Budget Act of
2018 further modified the definition of a low-volume hospital and the
methodology for calculating the payment adjustment for low-volume
hospitals for FYs 2019 through 2022. Specifically, the qualifying
criteria for low-volume hospitals under section 1886(d)(12)(C)(i) of
the Act were amended to specify that, for FYs 2019 through 2022, a
subsection (d) hospital qualifies as a low-volume hospital if it is
more than 15 road miles from another subsection (d) hospital and has
less than 3,800 total discharges during the fiscal year. Section
1886(d)(12)(D) of the Act was also amended to provide that, for
discharges occurring in FYs 2019 through 2022, the Secretary shall
determine the applicable percentage increase using a continuous, linear
sliding scale ranging from an additional 25 percent payment adjustment
for low-volume hospitals with 500 or fewer discharges to a zero percent
additional payment for low-volume hospitals with more than 3,800
discharges in the fiscal year. Consistent with the requirements of
section 1886(d)(12)(C)(ii) of the Act, the term ``discharge'' for
purposes of these provisions refers to total discharges, regardless of
payer (that is, Medicare and non-Medicare discharges).
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41399), to implement
this requirement, we specified a continuous, linear sliding scale
formula to determine the low volume hospital payment adjustment for FYs
2019 through 2022 that is similar to the continuous, linear sliding
scale formula used to determine the low-volume hospital payment
adjustment originally established by the Affordable Care Act and
implemented in the regulations at Sec. 412.101(c)(2)(ii) in the FY
2011 IPPS/LTCH PPS final rule (75 FR 50240 through 50241). Consistent
with the statute, we provided that qualifying hospitals with 500 or
fewer total discharges will receive a low-volume hospital payment
adjustment of 25 percent. For qualifying hospitals with fewer than
3,800 discharges but more than 500 discharges, the low-volume payment
adjustment is calculated by subtracting from 25 percent the proportion
of payments associated with the discharges in excess of 500. As such,
for qualifying hospitals with fewer than 3,800 total discharges but
more than 500 total discharges, the low-volume hospital payment
adjustment for FYs 2019 through 2022 is calculated using the following
formula:
Low-Volume Hospital Payment Adjustment = 0.25-[0.25/3300] x (number of
total discharges-500) = (95/330)-(number of total discharges/13,200).
For this purpose, we specified that the ``number of total
discharges'' is determined as total discharges, which includes Medicare
and non-Medicare discharges during the fiscal year, based on the
hospital's most recently submitted cost report. The low-volume hospital
payment adjustment for FYs 2019 through 2022 is set forth in the
regulations at 42 CFR 412.101(c)(3).
[[Page 19405]]
3. Process for Requesting and Obtaining the Low-Volume Hospital Payment
Adjustment
In the FY 2011 IPPS/LTCH PPS final rule (75 FR 50238 through 50275
and 50414) and subsequent rulemaking (for example, the FY 2019 IPPS/
LTCH PPS final rule (83 FR 41399 through 41401), we discussed the
process for requesting and obtaining the low-volume hospital payment
adjustment. Under this previously established process, a hospital makes
a written request for the low-volume payment adjustment under Sec.
412.101 to its MAC. This request must contain sufficient documentation
to establish that the hospital meets the applicable mileage and
discharge criteria. The MAC will determine if the hospital qualifies as
a low-volume hospital by reviewing the data the hospital submits with
its request for low-volume hospital status in addition to other
available data. Under this approach, a hospital will know in advance
whether or not it will receive a payment adjustment under the low-
volume hospital policy. The MAC and CMS may review available data such
as the number of discharges, in addition to the data the hospital
submits with its request for low-volume hospital status, in order to
determine whether or not the hospital meets the qualifying criteria.
(For additional information on our existing process for requesting the
low-volume hospital payment adjustment, we refer readers to the FY 2019
IPPS/LTCH PPS final rule (83 FR 41399 through 41401).)
As explained earlier, for FY 2019 and subsequent fiscal years, the
discharge determination is made based on the hospital's number of total
discharges, that is, Medicare and non-Medicare discharges, as was the
case for FYs 2005 through 2010. Under Sec. 412.101(b)(2)(i) and Sec.
412.101(b)(2)(iii), a hospital's most recently submitted cost report is
used to determine if the hospital meets the discharge criterion to
receive the low-volume payment adjustment in the current year. As
discussed in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41399 and
41400), we use cost report data to determine if a hospital meets the
discharge criterion because this is the best available data source that
includes information on both Medicare and non-Medicare discharges. (For
FYs 2011 through 2018, the most recently available MedPAR data were
used to determine the hospital's Medicare discharges because non-
Medicare discharges were not used to determine if a hospital met the
discharge criterion for those years.) Therefore, a hospital should
refer to its most recently submitted cost report for total discharges
(Medicare and non-Medicare) in order to decide whether or not to apply
for low-volume hospital status for a particular fiscal year.
As also discussed in the FY 2019 IPPS/LTCH PPS final rule, in
addition to the discharge criterion, for FY 2019 and for subsequent
fiscal years, eligibility for the low-volume hospital payment
adjustment is also dependent upon the hospital meeting the applicable
mileage criterion specified in Sec. 412.101(b)(2)(i) or Sec.
412.101(b)(2)(iii) for the fiscal year. Specifically, to meet the
mileage criterion to qualify for the low-volume hospital payment
adjustment for FY 2020, as was the case for FY 2019, a hospital must be
located more than 15 road miles from the nearest subsection (d)
hospital. (We define in Sec. 412.101(a) the term ``road miles'' to
mean ``miles'' as defined in Sec. 412.92(c)(1) (75 FR 50238 through
50275 and 50414).) For establishing that the hospital meets the mileage
criterion, the use of a web-based mapping tool as part of the
documentation is acceptable. The MAC will determine if the information
submitted by the hospital, such as the name and street address of the
nearest hospitals, location on a map, and distance from the hospital
requesting low-volume hospital status, is sufficient to document that
it meets the mileage criterion. If not, the MAC will follow up with the
hospital to obtain additional necessary information to determine
whether or not the hospital meets the applicable mileage criterion.
In accordance with our previously established process, a hospital
must make a written request for low-volume hospital status that is
received by its MAC by September 1 immediately preceding the start of
the Federal fiscal year for which the hospital is applying for low-
volume hospital status in order for the applicable low-volume hospital
payment adjustment to be applied to payments for its discharges for the
fiscal year beginning on or after October 1 immediately following the
request (that is, the start of the Federal fiscal year). For a hospital
whose request for low-volume hospital status is received after
September 1, if the MAC determines the hospital meets the criteria to
qualify as a low-volume hospital, the MAC will apply the applicable
low-volume hospital payment adjustment to determine payment for the
hospital's discharges for the fiscal year, effective prospectively
within 30 days of the date of the MAC's low-volume status
determination.
Consistent with this previously established process, for FY 2020,
we are proposing that a hospital must submit a written request for low-
volume hospital status to its MAC that includes sufficient
documentation to establish that the hospital meets the applicable
mileage and discharge criteria (as described earlier). Consistent with
historical practice, for FY 2020, we are proposing that a hospital's
written request must be received by its MAC no later than September 1,
2019 in order for the low-volume hospital payment adjustment to be
applied to payments for its discharges beginning on or after October 1,
2019. If a hospital's written request for low-volume hospital status
for FY 2020 is received after September 1, 2019, and if the MAC
determines the hospital meets the criteria to qualify as a low-volume
hospital, the MAC would apply the low-volume hospital payment
adjustment to determine the payment for the hospital's FY 2020
discharges, effective prospectively within 30 days of the date of the
MAC's low-volume hospital status determination. We note that this
proposal is consistent with the process for requesting and obtaining
the low-volume hospital payment adjustment for FY 2019 (83 FR 41399
through 41400).
Under this process, a hospital receiving the low-volume hospital
payment adjustment for FY 2019 may continue to receive a low-volume
hospital payment adjustment for FY 2020 without reapplying if it
continues to meet the applicable mileage and discharge criteria (which,
as discussed previously, are the same qualifying criteria that apply
for FY 2019). In this case, a hospital's request can include a
verification statement that it continues to meet the mileage criterion
applicable for FY 2020. (Determination of meeting the discharge
criterion is discussed earlier in this section.) We note that a
hospital must continue to meet the applicable qualifying criteria as a
low-volume hospital (that is, the hospital must meet the applicable
discharge criterion and mileage criterion for the fiscal year) in order
to receive the payment adjustment in that fiscal year; that is, low-
volume hospital status is not based on a ``one-time'' qualification (75
FR 50238 through 50275). Consistent with historical policy, a hospital
must submit its request, including this written verification, for each
fiscal year for which it seeks to receive the low-volume hospital
payment adjustment, and in accordance with the timeline described
earlier.
[[Page 19406]]
4. Proposed Conforming Changes To Codify Certain Changes to the Low-
Volume Hospital Payment Adjustment for FYs 2011 Through 2017 Provided
by Section 429 of the Consolidated Appropriations Act, 2018
In the FY 2018 IPPS/LTCH PPS final rule (82 FR 38188 through
38189), for the reasons discussed in that rule, we adopted a parallel
adjustment in the regulations at Sec. 412.101(e) which specifies that,
for discharges occurring in FY 2018 and subsequent years, only the
distance between Indian Health Service (IHS) and Tribal hospitals
(collectively referred to here as ``IHS hospitals'') will be considered
when assessing whether an IHS hospital meets the mileage criterion
under Sec. 412.101(b)(2), and similarly, only the distance between
non-IHS hospitals would be considered when assessing whether a non-IHS
hospital meets the mileage criterion under Sec. 412.101(b)(2). Section
429 of the Consolidated Appropriations Act, 2018, which was enacted on
March 23, 2018, subsequently amended section 1886(d)(12)(C) of the Act
by adding a new clause (iii) specifying that, for purposes of
determining whether an IHS or a non-IHS hospital meets the mileage
criterion under section 1886(d)(12)(C)(i) of the Act with respect to FY
2011 or a succeeding year, the Secretary shall apply the policy
described in the regulations at Sec. 412.101(e) (as in effect on the
date of enactment). In other words, under this statutory change, the
special treatment with respect to the proximities between IHS and non-
IHS hospitals as set forth in Sec. 412.101(e) for discharges occurring
in FY 2018 and subsequent fiscal years is also applicable for purposes
of applying the mileage criterion for the low-volume hospital payment
adjustment for FYs 2011 through 2017. We refer readers to the notice
that appeared in the Federal Register on August 23, 2018 (83 FR 42596
through 42600) for further detail on the process for requesting the
low-volume hospital payment adjustment for any applicable fiscal years
between FY 2011 and FY 2017 under the provisions of section 429 of the
Consolidated Appropriations Act, 2018, including the details on the
limitations under the reopening rules at 42 CFR 405.1885.
In this proposed rule, we are proposing to make conforming changes
to the regulatory text at Sec. 412.101(e) to reflect the changes to
the low-volume hospital payment adjustment policy in accordance with
the amendments made by section 429 of the Consolidated Appropriations
Act, 2018. Specifically, we are proposing to revise Sec. 412.101(e) to
specify that, subject to the reopening rules at 42 CFR 405.1885, a
qualifying hospital may request the application of the policy set forth
in proposed amended Sec. 412.101(e)(1) for FYs 2011 through 2017. As
noted previously, the process for requesting the low-volume hospital
payment adjustment for any applicable fiscal years between FY 2011 and
2017 under the provisions of section 429 of the Consolidated
Appropriations Act, 2018, as well as further discussion on the
limitations under the reopening rules at 42 CFR 405.1885, are described
in the August 23, 2018 Federal Register notice (83 FR 42596 through
425600). We note that proposed amended Sec. 412.101(e) would apply to
discharges occurring in FY 2011 through FY 2017, consistent with the
provisions of section 429 of the Consolidated Appropriations Act, 2018.
To the extent that these proposed revisions could be viewed as
retroactive rulemaking, they would be authorized under section
1871(e)(1)(A)(i) of the Act as the Secretary has determined that these
changes are necessary to comply with the statute as amended by the
Consolidated Appropriations Act, 2018.
E. Indirect Medical Education (IME) Payment Adjustment Factor (Sec.
412.105)
Under the IPPS, an additional payment amount is made to hospitals
with residents in an approved graduate medical education (GME) program
in order to reflect the higher indirect patient care costs of teaching
hospitals relative to nonteaching hospitals. The payment amount is
determined by use of a statutorily specified adjustment factor. The
regulations regarding the calculation of this additional payment, known
as the IME adjustment, are located at Sec. 412.105. We refer readers
to the FY 2012 IPPS/LTCH PPS final rule (76 FR 51680) for a full
discussion of the IME adjustment and IME adjustment factor. Section
1886(d)(5)(B)(ii)(XII) of the Act provides that, for discharges
occurring during FY 2008 and fiscal years thereafter, the IME formula
multiplier is 1.35. Accordingly, for discharges occurring during FY
2020, the formula multiplier is 1.35. We estimate that application of
this formula multiplier for the FY 2020 IME adjustment will result in
an increase in IPPS payment of 5.5 percent for every approximately 10
percent increase in the hospital's resident-to-bed ratio.
F. Proposed Payment Adjustment for Medicare Disproportionate Share
Hospitals (DSHs) for FY 2020 (Sec. 412.106)
1. General Discussion
Section 1886(d)(5)(F) of the Act provides for additional Medicare
payments to subsection (d) hospitals that serve a significantly
disproportionate number of low-income patients. The Act specifies two
methods by which a hospital may qualify for the Medicare
disproportionate share hospital (DSH) adjustment. Under the first
method, hospitals that are located in an urban area and have 100 or
more beds may receive a Medicare DSH payment adjustment if the hospital
can demonstrate that, during its cost reporting period, more than 30
percent of its net inpatient care revenues are derived from State and
local government payments for care furnished to needy patients with low
incomes. This method is commonly referred to as the ``Pickle method.''
The second method for qualifying for the DSH payment adjustment, which
is the most common, is based on a complex statutory formula under which
the DSH payment adjustment is based on the hospital's geographic
designation, the number of beds in the hospital, and the level of the
hospital's disproportionate patient percentage (DPP). A hospital's DPP
is the sum of two fractions: The ``Medicare fraction'' and the
``Medicaid fraction.'' The Medicare fraction (also known as the ``SSI
fraction'' or ``SSI ratio'') is computed by dividing the number of the
hospital's inpatient days that are furnished to patients who were
entitled to both Medicare Part A and Supplemental Security Income (SSI)
benefits by the hospital's total number of patient days furnished to
patients entitled to benefits under Medicare Part A. The Medicaid
fraction is computed by dividing the hospital's number of inpatient
days furnished to patients who, for such days, were eligible for
Medicaid, but were not entitled to benefits under Medicare Part A, by
the hospital's total number of inpatient days in the same period.
Because the DSH payment adjustment is part of the IPPS, the
statutory references to ``days'' in section 1886(d)(5)(F) of the Act
have been interpreted to apply only to hospital acute care inpatient
days. Regulations located at 42 CFR 412.106 govern the Medicare DSH
payment adjustment and specify how the DPP is calculated as well as how
beds and patient days are counted in determining the Medicare DSH
payment adjustment. Under Sec. 412.106(a)(1)(i), the number of beds
for
[[Page 19407]]
the Medicare DSH payment adjustment is determined in accordance with
bed counting rules for the IME adjustment under Sec. 412.105(b).
Section 3133 of the Patient Protection and Affordable Care Act, as
amended by section 10316 of the same Act and section 1104 of the Health
Care and Education Reconciliation Act (Pub. L. 111-152), added a
section 1886(r) to the Act that modifies the methodology for computing
the Medicare DSH payment adjustment. (For purposes of this final rule,
we refer to these provisions collectively as section 3133 of the
Affordable Care Act.) Beginning with discharges in FY 2014, hospitals
that qualify for Medicare DSH payments under section 1886(d)(5)(F) of
the Act receive 25 percent of the amount they previously would have
received under the statutory formula for Medicare DSH payments. This
provision applies equally to hospitals that qualify for DSH payments
under section 1886(d)(5)(F)(i)(I) of the Act and those hospitals that
qualify under the Pickle method under section 1886(d)(5)(F)(i)(II) of
the Act.
The remaining amount, equal to an estimate of 75 percent of what
otherwise would have been paid as Medicare DSH payments, reduced to
reflect changes in the percentage of individuals who are uninsured, is
available to make additional payments to each hospital that qualifies
for Medicare DSH payments and that has uncompensated care. The payments
to each hospital for a fiscal year are based on the hospital's amount
of uncompensated care for a given time period relative to the total
amount of uncompensated care for that same time period reported by all
hospitals that receive Medicare DSH payments for that fiscal year.
As provided by section 3133 of the Affordable Care Act, section
1886(r) of the Act requires that, for FY 2014 and each subsequent
fiscal year, a subsection (d) hospital that would otherwise receive DSH
payments made under section 1886(d)(5)(F) of the Act receives two
separately calculated payments. Specifically, section 1886(r)(1) of the
Act provides that the Secretary shall pay to such subsection (d)
hospital (including a Pickle hospital) 25 percent of the amount the
hospital would have received under section 1886(d)(5)(F) of the Act for
DSH payments, which represents the empirically justified amount for
such payment, as determined by the MedPAC in its March 2007 Report to
Congress. We refer to this payment as the ``empirically justified
Medicare DSH payment.''
In addition to this empirically justified Medicare DSH payment,
section 1886(r)(2) of the Act provides that, for FY 2014 and each
subsequent fiscal year, the Secretary shall pay to such subsection (d)
hospital an additional amount equal to the product of three factors.
The first factor is the difference between the aggregate amount of
payments that would be made to subsection (d) hospitals under section
1886(d)(5)(F) of the Act if subsection (r) did not apply and the
aggregate amount of payments that are made to subsection (d) hospitals
under section 1886(r)(1) of the Act for such fiscal year. Therefore,
this factor amounts to 75 percent of the payments that would otherwise
be made under section 1886(d)(5)(F) of the Act.
The second factor is, for FY 2018 and subsequent fiscal years, 1
minus the percent change in the percent of individuals who are
uninsured, as determined by comparing the percent of individuals who
were uninsured in 2013 (as estimated by the Secretary, based on data
from the Census Bureau or other sources the Secretary determines
appropriate, and certified by the Chief Actuary of CMS), and the
percent of individuals who were uninsured in the most recent period for
which data are available (as so estimated and certified), minus 0.2
percentage point for FYs 2018 and 2019.
The third factor is a percent that, for each subsection (d)
hospital, represents the quotient of the amount of uncompensated care
for such hospital for a period selected by the Secretary (as estimated
by the Secretary, based on appropriate data), including the use of
alternative data where the Secretary determines that alternative data
are available which are a better proxy for the costs of subsection (d)
hospitals for treating the uninsured, and the aggregate amount of
uncompensated care for all subsection (d) hospitals that receive a
payment under section 1886(r) of the Act. Therefore, this third factor
represents a hospital's uncompensated care amount for a given time
period relative to the uncompensated care amount for that same time
period for all hospitals that receive Medicare DSH payments in the
applicable fiscal year, expressed as a percent.
For each hospital, the product of these three factors represents
its additional payment for uncompensated care for the applicable fiscal
year. We refer to the additional payment determined by these factors as
the ``uncompensated care payment.''
Section 1886(r) of the Act applies to FY 2014 and each subsequent
fiscal year. In the FY 2014 IPPS/LTCH PPS final rule (78 FR 50620
through 50647) and the FY 2014 IPPS interim final rule with comment
period (78 FR 61191 through 61197), we set forth our policies for
implementing the required changes to the Medicare DSH payment
methodology made by section 3133 of the Affordable Care Act for FY
2014. In those rules, we noted that, because section 1886(r) of the Act
modifies the payment required under section 1886(d)(5)(F) of the Act,
it affects only the DSH payment under the operating IPPS. It does not
revise or replace the capital IPPS DSH payment provided under the
regulations at 42 CFR part 412, subpart M, which were established
through the exercise of the Secretary's discretion in implementing the
capital IPPS under section 1886(g)(1)(A) of the Act.
Finally, section 1886(r)(3) of the Act provides that there shall be
no administrative or judicial review under section 1869, section 1878,
or otherwise of any estimate of the Secretary for purposes of
determining the factors described in section 1886(r)(2) of the Act or
of any period selected by the Secretary for the purpose of determining
those factors. Therefore, there is no administrative or judicial review
of the estimates developed for purposes of applying the three factors
used to determine uncompensated care payments, or the periods selected
in order to develop such estimates.
2. Eligibility for Empirically Justified Medicare DSH Payments and
Uncompensated Care Payments
As explained earlier, the payment methodology under section 3133 of
the Affordable Care Act applies to ``subsection (d) hospitals'' that
would otherwise receive a DSH payment made under section 1886(d)(5)(F)
of the Act. Therefore, hospitals must receive empirically justified
Medicare DSH payments in a fiscal year in order to receive an
additional Medicare uncompensated care payment for that year.
Specifically, section 1886(r)(2) of the Act states that, in addition to
the payment made to a subsection (d) hospital under section 1886(r)(1)
of the Act, the Secretary shall pay to such subsection (d) hospitals an
additional amount. Because section 1886(r)(1) of the Act refers to
empirically justified Medicare DSH payments, the additional payment
under section 1886(r)(2) of the Act is limited to hospitals that
receive empirically justified Medicare DSH payments in accordance with
section 1886(r)(1) of the Act for the applicable fiscal year.
In the FY 2014 IPPS/LTCH PPS final rule (78 FR 50622) and the FY
2014
[[Page 19408]]
IPPS interim final rule with comment period (78 FR 61193), we provided
that hospitals that are not eligible to receive empirically justified
Medicare DSH payments in a fiscal year will not receive uncompensated
care payments for that year. We also specified that we would make a
determination concerning eligibility for interim uncompensated care
payments based on each hospital's estimated DSH status for the
applicable fiscal year (using the most recent data that are available).
We indicated that our final determination on the hospital's eligibility
for uncompensated care payments will be based on the hospital's actual
DSH status at cost report settlement for that payment year.
In the FY 2014 IPPS/LTCH PPS final rule (78 FR 50622) and in the
rulemaking for subsequent fiscal years, we have specified our policies
for several specific classes of hospitals within the scope of section
1886(r) of the Act. In this proposed rule, we are discussing our
specific policies for FY 2020 with respect to the following hospitals:
Subsection (d) Puerto Rico hospitals that are eligible for
DSH payments also are eligible to receive empirically justified
Medicare DSH payments and uncompensated care payments under the new
payment methodology (78 FR 50623 and 79 FR 50006).
Maryland hospitals are not eligible to receive empirically
justified Medicare DSH payments and uncompensated care payments under
the payment methodology of section 1886(r) of the Act because they are
not paid under the IPPS. As discussed in the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41402 through 41403), CMS and the State have entered
into an agreement to govern payments to Maryland hospitals under a new
payment model, the Maryland Total Cost of Care (TCOC) Model, which
began on January 1, 2019. Under the Maryland TCOC Model, Maryland
hospitals will not be paid under the IPPS in FY 2020, and will be
ineligible to receive empirically justified Medicare DSH payments and
uncompensated care payments under section 1886(r) of the Act.
Sole community hospitals (SCHs) that are paid under their
hospital-specific rate are not eligible for Medicare DSH payments. SCHs
that are paid under the IPPS Federal rate receive interim payments
based on what we estimate and project their DSH status to be prior to
the beginning of the Federal fiscal year (based on the best available
data at that time) subject to settlement through the cost report, and
if they receive interim empirically justified Medicare DSH payments in
a fiscal year, they also will receive interim uncompensated care
payments for that fiscal year on a per discharge basis, subject as well
to settlement through the cost report. Final eligibility determinations
will be made at the end of the cost reporting period at settlement, and
both interim empirically justified Medicare DSH payments and
uncompensated care payments will be adjusted accordingly (78 FR 50624
and 79 FR 50007).
Medicare-dependent, small rural hospitals (MDHs) are paid
based on the IPPS Federal rate or, if higher, the IPPS Federal rate
plus 75 percent of the amount by which the Federal rate is exceeded by
the updated hospital-specific rate from certain specified base years
(76 FR 51684). The IPPS Federal rate that is used in the MDH payment
methodology is the same IPPS Federal rate that is used in the SCH
payment methodology. Section 50205 of the Bipartisan Budget Act of 2018
(Pub. L. 115-123), enacted on February 9, 2018, extended the MDH
program for discharges on or after October 1, 2017, through September
30, 2022. Because MDHs are paid based on the IPPS Federal rate, they
continue to be eligible to receive empirically justified Medicare DSH
payments and uncompensated care payments if their DPP is at least 15
percent, and we apply the same process to determine MDHs' eligibility
for empirically justified Medicare DSH and uncompensated care payments
as we do for all other IPPS hospitals. Due to the extension of the MDH
program, MDHs will continue to be paid based on the IPPS Federal rate
or, if higher, the IPPS Federal rate plus 75 percent of the amount by
which the Federal rate is exceeded by the updated hospital-specific
rate from certain specified base years. Accordingly, we will continue
to make a determination concerning eligibility for interim
uncompensated care payments based on each hospital's estimated DSH
status for the applicable fiscal year (using the most recent data that
are available). Our final determination on the hospital's eligibility
for uncompensated care payments will be based on the hospital's actual
DSH status at cost report settlement for that payment year. In
addition, as we do for all IPPS hospitals, we will calculate a
numerator for Factor 3 for all MDHs, regardless of whether they are
projected to be eligible for Medicare DSH payments during the fiscal
year, but the denominator for Factor 3 will be based on the
uncompensated care data from the hospitals that we have projected to be
eligible for Medicare DSH payments during the fiscal year.
IPPS hospitals that elect to participate in the Bundled
Payments for Care Improvement Advanced Initiative (BPCI Advanced) model
starting October 1, 2018, will continue to be paid under the IPPS and,
therefore, are eligible to receive empirically justified Medicare DSH
payments and uncompensated care payments. For further information
regarding the BPCI Advanced model, we refer readers to the CMS website
at: https://innovation.cms.gov/initiatives/bpci-advanced/.
IPPS hospitals that are participating in the Comprehensive
Care for Joint Replacement Model (80 FR 73300) continue to be paid
under the IPPS and, therefore, are eligible to receive empirically
justified Medicare DSH payments and uncompensated care payments.
Hospitals participating in the Rural Community Hospital
Demonstration Program are not eligible to receive empirically justified
Medicare DSH payments and uncompensated care payments under section
1886(r) of the Act because they are not paid under the IPPS (78 FR
50625 and 79 FR 50008). The Rural Community Hospital Demonstration
Program was originally authorized for a 5-year period by section 410A
of the Medicare Prescription Drug, Improvement, and Modernization Act
of 2003 (MMA) (Pub. L. 108-173), and extended for another 5-year period
by sections 3123 and 10313 of the Affordable Care Act (Pub. L. 114-
255). The period of performance for this 5-year extension period ended
December 31, 2016. Section 15003 of the 21st Century Cures Act (Pub. L.
114-255), enacted December 13, 2016, again amended section 410A of
Public Law 108-173 to require a 10-year extension period (in place of
the 5-year extension required by the Affordable Care Act), therefore
requiring an additional 5-year participation period for the
demonstration program. Section 15003 of Public Law 114-255 also
required a solicitation for applications for additional hospitals to
participate in the demonstration program. At the time of issuance of
this proposed rule, there are 29 hospitals participating in the
demonstration program. Under the payment methodology that applies
during the second 5 years of the extension period under the
demonstration program, participating hospitals do not receive
empirically justified Medicare DSH payments, and they are also excluded
from receiving interim and final uncompensated care payments.
[[Page 19409]]
3. Empirically Justified Medicare DSH Payments
As we have discussed earlier, section 1886(r)(1) of the Act
requires the Secretary to pay 25 percent of the amount of the Medicare
DSH payment that would otherwise be made under section 1886(d)(5)(F) of
the Act to a subsection (d) hospital. Because section 1886(r)(1) of the
Act merely requires the program to pay a designated percentage of these
payments, without revising the criteria governing eligibility for DSH
payments or the underlying payment methodology, we stated in the FY
2014 IPPS/LTCH PPS final rule that we did not believe that it was
necessary to develop any new operational mechanisms for making such
payments. Therefore, in the FY 2014 IPPS/LTCH PPS final rule (78 FR
50626), we implemented this provision by advising MACs to simply adjust
the interim claim payments to the requisite 25 percent of what would
have otherwise been paid. We also made corresponding changes to the
hospital cost report so that these empirically justified Medicare DSH
payments can be settled at the appropriate level at the time of cost
report settlement. We provided more detailed operational instructions
and cost report instructions following issuance of the FY 2014 IPPS/
LTCH PPS final rule that are available on the CMS website at: https://www.cms.gov/Regulations-and-Guidance/Guidance/Transmittals/2014-Transmittals-Items/R5P240.html.
4. Uncompensated Care Payments
As we discussed earlier, section 1886(r)(2) of the Act provides
that, for each eligible hospital in FY 2014 and subsequent years, the
uncompensated care payment is the product of three factors. These three
factors represent our estimate of 75 percent of the amount of Medicare
DSH payments that would otherwise have been paid, an adjustment to this
amount for the percent change in the national rate of uninsurance
compared to the rate of uninsurance in 2013, and each eligible
hospital's estimated uncompensated care amount relative to the
estimated uncompensated care amount for all eligible hospitals. Below
we discuss the data sources and methodologies for computing each of
these factors, our final policies for FYs 2014 through 2019, and our
proposed policies for FY 2020.
a. Proposed Calculation of Factor 1 for FY 2020
Section 1886(r)(2)(A) of the Act establishes Factor 1 in the
calculation of the uncompensated care payment. Section 1886(r)(2)(A) of
the Act states that this factor is equal to the difference between: (1)
The aggregate amount of payments that would be made to subsection (d)
hospitals under section 1886(d)(5)(F) of the Act if section 1886(r) of
the Act did not apply for such fiscal year (as estimated by the
Secretary); and (2) the aggregate amount of payments that are made to
subsection (d) hospitals under section 1886(r)(1) of the Act for such
fiscal year (as so estimated). Therefore, section 1886(r)(2)(A)(i) of
the Act represents the estimated Medicare DSH payments that would have
been made under section 1886(d)(5)(F) of the Act if section 1886(r) of
the Act did not apply for such fiscal year. Under a prospective payment
system, we would not know the precise aggregate Medicare DSH payment
amount that would be paid for a Federal fiscal year until cost report
settlement for all IPPS hospitals is completed, which occurs several
years after the end of the Federal fiscal year. Therefore, section
1886(r)(2)(A)(i) of the Act provides authority to estimate this amount,
by specifying that, for each fiscal year to which the provision
applies, such amount is to be estimated by the Secretary. Similarly,
section 1886(r)(2)(A)(ii) of the Act represents the estimated
empirically justified Medicare DSH payments to be made in a fiscal
year, as prescribed under section 1886(r)(1) of the Act. Again, section
1886(r)(2)(A)(ii) of the Act provides authority to estimate this
amount.
Therefore, Factor 1 is the difference between our estimates of: (1)
The amount that would have been paid in Medicare DSH payments for the
fiscal year, in the absence of the new payment provision; and (2) the
amount of empirically justified Medicare DSH payments that are made for
the fiscal year, which takes into account the requirement to pay 25
percent of what would have otherwise been paid under section
1886(d)(5)(F) of the Act. In other words, this factor represents our
estimate of 75 percent (100 percent minus 25 percent) of our estimate
of Medicare DSH payments that would otherwise be made, in the absence
of section 1886(r) of the Act, for the fiscal year.
As we did for FY 2019, in this FY 2020 IPPS/LTCH PPS proposed rule,
in order to determine Factor 1 in the uncompensated care payment
formula for FY 2020, we are proposing to continue the policy
established in the FY 2014 IPPS/LTCH PPS final rule (78 FR 50628
through 50630) and in the FY 2014 IPPS interim final rule with comment
period (78 FR 61194) of determining Factor 1 by developing estimates of
both the aggregate amount of Medicare DSH payments that would be made
in the absence of section 1886(r)(1) of the Act and the aggregate
amount of empirically justified Medicare DSH payments to hospitals
under 1886(r)(1) of the Act. These estimates will not be revised or
updated after we know the final Medicare DSH payments for FY 2020.
Therefore, in order to determine the two elements of proposed Factor 1
for FY 2020 (Medicare DSH payments prior to the application of section
1886(r)(1) of the Act, and empirically justified Medicare DSH payments
after application of section 1886(r)(1) of the Act), for this proposed
rule, we used the most recently available projections of Medicare DSH
payments for the fiscal year, as calculated by CMS' Office of the
Actuary using the most recently filed Medicare hospital cost reports
with Medicare DSH payment information and the most recent Medicare DSH
patient percentages and Medicare DSH payment adjustments provided in
the IPPS Impact File. The determination of the amount of DSH payments
is partially based on the Office of the Actuary's Part A benefits
projection model. One of the results of this model is inpatient
hospital spending. Projections of DSH payments require projections for
expected increases in utilization and case-mix. The assumptions that
were used in making these projections and the resulting estimates of
DSH payments for FY 2017 through FY 2020 are discussed in the table
titled ``Factors Applied for FY 2017 through FY 2020 to Estimate
Medicare DSH Expenditures Using FY 2016 Baseline.''
For purposes of calculating Factor 1 and modeling the impact of
this FY 2020 IPPS/LTCH PPS proposed rule, we used the Office of the
Actuary's December 2018 Medicare DSH estimates, which were based on
data from the September 2018 update of the Medicare Hospital Cost
Report Information System (HCRIS) and the FY 2019 IPPS/LTCH PPS final
rule IPPS Impact File, published in conjunction with the publication of
the FY 2019 IPPS/LTCH PPS final rule. Because SCHs that are projected
to be paid under their hospital-specific rate are excluded from the
application of section 1886(r) of the Act, these hospitals also were
excluded from the December 2018 Medicare DSH estimates. Furthermore,
because section 1886(r) of the Act specifies that the uncompensated
care payment is in addition to the empirically justified Medicare DSH
payment (25 percent of DSH payments
[[Page 19410]]
that would be made without regard to section 1886(r) of the Act),
Maryland hospitals, which are not eligible to receive DSH payments,
were also excluded from the Office of the Actuary's December 2018
Medicare DSH estimates. The 29 hospitals that are participating in the
Rural Community Hospital Demonstration Program were also excluded from
these estimates because, under the payment methodology that applies
during the second 5 years of the extension period, these hospitals are
not eligible to receive empirically justified Medicare DSH payments or
interim and final uncompensated care payments.
For this proposed rule, using the data sources discussed above, the
Office of the Actuary's December 2018 estimate for Medicare DSH
payments for FY 2020, without regard to the application of section
1886(r)(1) of the Act, is approximately $16.857 billion. Therefore,
also based on the December 2018 estimate, the estimate of empirically
justified Medicare DSH payments for FY 2020, with the application of
section 1886(r)(1) of the Act, is approximately $4.214 billion (or 25
percent of the total amount of estimated Medicare DSH payments for FY
2020). Under Sec. 412.l06(g)(1)(i) of the regulations, Factor 1 is the
difference between these two estimates of the Office of the Actuary.
Therefore, in this proposed rule, we are proposing that Factor 1 for FY
2020 would be $12,643,011,209.74, which is equal to 75 percent of the
total amount of estimated Medicare DSH payments for FY 2020
($16,857,348,279.65 minus $4,214,337,069.91).
The Factor 1 estimates for proposed rules are generally consistent
with the economic assumptions and actuarial analysis used to develop
the President's Budget estimates under current law, and the Factor 1
estimates for the final rule are generally consistent with those used
for the Midsession Review of the President's Budget. As we have in the
past, for additional information on the development of the President's
Budget, we refer readers to the Office of Management and Budget website
at: https://www.whitehouse.gov/omb/budget. We recognize that our
reliance on the economic assumptions and actuarial analysis used to
develop the President's Budget in estimating Factor 1 has an impact on
stakeholders who wish to replicate the Factor 1 calculation, such as
modelling the relevant Medicare Part A portion of the budget, but we
believe commenters are able to meaningfully comment on our proposed
estimate of Factor 1 without replicating the President's Budget.
For a general overview of the principal steps involved in
projecting future inpatient costs and utilization, we refer readers to
the ``2018 Annual Report of the Boards of Trustees of the Federal
Hospital Insurance and Federal Supplementary Medical Insurance Trust
Funds'' available on the CMS website at: https://www.cms.gov/Research-Statistics-Data-and-Systems/Statistics-Trends-and-Reports/ReportsTrust
Funds/?redirect=/reportstrustfunds/ under ``Downloads.'' We
note that the annual reports of the Medicare Boards of Trustees to
Congress represent the Federal Government's official evaluation of the
financial status of the Medicare Program. The actuarial projections
contained in these reports are based on numerous assumptions regarding
future trends in program enrollment, utilization and costs of health
care services covered by Medicare, as well as other factors affecting
program expenditures. In addition, although the methods used to
estimate future costs based on these assumptions are complex, they are
subject to periodic review by independent experts to ensure their
validity and reasonableness.
We also refer readers to the Actuarial Report on the Financial
Outlook for Medicaid for a discussion of general issues regarding
Medicaid projections.
In this proposed rule, we include information regarding the data
sources, methods, and assumptions employed by the actuaries in
determining the OACT's estimate of Factor 1. In summary, we indicate
the historical HCRIS data update OACT used to identify Medicare DSH
payments, we explain that the most recent Medicare DSH payment
adjustments provided in the IPPS Impact File were used, and we provide
the components of all the update factors that were applied to the
historical data to estimate the Medicare DSH payments for the upcoming
fiscal year, along with the associated rationale and assumptions. This
discussion also includes a description of the ``Other'' and
``Discharges'' assumptions, and also provides additional information
regarding how we address the Medicaid and CHIP expansion.
The Office of the Actuary's estimates for FY 2020 for this proposed
rule began with a baseline of $13.981 billion in Medicare DSH
expenditures for FY 2016. The following table shows the factors applied
to update this baseline through the current estimate for FY 2020:
Factors Applied for FY 2017 Through FY 2020 To Estimate Medicare DSH Expenditures Using FY 2016 Baseline
--------------------------------------------------------------------------------------------------------------------------------------------------------
Estimated DSH
FY Update Discharges Case-mix Other Total payment (in
billions) *
--------------------------------------------------------------------------------------------------------------------------------------------------------
2017.................................................... 1.0015 0.9986 1.004 1.0751 1.0795 15.093
2018.................................................... 1.018088 0.9819 1.018 1.0345 1.0528 15.889
2019.................................................... 1.0185 0.9791 1.005 1.02206 1.0243 16.275
2020.................................................... 1.032 1.0055 1.005 0.9932 1.0358 16.857
--------------------------------------------------------------------------------------------------------------------------------------------------------
* Rounded.
In this table, the discharges column shows the increase in the
number of Medicare fee-for-service (FFS) inpatient hospital discharges.
The figures for FY 2017 are based on Medicare claims data that have
been adjusted by a completion factor. The discharge figure for FY 2018
is based on preliminary data for 2018. The discharge figures for FY
2019 and FY 2020 are assumptions based on recent trends recovering back
to the long-term trend and assumptions related to how many
beneficiaries will be enrolled in Medicare Advantage (MA) plans. The
case-mix column shows the increase in case-mix for IPPS hospitals. The
case-mix figures for FY 2017 and FY 2018 are based on actual data
adjusted by a completion factor. The FY 2019 and FY 2020 increases are
estimates based on the recommendation of the 2010-2011 Medicare
Technical Review Panel. The ``Other'' column shows the increase in
other factors that contribute to the Medicare DSH estimates. These
factors include the difference between the total inpatient
[[Page 19411]]
hospital discharges and the IPPS discharges, and various adjustments to
the payment rates that have been included over the years but are not
reflected in the other columns (such as the change in rates for the 2-
midnight stay policy). In addition, the ``Other'' column includes a
factor for the Medicaid expansion due to the Affordable Care Act. The
factor for Medicaid expansion was developed using public information
and statements for each State regarding its intent to implement the
expansion. Based on this information, it is assumed that 50 percent of
all individuals who were potentially newly eligible Medicaid enrollees
in 2016 resided in States that had elected to expand Medicaid
eligibility and, for 2017 and thereafter, that 55 percent of such
individuals would reside in expansion States. In the future, these
assumptions may change based on actual participation by States. For a
discussion of general issues regarding Medicaid projections, we refer
readers to the 2017 Actuarial Report on the Financial Outlook for
Medicaid, which is available on the CMS website at: https://www.cms.gov/Research-Statistics-Data-and-Systems/Research/ActuarialStudies/Downloads/MedicaidReport2017.pdf. We note that, in
developing their estimates of the effect of Medicaid expansion on
Medicare DSH expenditures, our actuaries have assumed that the new
Medicaid enrollees are healthier than the average Medicaid recipient
and, therefore, use fewer hospital services. Specifically, based on
data from the President's Budget, the OACT assumed per capita spending
for Medicaid beneficiaries who enrolled due to the expansion to be 50
percent of the average per capita expenditures for a pre-expansion
Medicaid beneficiary due to the better health of these beneficiaries.
This assumption is consistent with recent internal estimates of
Medicaid per capita spending pre-expansion and post-expansion.
The table below shows the factors that are included in the
``Update'' column of the above table:
----------------------------------------------------------------------------------------------------------------
Affordable
Market basket Care Act Multifactor Documentation Total update
FY percentage payment productivity and coding percentage
reductions adjustment
----------------------------------------------------------------------------------------------------------------
2017............................ 2.7 -0.75 -0.3 -1.5 0.15
2018............................ 2.7 -0.75 -0.6 0.4588 1.8088
2019............................ 2.9 -0.75 -0.8 0.5 1.885
2020............................ 3.2 0 -0.5 0.5 3.2
----------------------------------------------------------------------------------------------------------------
Note: All numbers are based on the FY 2020 President's Budget projections, except for the FY 2020 percentages,
which are based on the most recent forecast. We refer readers to section IV.B. of the preamble of this
proposed rule for a complete discussion of the proposed changes in the inpatient hospital update for FY 2020.
b. Calculation of Proposed Factor 2 for FY 2020
(1) Background
Section 1886(r)(2)(B) of the Act establishes Factor 2 in the
calculation of the uncompensated care payment. Section
1886(r)(2)(B)(ii) of the Act provides that, for FY 2018 and subsequent
fiscal years, the second factor is 1 minus the percent change in the
percent of individuals who are uninsured, as determined by comparing
the percent of individuals who were uninsured in 2013 (as estimated by
the Secretary, based on data from the Census Bureau or other sources
the Secretary determines appropriate, and certified by the Chief
Actuary of CMS) and the percent of individuals who were uninsured in
the most recent period for which data are available (as so estimated
and certified), minus 0.2 percentage point for FYs 2018 and 2019. In FY
2020 and subsequent fiscal years, there is no longer a reduction. We
note that, unlike section 1886(r)(2)(B)(i) of the Act, which governed
the calculation of Factor 2 for FYs 2014, 2015, 2016, and 2017, section
1886(r)(2)(B)(ii) of the Act permits the use of a data source other
than the CBO estimates to determine the percent change in the rate of
uninsurance beginning in FY 2018. In addition, for FY 2018 and
subsequent years, the statute does not require that the estimate of the
percent of individuals who are uninsured be limited to individuals who
are under 65 years of age.
As we discussed in the FY 2018 IPPS/LTCH PPS final rule (82 FR
38197), in our analysis of a potential data source for the rate of
uninsurance for purposes of computing Factor 2 in FY 2018, we
considered the following: (a) The extent to which the source accounted
for the full U.S. population; (b) the extent to which the source
comprehensively accounted for both public and private health insurance
coverage in deriving its estimates of the number of uninsured; (c) the
extent to which the source utilized data from the Census Bureau; (d)
the timeliness of the estimates; (e) the continuity of the estimates
over time; (f) the accuracy of the estimates; and (g) the availability
of projections (including the availability of projections using an
established estimation methodology that would allow for calculation of
the rate of uninsurance for the applicable Federal fiscal year). As we
explained in the FY 2018 IPPS/LTCH PPS final rule, these considerations
are consistent with the statutory requirement that this estimate be
based on data from the Census Bureau or other sources the Secretary
determines appropriate and help to ensure the data source will provide
reasonable estimates for the rate of uninsurance that are available in
conjunction with the IPPS rulemaking cycle. We are proposing to use the
same methodology as was used in FY 2018 and FY 2019 to determine Factor
2 for FY 2020.
In the FY 2018 IPPS/LTCH PPS final rule (82 FR 38197 and 38198), we
explained that we determined the source that, on balance, best meets
all of these considerations is the uninsured estimates produced by CMS'
Office of the Actuary (OACT) as part of the development of the National
Health Expenditure Accounts (NHEA). The NHEA represents the
government's official estimates of economic activity (spending) within
the health sector. The information contained in the NHEA has been used
to study numerous topics related to the health care sector, including,
but not limited to, changes in the amount and cost of health services
purchased and the payers or programs that provide or purchase these
services; the economic causal factors at work in the health sector; the
impact of policy changes, including major health reform; and
comparisons to other countries' health spending. Of relevance to the
determination of Factor 2 is that the comprehensive and integrated
structure of the NHEA creates an ideal tool for evaluating changes to
the health care system, such as the mix of the insured and uninsured
because this mix is
[[Page 19412]]
integral to the well-established NHEA methodology. Below we describe
some aspects of the methodology used to develop the NHEA that were
particularly relevant in estimating the percent change in the rate of
uninsurance for FY 2018 and FY 2019 that we believe continue to be
relevant in developing the estimate for FY 2020. A full description of
the methodology used to develop the NHEA is available on the CMS
website at: https://www.cms.gov/Research-Statistics-Data-and-Systems/Statistics-Trends-and-Reports/NationalHealthExpendData/Downloads/DSM-15.pdf.
The NHEA estimates of U.S. population reflect the Census Bureau's
definition of the resident-based population, which includes all people
who usually reside in the 50 States or the District of Columbia, but
excludes residents living in Puerto Rico and areas under U.S.
sovereignty, members of the U.S. Armed Forces overseas, and U.S.
citizens whose usual place of residence is outside of the United
States, plus a small (typically less than 0.2 percent of population)
adjustment to reflect Census undercounts. In past years, the estimates
for Factor 2 were made using the CBO's uninsured population estimates
for the under 65 population. For FY 2018 and subsequent years, the
statute does not restrict the estimate to the measurement of the
percent of individuals under the age of 65 who are uninsured.
Accordingly, as we explained in the FY 2018 IPPS/LTCH PPS proposed and
final rules, we believe it is appropriate to use an estimate that
reflects the rate of uninsurance in the United States across all age
groups. In addition, we continue to believe that a resident-based
population estimate more fully reflects the levels of uninsurance in
the United States that influence uncompensated care for hospitals than
an estimate that reflects only legal residents. The NHEA estimates of
uninsurance are for the total U.S. population (all ages) and not by
specific age cohort, such as the population under the age of 65.
The NHEA includes comprehensive enrollment estimates for total
private health insurance (PHI) (including direct and employer-sponsored
plans), Medicare, Medicaid, the Children's Health Insurance Program
(CHIP), and other public programs, and estimates of the number of
individuals who are uninsured. Estimates of total PHI enrollment are
available for 1960 through 2017, estimates of Medicaid, Medicare, and
CHIP enrollment are available for the length of the respective
programs, and all other estimates (including the more detailed
estimates of direct-purchased and employer-sponsored insurance) are
available for 1987 through 2017. The NHEA data are publicly available
on the CMS website at: https://www.cms.gov/Research-Statistics-Data-and-Systems/Statistics-Trends-and-Reports/NationalHealth ExpendData/
index.html.
In order to compute Factor 2, the first metric that is needed is
the proportion of the total U.S. population that was uninsured in 2013.
In developing the estimates for the NHEA, OACT's methodology included
using the number of uninsured individuals for 1987 through 2009 based
on the enhanced Current Population Survey (CPS) from the State Health
Access Data Assistance Center (SHADAC). The CPS, sponsored jointly by
the U.S. Census Bureau and the U.S. Bureau of Labor Statistics (BLS),
is the primary source of labor force statistics for the population of
the United States. (We refer readers to the website at: https://www.census.gov/programs-surveys/cps.html.) The enhanced CPS, available
from SHADAC (available at: https://datacenter.shadac.org) accounts for
changes in the CPS methodology over time. OACT further adjusts the
enhanced CPS for an estimated undercount of Medicaid enrollees (a
population that is often not fully captured in surveys that include
Medicaid enrollees due to a perceived stigma associated with being
enrolled in the Medicaid program or confusion about the source of their
health insurance).
To estimate the number of uninsured individuals for 2010 through
2014, the OACT extrapolates from the 2009 CPS data using data from the
National Health Interview Survey (NHIS). The NHIS is one of the major
data collection programs of the National Center for Health Statistics
(NCHS), which is part of the Centers for Disease Control and Prevention
(CDC). The U.S. Census Bureau is the data collection agent for the
NHIS. The NHIS results have been instrumental over the years in
providing data to track health status, health care access, and progress
toward achieving national health objectives. For further information
regarding the NHIS, we refer readers to the CDC website at: https://www.cdc.gov/nchs/nhis/index.htm.
The next metrics needed to compute Factor 2 are projections of the
rate of uninsurance in both calendar years 2019 and 2020. On an annual
basis, OACT projects enrollment and spending trends for the coming 10-
year period. Those projections (currently for years 2018 through 2027)
use the latest NHEA historical data, which presently run through 2017.
The NHEA projection methodology accounts for expected changes in
enrollment across all of the categories of insurance coverage
previously listed. The sources for projected growth rates in enrollment
for Medicare, Medicaid, and CHIP include the latest Medicare Trustees
Report, the Medicaid Actuarial Report, or other updated estimates as
produced by OACT. Projected rates of growth in enrollment for private
health insurance and the uninsured are based largely on OACT's
econometric models, which rely on the set of macroeconomic assumptions
underlying the latest Medicare Trustees Report. Greater detail can be
found in OACT's report titled ``Projections of National Health
Expenditure: Methodology and Model Specification,'' which is available
on the CMS website at: https://www.cms.gov/Research-Statistics-Data-and-Systems/Statistics-Trends-and-Reports/NationalHealthExpendData/Downloads/ProjectionsMethodology.pdf.
The use of data from the NHEA to estimate the rate of uninsurance
is consistent with the statute and meets the criteria we have
identified for determining the appropriate data source. Section
1886(r)(2)(B)(ii) of the Act instructs the Secretary to estimate the
rate of uninsurance for purposes of Factor 2 based on data from the
Census Bureau or other sources the Secretary determines appropriate.
The NHEA utilizes data from the Census Bureau; the estimates are
available in time for the IPPS rulemaking cycle; the estimates are
produced by OACT on an annual basis and are expected to continue to be
produced for the foreseeable future; and projections are available for
calendar year time periods that span the upcoming fiscal year.
Timeliness and continuity are important considerations because of our
need to be able to update this estimate annually. Accuracy is also a
very important consideration and, all things being equal, we would
choose the most accurate data source that sufficiently meets our other
criteria.
(2) Proposed Factor 2 for FY 2020
Using these data sources and the methodologies described above, the
OACT estimates that the uninsured rate for the historical, baseline
year of 2013 was 14 percent and for CYs 2019 and 2020 is 9.4 percent
and 9.3 percent, respectively.\394\ As required by section
1886(r)(2)(B)(ii) of the Act, the Chief Actuary of CMS has certified
these estimates.
---------------------------------------------------------------------------
\394\ Certification of Rates of Uninsured. March 28, 2019.
Available at: https://www.cms.gov/Medicare/Medicare-Fee-for-Service-Payment/AcuteInPatientPPS/dsh.html.
---------------------------------------------------------------------------
[[Page 19413]]
As with the CBO estimates on which we based Factor 2 in prior
fiscal years, the NHEA estimates are for a calendar year. In the
rulemaking for FY 2014, many commenters noted that the uncompensated
care payments are made for the fiscal year and not on a calendar year
basis and requested that CMS normalize the CBO estimate to reflect a
fiscal year basis. Specifically, commenters requested that CMS
calculate a weighted average of the CBO estimate for October through
December 2013 and the CBO estimate for January through September 2014
when determining Factor 2 for FY 2014. We agreed with the commenters
that normalizing the estimate to cover FY 2014 rather than CY 2014
would more accurately reflect the rate of uninsurance that hospitals
would experience during the FY 2014 payment year. Accordingly, we
estimated the rate of uninsurance for FY 2014 by calculating a weighted
average of the CBO estimates for CY 2013 and CY 2014 (78 FR 50633). We
have continued this weighted average approach in each fiscal year since
FY 2014.
We continue to believe that, in order to estimate the rate of
uninsurance during a fiscal year more accurately, Factor 2 should
reflect the estimated rate of uninsurance that hospitals will
experience during the fiscal year, rather than the rate of uninsurance
during only one of the calendar years that the fiscal year spans.
Accordingly, we are proposing to continue to apply the weighted average
approach used in past fiscal years in order to estimate the rate of
uninsurance for FY 2020. The OACT has certified this estimate of the
fiscal year rate of uninsurance to be reasonable and appropriate for
purposes of section 1886(r)(2)(B)(ii) of the Act.
The calculation of the proposed Factor 2 for FY 2020 using a
weighted average of the OACT's projections for CY 2019 and CY 2020 is
as follows:
Percent of individuals without insurance for CY 2013: 14
percent.
Percent of individuals without insurance for CY 2019: 9.4
percent.
Percent of individuals without insurance for CY 2020: 9.4
percent.
Percent of individuals without insurance for FY 2020 (0.25
times 0.094) + (0.75 times 0.094): 9.4 percent 1 - [bond]((0.094 -
0.14)/0.14)[bond] = 1 - 0.3286 = 0.6714 (67.14 percent).
For FY 2020 and subsequent fiscal years, section 1886(r)(2)(B)(ii)
of the Act no longer includes any reduction to the above calculation.
Therefore, we are proposing that Factor 2 for FY 2020 will be 67.14
percent.
The proposed FY 2020 uncompensated care amount is
$12,643,011,209.74 x 0.6714 = $8,488,517,726.22.
------------------------------------------------------------------------
------------------------------------------------------------------------
Proposed FY 2020 Uncompensated Care Amount........ $8,488,517,726.22
------------------------------------------------------------------------
We are inviting public comments on our proposed methodology for
calculating Factor 2 for FY 2020.
c. Calculation of Proposed Factor 3 for FY 2020
(1) General Background
Section 1886(r)(2)(C) of the Act defines Factor 3 in the
calculation of the uncompensated care payment. As we have discussed
earlier, section 1886(r)(2)(C) of the Act states that Factor 3 is equal
to the percent, for each subsection (d) hospital, that represents the
quotient of: (1) The amount of uncompensated care for such hospital for
a period selected by the Secretary (as estimated by the Secretary,
based on appropriate data (including, in the case where the Secretary
determines alternative data are available that are a better proxy for
the costs of subsection (d) hospitals for treating the uninsured, the
use of such alternative data)); and (2) the aggregate amount of
uncompensated care for all subsection (d) hospitals that receive a
payment under section 1886(r) of the Act for such period (as so
estimated, based on such data).
Therefore, Factor 3 is a hospital-specific value that expresses the
proportion of the estimated uncompensated care amount for each
subsection (d) hospital and each subsection (d) Puerto Rico hospital
with the potential to receive Medicare DSH payments relative to the
estimated uncompensated care amount for all hospitals estimated to
receive Medicare DSH payments in the fiscal year for which the
uncompensated care payment is to be made. Factor 3 is applied to the
product of Factor 1 and Factor 2 to determine the amount of the
uncompensated care payment that each eligible hospital will receive for
FY 2014 and subsequent fiscal years. In order to implement the
statutory requirements for this factor of the uncompensated care
payment formula, it was necessary to determine: (1) The definition of
uncompensated care or, in other words, the specific items that are to
be included in the numerator (that is, the estimated uncompensated care
amount for an individual hospital) and the denominator (that is, the
estimated uncompensated care amount for all hospitals estimated to
receive Medicare DSH payments in the applicable fiscal year); (2) the
data source(s) for the estimated uncompensated care amount; and (3) the
timing and manner of computing the quotient for each hospital estimated
to receive Medicare DSH payments. The statute instructs the Secretary
to estimate the amounts of uncompensated care for a period based on
appropriate data. In addition, we note that the statute permits the
Secretary to use alternative data in the case where the Secretary
determines that such alternative data are available that are a better
proxy for the costs of subsection (d) hospitals for treating
individuals who are uninsured.
In the course of considering how to determine Factor 3 during the
rulemaking process for FY 2014, the first year this provision was in
effect, we considered defining the amount of uncompensated care for a
hospital as the uncompensated care costs of that hospital and
determined that Worksheet S-10 of the Medicare cost report potentially
provides the most complete data regarding uncompensated care costs for
Medicare hospitals. However, because of concerns regarding variations
in the data reported on Worksheet S-10 and the completeness of these
data, we did not use Worksheet S-10 data to determine Factor 3 for FY
2014, or for FYs 2015, 2016, or 2017. Instead, we believed that the
utilization of insured low-income patients, as measured by patient
days, would be a better proxy for the costs of hospitals in treating
the uninsured and therefore appropriate to use in calculating Factor 3
for these years. Of particular importance in our decision making was
the relative newness of Worksheet S-10, which went into effect on May
1, 2010. At the time of the rulemaking for FY 2014, the most recent
available cost reports would have been from FYs 2010 and 2011, which
were submitted on or after May 1, 2010, when the new Worksheet S-10
went into effect. We believed that concerns about the standardization
and completeness of the Worksheet S-10 data could be more acute for
data collected in the first year of the Worksheet's use (78 FR 50635).
In addition, we believed that it would be most appropriate to use data
elements that have been historically publicly available, subject to
audit, and used for payment purposes (or that the public understands
will be used for payment purposes) to determine the amount of
uncompensated care for purposes of Factor 3 (78 FR 50635). At the time
we issued the FY 2014 IPPS/LTCH PPS final rule, we did not believe that
the available data regarding uncompensated care from Worksheet S-10 met
these criteria and, therefore, we believed they were not reliable
enough to use for
[[Page 19414]]
determining FY 2014 uncompensated care payments. For FYs 2015, 2016,
and 2017, the cost reports used for calculating uncompensated care
payments (that is, FYs 2011, 2012, and 2013) were also submitted prior
to the time that hospitals were on notice that Worksheet S-10 could be
the data source for calculating uncompensated care payments. Therefore,
we believed it was also appropriate to use proxy data to calculate
Factor 3 for these years. We indicated our belief that Worksheet S-10
could ultimately serve as an appropriate source of more direct data
regarding uncompensated care costs for purposes of determining Factor 3
once hospitals were submitting more accurate and consistent data
through this reporting mechanism.
In the FY 2018 IPPS/LTCH PPS final rule (82 FR 38202), we stated
that we could no longer conclude that alternative data to the Worksheet
S-10 are available for FY 2014 that are a better proxy for the costs of
subsection (d) hospitals for treating individuals who are uninsured.
Hospitals were on notice as of FY 2014 that Worksheet S-10 could
eventually become the data source for CMS to calculate uncompensated
care payments. Furthermore, hospitals' cost reports from FY 2014 had
been publicly available for some time, and CMS had analyses of
Worksheet S-10, conducted both internally and by stakeholders,
demonstrating that Worksheet S-10 accuracy had improved over time.
Analyses performed by MedPAC had already shown that the correlation
between audited uncompensated care data from 2009 and the data from the
FY 2011 Worksheet S-10 was over 0.80, as compared to a correlation of
approximately 0.50 between the audited uncompensated care data and 2011
Medicare SSI and Medicaid days. Based on this analysis, MedPAC
concluded that use of Worksheet S-10 data was already better than using
Medicare SSI and Medicaid days as a proxy for uncompensated care costs,
and that the data on Worksheet S-10 would improve over time as the data
are actually used to make payments (81 FR 25090). In addition, a 2007
MedPAC analysis of data from the Government Accountability Office (GAO)
and the American Hospital Association (AHA) had suggested that Medicaid
days and low-income Medicare days are not an accurate proxy for
uncompensated care costs (80 FR 49525).
Subsequent analyses from Dobson/DaVanzo, originally commissioned by
CMS for the FY 2014 rulemaking and updated in later years, compared
Worksheet S-10 and IRS Form 990 data and assessed the correlation in
Factor 3s derived from each of the data sources. Our analyses on
balance led us to believe that we had reached a tipping point in FY
2018 with respect to the use of the Worksheet S-10 data. We refer
readers to the FY 2018 IPPS/LTCH PPS final rule (82 FR 38201 through
38203) for a complete discussion of these analyses.
We found further evidence for this tipping point when we examined
changes to the FY 2014 Worksheet S-10 data submitted by hospitals
following the publication of the FY 2017 IPPS/LTCH PPS final rule. In
the FY 2017 IPPS/LTCH PPS final rule, as part of our ongoing quality
control and data improvement measures for the Worksheet S-10, we
referred readers to Change Request 9648, Transmittal 1681, titled ``The
Supplemental Security Income (SSI)/Medicare Beneficiary Data for Fiscal
Year 2014 for Inpatient Prospective Payment System (IPPS) Hospitals,
Inpatient Rehabilitation Facilities (IRFs), and Long Term Care
Hospitals (LTCHs),'' issued on July 15, 2016 (available at: https://www.cms.gov/Regulations-and-Guidance/Guidance/Transmittals/Downloads/R1681OTN.pdf). In this transmittal, as part of the process for ensuring
complete submission of Worksheet S-10 by all eligible DSH hospitals, we
instructed MACs to accept amended Worksheets S-10 for FY 2014 cost
reports submitted by hospitals (or initial submissions of Worksheet S-
10 if none had been submitted previously) and to upload them to the
Health Care Provider Cost Report Information System (HCRIS) in a timely
manner. The transmittal stated that, for revisions to be considered,
hospitals were required to submit their amended FY 2014 cost report
containing the revised Worksheet S-10 (or a completed Worksheet S-10 if
no data were included on the previously submitted cost report) to the
MAC no later than September 30, 2016. For the FY 2018 IPPS/LTCH PPS
proposed rule (82 FR 19949 through 19950), we examined hospitals' FY
2014 cost reports to see if the Worksheet S-10 data on those cost
reports had changed as a result of the opportunity for hospitals to
submit revised Worksheet S-10 data for FY 2014. Specifically, we
compared hospitals' FY 2014 Worksheet S-10 data as they existed in the
first quarter of CY 2016 with data from the fourth quarter of CY 2016.
We found that the FY 2014 Worksheet S-10 data had changed over that
time period for approximately one quarter of hospitals that receive
uncompensated care payments. The fact that the Worksheet S-10 data
changed for such a significant number of hospitals following a review
of the cost report data they originally submitted and that the revised
Worksheet S-10 information is available to be used in determining
uncompensated care costs contributed to our belief that we could no
longer conclude that alternative data are available that are a better
proxy than the Worksheet S-10 data for the costs of subsection (d)
hospitals for treating individuals who are uninsured.
We also recognized commenters' concerns that, in using Medicaid
days as part of the proxy for uncompensated care, it would be possible
for hospitals in States that choose to expand Medicaid to receive
higher uncompensated care payments because they may have more Medicaid
patient days than hospitals in a State that does not choose to expand
Medicaid. Because the earliest Medicaid expansions under the Affordable
Care Act began in 2014, the 2011, 2012, and 2013 Medicaid days used to
calculate uncompensated care payments in FYs 2015, 2016, and 2017 are
the latest available data on Medicaid utilization that do not reflect
the effects of these Medicaid expansions. Accordingly, if we had used
only low-income insured days to estimate uncompensated care in FY 2018,
we would have needed to hold the time period of these data constant and
use data on Medicaid days from 2011, 2012, and 2013 in order to avoid
the risk of any redistributive effects arising from the decision to
expand Medicaid in certain States. As a result, we would have been
using older data that may provide a less accurate proxy for the level
of uncompensated care being furnished by hospitals, contributing to our
growing concerns regarding the continued use of low-income insured days
as a proxy for uncompensated care costs in FY 2018.
In summary, as we stated in the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38203), when weighing the new information regarding the
correlation between the Worksheet S-10 data and IRS 990 data that
became available to us after the FY 2017 rulemaking in conjunction with
the information regarding Worksheet S-10 data and the low-income days
proxy that we analyzed as part of our consideration of this issue in
prior rulemaking, we determined that we could no longer conclude that
alternative data to the Worksheet S-10 are available for FY 2014 that
are a better proxy for the costs of subsection (d) hospitals for
treating individuals who are uninsured. We also stated that we believe
that continued use of Worksheet S-10 will improve the
[[Page 19415]]
accuracy and consistency of the reported data, especially in light of
CMS' concerted efforts to allow hospitals to review and resubmit their
Worksheet S-10 data for past years and the use of trims for potentially
aberrant data (82 FR 38207, 38217, and 38218). We also committed to
continue to work with stakeholders to address their concerns regarding
the accuracy of the reporting of uncompensated care costs through
provider education and refinement of the instructions to Worksheet S-
10.
For FY 2019, as discussed in the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41413), we continued to monitor the reporting of Worksheet S-10
data in anticipation of using Worksheet S-10 data from hospitals' FY
2014 and FY 2015 cost reports in the calculation of Factor 3. We
acknowledged the concerns that had been raised regarding the
instructions for Worksheet S-10. In particular, commenters had
expressed concerns that the lack of clear and concise line-level
instructions prevented accurate and consistent data from being reported
on Worksheet S-10. We noted that, in November 2016, CMS issued
Transmittal 10, which clarified and revised the instructions for the
Worksheet S-10, including the instructions regarding the reporting of
charity care charges. Transmittal 10 is available for download on the
CMS website at: https://www.cms.gov/Regulations-and-Guidance/Guidance/Transmittals/Downloads/R10P240.pdf. In Transmittal 10, we clarified
that hospitals may include discounts given to uninsured patients who
meet the hospital's charity care criteria in effect for that cost
reporting period. This clarification applied to cost reporting periods
beginning prior to October 1, 2016, as well as cost reporting periods
beginning on or after October 1, 2016. As a result, nothing prohibits a
hospital from considering a patient's insurance status as a criterion
in its charity care policy. A hospital determines its own financial
criteria as part of its charity care policy. The instructions for the
Worksheet S-10 set forth that hospitals may include discounts given to
uninsured patients, including patients with coverage from an entity
that does not have a contractual relationship with the provider, who
meet the hospital's charity care criteria in effect for that cost
reporting period. In addition, we revised the instructions for the
Worksheet S-10 for cost reporting periods beginning on or after October
1, 2016, to provide that charity care charges must be determined in
accordance with the hospital's charity care criteria/policy and written
off in the cost reporting period, regardless of the date of service.
During the FY 2018 rulemaking, commenters pointed out that, in the
FY 2017 IPPS/LTCH PPS final rule (81 FR 56963), CMS agreed to institute
certain additional quality control and data improvement measures prior
to moving forward with incorporating Worksheet S-10 data into the
calculation of Factor 3. However, the commenters indicated that, aside
from a brief window in 2016 for hospitals to submit corrected data on
their FY 2014 Worksheet S-10 by September 30, 2016, and the issuance of
revised instructions (Transmittal 10) in November 2016 that are
applicable to cost reports beginning on or after October 1, 2016, CMS
had not implemented any additional quality control and data improvement
measures. We stated in the FY 2018 IPPS/LTCH PPS final rule that we
would continue to work with stakeholders to address their concerns
regarding the reporting of uncompensated care through provider
education and refinement of the instructions to the Worksheet S-10 (82
FR 38206).
On September 29, 2017, we issued Transmittal 11, which clarified
the definitions and instructions for uncompensated care, non-Medicare
bad debt, non-reimbursed Medicare bad debt, and charity care, as well
as modified the calculations relative to uncompensated care costs and
added edits to ensure the integrity of the data reported on Worksheet
S-10. Transmittal 11 is available for download on the CMS website at:
https://www.cms.gov/Regulations-and-Guidance/Guidance/Transmittals/2017Downloads/R11p240.pdf. We further clarified that full or partial
discounts given to uninsured patients who meet the hospital's charity
care policy or financial assistance policy/uninsured discount policy
(hereinafter referred to as Financial Assistance Policy or FAP) may be
included on Line 20, Column 1 of Worksheet S-10. These clarifications
apply to cost reporting periods beginning on or after October 1, 2013.
We also modified the application of the CCR. We specified that the CCR
will not be applied to the deductible and coinsurance amounts for
insured patients approved for charity care and non-reimbursed Medicare
bad debt. The CCR will be applied to the charges for uninsured patients
approved for charity care or an uninsured discount, non-Medicare bad
debt, and charges for noncovered days exceeding a length of stay limit
imposed on patients covered by Medicaid or other indigent care
programs.
We also provided another opportunity for hospitals to submit
revisions to their Worksheet S-10 data for FY 2014 and FY 2015 cost
reports. We refer readers to Change Request 10378, Transmittal 1981,
titled ``Fiscal Year (FY) 2014 and 2015 Worksheet S-10 Revisions:
Further Extension for All Inpatient Prospective Payment System (IPPS)
Hospitals,'' issued on December 1, 2017 (available at: https://www.cms.gov/Regulations-and-Guidance/Guidance/Transmittals/2017Downloads/R1981OTN.pdf). In this transmittal, we instructed MACs to
accept amended Worksheets S-10 for FY 2014 and FY 2015 cost reports
submitted by hospitals (or initial submissions of Worksheet S-10 if
none had been submitted previously) and to upload them to the Health
Care Provider Cost Report Information System (HCRIS) in a timely
manner. The transmittal included the deadlines by which hospitals
needed to submit their amended FY 2014 and FY 2015 cost reports
containing the revised Worksheet S-10 (or a completed Worksheet S-10 if
no data were included on the previously submitted cost report) to the
MAC, as well as the dates by which MACs must have accepted these data
and uploaded the revised cost report to the HCRIS, in order for the
data to be considered for purposes of the FY 2019 rulemaking.
(2) Background on the Methodology Used To Calculate Factor 3 for FY
2019
Section 1886(r)(2)(C) of the Act governs both the selection of the
data to be used in calculating Factor 3, and also allows the Secretary
the discretion to determine the time periods from which we will derive
the data to estimate the numerator and the denominator of the Factor 3
quotient. Specifically, section 1886(r)(2)(C)(i) of the Act defines the
numerator of the quotient as the amount of uncompensated care for such
hospital for a period selected by the Secretary. Section
1886(r)(2)(C)(ii) of the Act defines the denominator as the aggregate
amount of uncompensated care for all subsection (d) hospitals that
receive a payment under section 1886(r) of the Act for such period. In
the FY 2014 IPPS/LTCH PPS final rule (78 FR 50638), we adopted a
process of making interim payments with final cost report settlement
for both the empirically justified Medicare DSH payments and the
uncompensated care payments required by section 3133 of the Affordable
Care Act. Consistent with that process, we also determined the time
period from which to calculate the numerator and denominator of the
Factor 3 quotient in a way that would be consistent with making interim
and
[[Page 19416]]
final payments. Specifically, we must have Factor 3 values available
for hospitals that we estimate will qualify for Medicare DSH payments
and for those hospitals that we do not estimate will qualify for
Medicare DSH payments but that may ultimately qualify for Medicare DSH
payments at the time of cost report settlement.
In the FY 2017 IPPS/LTCH PPS final rule, in order to mitigate undue
fluctuations in the amount of uncompensated care payments to hospitals
from year to year and smooth over anomalies between cost reporting
periods, we finalized a policy of calculating a hospital's share of
uncompensated care based on an average of data derived from three cost
reporting periods instead of one cost reporting period. As explained in
the preamble to the FY 2017 IPPS/LTCH PPS final rule (81 FR 56957
through 56959), instead of determining Factor 3 using data from a
single cost reporting period as we did in FY 2014, FY 2015, and FY
2016, we used data from three cost reporting periods (Medicaid data for
FYs 2011, 2012, and 2013 and SSI days from the three most recent
available years of SSI utilization data (FYs 2012, 2013, and 2014)) to
compute Factor 3 for FY 2017. Furthermore, instead of determining a
single Factor 3 as we had done since the first year of the
uncompensated care payment in FY 2014, we calculated an individual
Factor 3 for each of the three cost reporting periods, which we then
averaged by the number of cost reporting years with data to compute the
final Factor 3 for a hospital. Under this policy, if a hospital had
merged, we would combine data from both hospitals for the cost
reporting periods in which the merger was not reflected in the
surviving hospital's cost report data to compute Factor 3 for the
surviving hospital. Moreover, to further reduce undue fluctuations in a
hospital's uncompensated care payments, if a hospital filed multiple
cost reports beginning in the same fiscal year, we combined data from
the multiple cost reports so that a hospital could have a Factor 3
calculated using more than one cost report within a cost reporting
period. We codified these changes for FY 2017 by amending the
regulation at Sec. 412.106(g)(1)(iii)(C).
As we stated in the FY 2019 IPPS/LTCH PPS final rule (83 FR 41414),
with the additional steps we had taken to ensure the accuracy and
consistency of the data reported on Worksheet S-10 since the
publication of the FY 2018 IPPS/LTCH PPS final rule, we continued to
believe that we can no longer conclude that alternative data to the
Worksheet S-10 are currently available for FY 2014 that are a better
proxy for the costs of subsection (d) hospitals for treating
individuals who are uninsured. Similarly, the actions that we have
taken to improve the accuracy and consistency of the Worksheet S-10
data, including the opportunity for hospitals to resubmit Worksheet S-
10 data for FY 2015, led us to conclude that there are no alternative
data to the Worksheet S-10 data currently available for FY 2015 that
are a better proxy for the costs of subsection (d) hospitals for
treating uninsured individuals. As such, in the FY 2019 IPPS/LTCH PPS
final rule (83 FR 41428), we finalized our proposal to advance the time
period of the data used in the calculation of Factor 3 forward by 1
year and to use data from FY 2013, FY 2014, and FY 2015 cost reports to
determine Factor 3 for FY 2019. For the reasons we described earlier,
we stated that we continue to believe it is inappropriate to use
Worksheet S-10 data for periods prior to FY 2014. Rather, for cost
reporting periods prior to FY 2014, we indicated that we believe it is
appropriate to continue to use low-income insured days. Accordingly,
with a time period that includes 3 cost reporting years consisting of
FY 2013, FY 2014, and FY 2015, we used Worksheet S-10 data for the FY
2014 and FY 2015 cost reporting periods and the low-income insured days
proxy data for the earliest cost reporting period. As in previous
years, in order to perform this calculation for the FY 2019 final rule,
we drew three sets of data (1 year of Medicaid utilization data and 2
years of Worksheet S-10 data) from the most recent available HCRIS
extract, which was the June 30, 2018 update of HCRIS, due to the unique
circumstances related to the impact of the hurricanes in 2017 (Harvey,
Irma, Maria, and Nate) and the extension of the deadline to resubmit
Worksheet S-10 data through January 2, 2018, and the subsequent impact
on the MAC review timeline (83 FR 41421).
Accordingly, for FY 2019, in addition to the Worksheet S-10 data
for FY 2014 and FY 2015, we used Medicaid days from FY 2013 cost
reports and FY 2016 SSI ratios. We noted that cost report data from
Indian Health Service and Tribal hospitals are included in HCRIS
beginning in FY 2013 and no longer need to be incorporated from a
separate data source. We also continued the policies that were
finalized in the FY 2015 IPPS/LTCH PPS final rule (79 FR 50020) to
address several specific issues concerning the process and data to be
employed in determining Factor 3 in the case of hospital mergers. In
addition, we continued the policies that were finalized in the FY 2018
IPPS/LTCH PPS final rule to address technical considerations related to
the calculation of Factor 3 and the incorporation of Worksheet S-10
data (82 FR 38213 through 38220). In that final rule, we adopted a
policy, for purposes of calculating Factor 3, under which we annualize
Medicaid days data and uncompensated care cost data reported on the
Worksheet S-10 if a hospital's cost report does not equal 12 months of
data. As in FY 2018, for FY 2019, we did not annualize SSI days because
we do not obtain these data from hospital cost reports in HCRIS.
Rather, we obtained these data from the latest available SSI ratios
posted on the Medicare DSH homepage (https://www.cms.gov/Medicare/
Medicare-fee-for-service-payment/AcuteInpatientPPS/dsh.html), which
were aggregated at the hospital level and did not include the
information needed to determine if the data should be annualized. To
address the effects of averaging Factor 3s calculated for 3 separate
fiscal years, we continued to apply a scaling factor to the Factor 3
values of all DSH eligible hospitals such that total uncompensated care
payments are consistent with the estimated amount available to make
uncompensated care payments for the applicable fiscal year. With
respect to the incorporation of data from Worksheet S-10, we indicated
that we believe that the definition of uncompensated care adopted in FY
2018 is still appropriate because it incorporates the most commonly
used factors within uncompensated care as reported by stakeholders,
including charity care costs and non-Medicare bad debt costs, and
correlates to Line 30 of Worksheet S-10. Therefore, for purposes of
calculating Factor 3 and uncompensated care costs in FY 2019, we again
defined ``uncompensated care'' as the amount on Line 30 of Worksheet S-
10, which is the cost of charity care (Line 23) and the cost of non-
Medicare bad debt and non-reimbursable Medicare bad debt (Line 29).
We noted that we were discontinuing the policy finalized in the FY
2017 IPPS/LTCH PPS final rule concerning multiple cost reports
beginning in the same fiscal year (81 FR 56957). Under this policy, we
would first combine the data across the multiple cost reports before
determining the difference between the start date and the end date to
determine if annualization was needed. This policy was developed in
response to commenters' concerns regarding the unique circumstances of
[[Page 19417]]
hospitals that file cost reports that are shorter or longer than 12
months. As we explained in the FY 2017 IPPS/LTCH PPS final rule (81 FR
56957 through 56959) and in the FY 2018 IPPS/LTCH PPS proposed rule (82
FR 19953), we believed that, for hospitals that file multiple cost
reports beginning in the same year, combining the data from these cost
reports had the benefit of supplementing the data of hospitals that
filed cost reports that are less than 12 months, such that the basis of
their uncompensated care payments and those of hospitals that filed
full-year 12-month cost reports would be more equitable. As we stated
in the FY 2019 IPPS/LTCH PPS proposed and final rules, we now believe
that concerns about the equitability of the data used as the basis of
hospital uncompensated care payments are more thoroughly addressed by
the policy finalized in the FY 2018 IPPS/LTCH PPS final rule, under
which CMS annualizes the Medicaid days and uncompensated care cost data
of hospital cost reports that do not equal 12 months of data. Based on
our experience, we stated that we believe that in many cases where a
hospital files two cost reports beginning in the same fiscal year,
combining the data across multiple cost reports before annualizing
would yield a similar result to choosing the longer of the two cost
reports and then annualizing the data if the cost report is shorter or
longer than 12 months. Furthermore, even in cases where a hospital
files more than one cost report beginning in the same fiscal year, it
is not uncommon for one of those cost reports to span exactly 12
months. In this case, if Factor 3 is determined using only the full 12-
month cost report, annualization would be unnecessary as there would
already be 12 months of data. Therefore, for FY 2019, we stated that we
believed it was appropriate to eliminate the additional step of
combining data across multiple cost reports if a hospital filed more
than one cost report beginning in the same fiscal year. Instead, for
purposes of calculating Factor 3, we used data from the cost report
that is equivalent to 12 months or, if no such cost report existed, the
cost report that was closest to 12 months, and annualized the data.
Furthermore, we acknowledged that, in rare cases, a hospital may have
more than one cost report beginning in one fiscal year, where one
report also spans the entirety of the following fiscal year, such that
the hospital has no cost report beginning in that fiscal year. For
instance, a hospital's cost reporting period may have started towards
the end of FY 2012 but cover the duration of FY 2013. In these rare
situations, we would use data from the cost report that spans both
fiscal years in the Factor 3 calculation for the latter fiscal year as
the hospital would already have data from the preceding cost report
that could be used to determine Factor 3 for the previous fiscal year.
In FY 2019, we also continued to apply statistical trims to
anomalous hospital CCRs using a similar methodology to the one adopted
in the FY 2018 IPPS/LTCH PPS final rule (82 FR 38217 through 38219),
where we stated our belief that, just as we apply trims to hospitals'
CCRs to eliminate anomalies when calculating outlier payments for
extraordinarily high cost cases (Sec. 412.84(h)(3)(ii)), it is
appropriate to apply statistical trims to the CCRs on Worksheet S-10,
Line 1, that are considered anomalies. Specifically, Sec.
412.84(h)(3)(ii) states that the Medicare contractor may use a
statewide CCR for hospitals whose operating or capital CCR is in excess
of 3 standard deviations above the corresponding national geometric
mean (that is, the CCR ``ceiling''). The geometric means for purposes
of the Worksheet S-10 trim of CCRs and for purposes of Sec.
412.84(h)(3)(ii) are separately calculated annually by CMS and
published in the applicable sections of the proposed and final IPPS
rules each year. We refer readers to the FY 2019 IPPS/LTCH PPS final
rule (83 FR 41415) for a detailed description of the CCR trim
methodology for purposes of the Worksheet S-10 trim of CCRs, which
included calculating 3 standard deviations above the national geometric
mean CCR for each of the applicable cost report years (FY 2014 and FY
2015) that were part of the Factor 3 methodology for FY 2019.
Similar in concept to the policy that we adopted for FY 2018, for
FY 2019, we stated that we continued to believe that uncompensated care
costs that represent an extremely high ratio of a hospital's total
operating expenses (such as the ratio of 50 percent used in the FY 2018
IPPS/LTCH PPS final rule) may be potentially aberrant, and that using
the ratio of uncompensated care costs to total operating costs to
identify potentially aberrant data when determining Factor 3 amounts
has merit. We noted that we had instructed the MACs to review
situations where a hospital has an extremely high ratio of
uncompensated care costs to total operating costs with the hospital,
but also indicated that we did not intend to make the MACs' review
protocols public (83 FR 41416). Similarly, we believe that situations
where there were extremely large dollar increases or decreases in a
hospital's uncompensated care costs when it resubmitted its FY 2014
Worksheet S-10 or FY 2015 Worksheet S-10 data, or when the data it had
previously submitted were reprocessed by the MAC, may reflect
potentially aberrant data and warrant further review. In the FY 2019
IPPS/LTCH PPS proposed rule (83 FR 20399), we noted that our
calculation of Factor 3 for the final rule would be contingent on the
results of the ongoing MAC reviews of hospitals' Worksheet S-10 data,
and in the event those reviews necessitate supplemental data edits, we
would incorporate such edits in the final rule for the purpose of
correcting aberrant data. After the completion of the MAC reviews, we
did not incorporate any additional edits to the Worksheet S-10 data
that we did not propose in the FY 2019 IPPS/LTCH PPS proposed rule. We
refer readers to the FY 2019 IPPS/LTCH PPS final rule (83 FR 41416) for
a detailed discussion of our policies for trimming aberrant data. In
brief summary, in cases where a hospital's uncompensated care costs for
FY 2014 or FY 2015 were an extremely high ratio of its total operating
costs, and the hospital could not justify the amount it reported, we
determined the ratio of uncompensated care costs to the hospital's
total operating costs from another available cost report, and applied
that ratio to the total operating expenses for the potentially aberrant
fiscal year to determine an adjusted amount of uncompensated care
costs. For example, if the FY 2015 cost report was determined to
include potentially aberrant data, data from the FY 2016 cost report
would be used for the ratio calculation. In this case, the hospital's
uncompensated care costs for FY 2015 would be trimmed by multiplying
its FY 2015 total operating costs by the ratio of uncompensated care
costs to total operating costs from the hospital's FY 2016 cost report
to calculate an estimate of the hospital's uncompensated care costs for
FY 2015 for purposes of determining Factor 3 for FY 2019.
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41416), for Indian
Health Service and Tribal hospitals, subsection (d) Puerto Rico
hospitals, and all-inclusive rate providers, we continued the policy we
first adopted for FY 2018 of substituting data regarding FY 2013 low-
income insured days for the Worksheet S-10 data when determining Factor
3. As we discussed in the FY 2018 IPPS/LTCH PPS final rule (82 FR
38209), the use of data from Worksheet S-10 to calculate the
uncompensated care amount for Indian Health Service and Tribal
hospitals may jeopardize
[[Page 19418]]
these hospitals' uncompensated care payments due to their unique
funding structure. With respect to Puerto Rico hospitals, we indicated
that we continue to agree with concerns raised by commenters that the
uncompensated care data reported by these hospitals need to be further
examined before the data are used to determine Factor 3 (82 FR 38209).
Finally, we acknowledged that the CCRs for all-inclusive rate providers
are potentially erroneous and still in need of further examination
before they can be used in the determination of uncompensated care
amounts for purposes of Factor 3 (82 FR 38212). For the reasons
described earlier related to the impact of the Medicaid expansion
beginning in FY 2014, we stated that we also continue to believe that
it is inappropriate to calculate a Factor 3 using FY 2014 and FY 2015
low-income insured days. Because we did not believe it was appropriate
to use the FY 2014 or FY 2015 uncompensated care data for these
hospitals and we also did not believe it was appropriate to use the FY
2014 or FY 2015 low-income insured days, we stated that the best proxy
for the costs of Indian Health Service and Tribal hospitals, subsection
(d) Puerto Rico hospitals, and all-inclusive rate providers for
treating the uninsured continues to be the low-income insured days data
for FY 2013. Accordingly, for these hospitals, we determined Factor 3
only on the basis of low-income insured days for FY 2013. We stated our
belief that this approach was appropriate as the FY 2013 data reflect
the most recent available information regarding these hospitals' low-
income insured days before any expansion of Medicaid. In addition,
because we continued to use 1 year of insured low-income patient days
as a proxy for uncompensated care and residents of Puerto Rico are not
eligible for SSI benefits, we continued to use a proxy for SSI days for
Puerto Rico hospitals consisting of 14 percent of the hospital's
Medicaid days, as finalized in the FY 2017 IPPS/LTCH PPS final rule (81
FR 56953 through 56956).
Therefore, for FY 2019, we computed Factor 3 for each hospital by--
Step 1: Calculating Factor 3 using the low-income insured days
proxy based on FY 2013 cost report data and the FY 2016 SSI ratio (or,
for Puerto Rico hospitals, 14 percent of the hospital's FY 2013
Medicaid days);
Step 2: Calculating Factor 3 based on the FY 2014 Worksheet S-10
data;
Step 3: Calculating Factor 3 based on the FY 2015 Worksheet S-10
data; and
Step 4: Averaging the Factor 3 values from Steps 1, 2, and 3; that
is, adding the Factor 3 values from FY 2013, FY 2014, and FY 2015 for
each hospital, and dividing that amount by the number of cost reporting
periods with data to compute an average Factor 3 (or for Puerto Rico
hospitals, Indian Health Service and Tribal hospitals, and all-
inclusive rate providers, using the Factor 3 value from Step 1).
We also amended the regulations at Sec. 412.106(g)(1)(iii)(C) by
adding a new paragraph (5) to reflect the above methodology for
computing Factor 3 for FY 2019.
In the FY 2019 IPPS/LTCH PPS final rule, we noted that if a
hospital does not have both Medicaid days for FY 2013 and SSI days for
FY 2016 available for use in the calculation of Factor 3 in Step 1, we
would consider the hospital not to have data available for the fiscal
year, and would remove that fiscal year from the calculation and divide
by the number of years with data. A hospital would be considered to
have both Medicaid days and SSI days data available if it reported zero
days for either component of the Factor 3 calculation in Step 1.
However, if a hospital was missing data due to not filing a cost report
in one of the applicable fiscal years, we would divide by the remaining
number of fiscal years.
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41417), we noted
that we did not make any proposals with respect to the development of
Factor 3 for FY 2020 and subsequent fiscal years. However, we noted
that the above methodology would have the effect of fully transitioning
the incorporation of data from Worksheet S-10 into the calculation of
Factor 3 if used in FY 2020, and therefore, the use of low-income
insured days would be phased out by FY 2020 if the same methodology
were to be proposed and finalized for that year. We also indicated that
it was possible that when we examine the FY 2016 Worksheet S-10 data,
we might determine that the use of multiple years of Worksheet S-10
data is no longer necessary in calculating Factor 3 for FY 2020. We
stated that, given the efforts hospitals have already undertaken with
respect to reporting their Worksheet S-10 data and the subsequent
reviews by the MACs that had already been conducted prior to the
development of the FY 2019 IPPS/LTCH PPS final rule, along with
additional review work that might take place following the issuance of
the FY 2019 final rule, we might consider using 1 year of Worksheet S-
10 data as the basis for calculating Factor 3 for FY 2020.
For new hospitals that did not have data for any of the three cost
reporting periods used in the Factor 3 calculation for FY 2019, we
continued to apply the new hospital policy finalized in the FY 2014
IPPS/LTCH PPS final rule (78 FR 50643). That is, the hospital would not
receive either interim empirically justified Medicare DSH payments or
interim uncompensated care payments. However, if the hospital is later
determined to be eligible to receive empirically justified Medicare DSH
payments based on its FY 2019 cost report, the hospital would also
receive an uncompensated care payment calculated using a Factor 3,
where the numerator is the uncompensated care costs reported on
Worksheet S-10 of the hospital's FY 2019 cost report, and the
denominator is the sum of the uncompensated care costs reported on
Worksheet S-10 of the FY 2015 cost reports for all DSH eligible
hospitals (that is, the most recent year of the 3-year time period used
in the development of Factor 3 for FY 2019). We noted that, given the
time period of the data used to calculate Factor 3, any hospitals with
a CCN established after October 1, 2015, would be considered new and
subject to this policy.
(3) Proposed Methodology for Calculating Factor 3 for FY 2020
(a) Proposal to Use of Audited FY 2015 Data
Since the publication of the FY 2019 IPPS/LTCH PPS final rule, we
have continued to monitor the reporting of Worksheet S-10 data in order
to determine the most appropriate data to use in the calculation of
Factor 3 for FY 2020. As stated in the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41424), due to the overwhelming feedback from commenters
emphasizing the importance of audits in ensuring the accuracy and
consistency of data reported on the Worksheet S-10, we expected audits
of the Worksheet S-10 to begin in the Fall of 2018. The audit protocol
instructions were still under development at the time of the FY 2019
IPPS/LTCH PPS final rule; yet, we noted the audit protocols would be
provided to the MACs in advance of the audit. Once the audit protocol
instructions were complete, we began auditing the Worksheet S-10 data
for selected hospitals in the Fall of 2018 so that the audited
uncompensated care data from these hospitals would be available in time
for use in this FY 2020 proposed rule. We chose to audit 1 year of data
(that is, FY 2015) in order to maximize the available audit resources
and not spread those audit resources over multiple years, potentially
diluting their effectiveness. We chose to focus the audit on the FY
2015 cost reports primarily because this was the most
[[Page 19419]]
recent year of data that we had broadly allowed to be resubmitted by
hospitals, and many hospitals had already made considerable efforts to
amend their FY 2015 reports for the FY 2019 rulemaking. We also
considered that we had previously used the FY 2015 data as part of the
calculation of the FY 2019 uncompensated care payments; therefore, the
data had previously been subject to public comment and scrutiny.
Given that we have conducted audits of the FY 2015 Worksheet S-10
data and have previously used the FY 2015 data to determine
uncompensated care payments, and the fact that the FY 2015 data are the
most recent data that we have allowed to be resubmitted to date, we
believe that, on balance, the FY 2015 Worksheet S-10 data are the best
available data to use for calculating Factor 3 for FY 2020. However, as
discussed in more detail later in the next section, an alternative we
also considered is the use of FY 2017 data. We are seeking public
comments on this alternative and, based on the public comments we
receive, could adopt it in the FY 2020 final rule.
We recognize that, in FY 2019, we used 3 years of data in the
calculation of Factor 3 in order to smooth over anomalies between cost
reporting periods and to mitigate undue fluctuations in the amount of
uncompensated care payments from year to year. However, we believe
that, for FY 2020, mixing audited and unaudited data for individual
hospitals by averaging multiple years of data could potentially lead to
a less smooth result, which is counter to our original goal in using 3
years of data. To the extent that the audited FY 2015 data for a
hospital are relatively different from its unaudited FY 2014 data and/
or its unaudited FY 2016 data, we potentially would be diluting the
effect of our considerable auditing efforts and introducing unnecessary
variability into the calculation if we continued to use 3 years of data
to calculate Factor 3. For example, approximately 10 percent of audited
hospitals have more than a $20 million difference between their audited
FY 2015 data and their unaudited FY 2016 data.
Accordingly, we are proposing to use a single year of Worksheet S-
10 data from FY 2015 cost reports to calculate Factor 3 in the FY 2020
methodology. We note that the proposed uncompensated care payments to
hospitals whose FY 2015 Worksheet S-10 data were audited represent
approximately half of the proposed total uncompensated care payments
for FY 2020. For purposes of this FY 2020 proposed rule, we have used
the most recent available HCRIS extract available, which is the HCRIS
data updated through February 15, 2019. We expect to use the March 2019
update of HCRIS for the final rule.
(b) Alternative Considered To Use FY 2017 Data
Although we are proposing to use Worksheet S-10 data from the FY
2015 cost reports, we acknowledge that some hospitals have raised
concerns regarding some of the adjustments made to the FY 2015 cost
reports following the audits of these reports (for example, adjustments
made to Line 22 of Worksheet S-10). These hospitals contend that there
are issues regarding the instructions in effect for FY 2015, especially
compared to the reporting instructions that were effective for cost
reporting periods beginning on or after October 1, 2016, and some of
these adjustments would not have been made if CMS had chosen as an
alternative to audit the FY 2017 reports.
Accordingly, we are seeking public comments on whether the changes
in the reporting instructions between the FY 2015 cost reports and the
FY 2017 cost reports have resulted in a better common understanding
among hospitals of how to report uncompensated care costs and improved
relative consistency and accuracy across hospitals in reporting these
costs. We also are seeking public comments on whether, due to the
changes in the reporting instructions, we should use a single year of
uncompensated care cost data from the FY 2017 reports, instead of the
FY 2015 reports, to calculate Factor 3 for FY 2020. We note that we are
not proposing to use FY 2016 reports because the reporting instructions
for that year were similar to the reporting instructions for the FY
2015 reports. If, based on the public comments received, we were to
adopt a final policy in which we use Worksheet S-10 data from the FY
2017 cost reports to determine Factor 3 for FY 2020, we would also
expect to use the March 2019 update of HCRIS for the final rule.
Under the alternative considered on which we are seeking public
comment, the FY 2017 Worksheet S-10 data would be used instead of the
FY 2015 Worksheet S-10 data, but, in general, the proposed Factor 3
methodology would be unchanged. The limited circumstances where the
methodology would need to differ from the proposed methodology using FY
2015 data, if we were to adopt the alternative of using FY 2017 data in
the final rule based on the public comments received, are outlined in
section IV.F.4.c.(3)(d) of the preamble of this proposed rule
(Methodological Considerations for Calculating Factor 3). If an aspect
of the proposed methodology described below does not specifically
indicate that we would modify it under the alternative considered, that
aspect of the methodology would be unchanged, regardless of whether we
use FY 2015 data or FY 2017 data. We note that we are providing all of
the same public information regarding the alternative considered,
including the Factor 3 values for each hospital and the impact
information, that we are providing for our proposal to use FY 2015
data.
(c) Proposed Definition of ``Uncompensated Care''
We continue to believe that the definition of ``uncompensated
care'' first adopted in FY 2018 when we started to incorporate data
from Worksheet S-10 into the determination of Factor 3 and used again
in FY 2019 is appropriate, as it incorporates the most commonly used
factors within uncompensated care as reported by stakeholders, namely,
charity care costs and bad debt costs, and correlates to Line 30 of
Worksheet S-10. Therefore, we are proposing that, for purposes of
determining uncompensated care costs and calculating Factor 3 for FY
2020, ``uncompensated care'' would continue to be defined as the amount
on Line 30 of Worksheet S-10, which is the cost of charity care (Line
23) and the cost of non-Medicare bad debt and non-reimbursable Medicare
bad debt (Line 29).
(d) Methodological Considerations for Calculating Factor 3
For FY 2020, we are proposing to continue the merger policies that
were finalized in the FY 2015 IPPS/LTCH PPS final rule (79 FR 50020).
In addition, we are proposing to continue the policy that was finalized
in the FY 2018 IPPS/LTCH PPS final rule of annualizing uncompensated
care cost data reported on the Worksheet S-10 if a hospital's cost
report does not equal 12 months of data.
We are proposing to modify the new hospital policy first adopted in
the FY 2014 IPPS/LTCH PPS final rule (78 FR 50643) and continued
through the FY 2019 IPPS/LTCH PPS final rule (83 FR 41417), for new
hospitals that do not have data for the cost reporting period(s) used
in the proposed Factor 3 calculation. For FY 2020, new hospitals that
are eligible for Medicare DSH would receive interim empirically
justified DSH payments. Generally, new hospitals do not yet have
available data to project their eligibility for DSH
[[Page 19420]]
payments because there is a lag until the SSI ratio and the Medicaid
ratio become available. However, we note that there are some new
hospitals (that is, hospitals with CCNs established after October 1,
2015) that have a preliminary projection of being eligible for DSH
payments based on their most recent available DSH percentages. Because
these hospitals do not have a FY 2015 cost report to use in the Factor
3 calculation and the projection of eligibility for DSH payments is
still preliminary, we are proposing that the MAC would make a final
determination concerning whether the hospital is eligible to receive
Medicare DSH payments at cost report settlement based on its FY 2020
cost report. If the hospital is ultimately determined to be eligible
for Medicare DSH payments for FY 2020, the hospital would receive an
uncompensated care payment calculated using a Factor 3, where the
numerator is the uncompensated care costs reported on Worksheet S-10 of
the hospital's FY 2020 cost report, and the denominator is the sum of
the uncompensated care costs reported on Worksheet S-10 of the FY 2015
cost reports for all DSH-eligible hospitals. This denominator would be
the same denominator that is determined prospectively for purposes of
determining Factor 3 for all DSH-eligible hospitals, excluding Puerto
Rico hospitals and Indian Health Service and Tribal hospitals. The new
hospital would not receive interim uncompensated care payments before
cost report settlement because we would have no FY 2015 uncompensated
care data on which to determine what those interim payments should be.
We note that, given the time period of the data we are proposing to use
to calculate Factor 3, any hospitals with a CCN established on or after
October 1, 2015, would be considered new and subject to this policy.
However, under the alternative policy considered of using FY 2017 data,
we would modify the new hospital policy, such that any hospital with a
CCN established on or after October 1, 2017, would be considered new
and subject to this policy with conforming changes to provide for the
use of FY 2017 uncompensated care data.
We have received questions regarding the new hospital policy for
new Puerto Rico hospitals. In FY 2018 and FY 2019, Factor 3 for all
Puerto Rico hospitals, including new Puerto Rico hospitals, was based
on the low-income insured proxy data. Under this approach, the MAC will
calculate a Factor 3 for new Puerto Rico hospitals at cost report
settlement for the applicable fiscal year using the Medicaid days from
the hospital's cost report and the SSI day proxy (that is, 14 percent
of the hospital's Medicaid days) divided by the low-income insured
proxy data denominator that was established for that fiscal year. For
FY 2020, we are proposing that Puerto Rico hospitals that do not have a
FY 2013 report would be considered new hospitals and would be subject
to the proposed new hospital policy, as discussed above. Specifically,
the numerator would be the uncompensated care costs reported on
Worksheet S-10 of the hospital's FY 2020 cost report and the
denominator would be the same denominator that is determined
prospectively for purposes of determining Factor 3 for all DSH-eligible
hospitals. We believe this notice of proposed rulemaking provides
sufficient time for all new hospitals to take the steps necessary to
ensure that their uncompensated care costs for FY 2020 are accurately
reported on their FY 2020 Worksheet S-10. In addition, we expect MACs
to review FY 2020 reports from new hospitals, as necessary, which will
address past commenters' concerns regarding the need for further review
of Puerto Rico hospitals' uncompensated care data before the data are
used to determine Factor 3. Therefore, we believe the uncompensated
care costs reported on their FY 2020 Worksheet S-10 are the best
available and appropriate data to use to calculate Factor 3 for new
Puerto Rico hospitals. This proposed would also allow our new hospital
policy to be more uniform, given that Worksheet S-10 would be the
source of the uncompensated care cost data across all new hospitals.
For Indian Health Service and Tribal hospitals and subsection (d)
Puerto Rico hospitals that have a FY 2013 cost report, we are proposing
to adapt the policy first adopted for the FY 2018 rulemaking regarding
FY 2013 low-income insured days when determining Factor 3. As we
discussed in the FY 2018 IPPS/LTCH PPS final rule (82 FR 38209), the
use of data from Worksheet S-10 to calculate the uncompensated care
amount for Indian Health Service and Tribal hospitals may jeopardize
these hospitals' uncompensated care payments due to their unique
funding structure. With respect to Puerto Rico hospitals that would not
be subject to the proposed new hospital policy, we continue to agree
with concerns raised by commenters that the uncompensated care data
reported by these hospitals need to be further examined before the data
are used to determine Factor 3 (82 FR 38209). Accordingly, for these
hospitals, we are proposing to determine Factor 3 based on Medicaid
days from FY 2013 and the most recent update of SSI days. The aggregate
amount of uncompensated care that is used in the Factor 3 denominator
for these hospitals would continue to be based on the low-income
patient proxy; that is, the aggregate amount of uncompensated care
determined for all DSH eligible hospitals using the low-income insured
days proxy. We believe this approach is appropriate because the FY 2013
data reflect the most recent available information regarding these
hospitals' Medicaid days before any expansion of Medicaid. At the time
of development of this proposed rule, for modeling purposes, we
computed Factor 3 for these hospitals using FY 2013 Medicaid days and
the most recent available FY 2017 SSI days. In addition, because we are
continuing to use 1 year of insured low-income patient days as a proxy
for uncompensated care for Puerto Rico hospitals and residents of
Puerto Rico are not eligible for SSI benefits, we are proposing to
continue to use a proxy for SSI days for Puerto Rico hospitals,
consisting of 14 percent of a hospital's Medicaid days, as finalized in
the FY 2017 IPPS/LTCH PPS final rule (81 FR 56953 through 56956).
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41417), we noted
that further examination of the CCRs for all-inclusive rate providers
was necessary before we considered incorporating Worksheet S-10 into
the Factor 3 calculation for these hospitals. We have examined the CCRs
from the FY 2015 cost reports and believe the risk that all-inclusive
rate providers will have aberrant CCRs and, consequently, aberrant
uncompensated care data, is mitigated by the proposal to apply trim
methodologies for potentially aberrant uncompensated care costs for all
hospitals. Therefore, we believe it is no longer necessary to propose
specific Factor 3 policies for all-inclusive rate providers.
Because we are proposing to use 1 year of cost report data, as
opposed to averaging 3 cost report years, it is also no longer
necessary to propose to apply a scaling factor to the Factor 3 of all
DSH eligible hospitals similar to the scaling factor that was finalized
in FY 2018 IPPS/LTCH PPS final rule (82 FR 38214) and also applied in
the FY 2019 IPPS/LTCH PPS final rule. The primary purpose of the
scaling factor was to account for the averaging effect of the use of 3
years of data on the Factor 3 calculation.
However, we are proposing to continue certain other policies
finalized
[[Page 19421]]
in the FY 2019 IPPS/LTCH PPS final rule, specifically: (1) For
providers with multiple cost reports, beginning in the same fiscal
year, using the longest cost report and annualizing Medicaid data and
uncompensated care data if a hospital's cost report does not equal 12
months of data; (2) in the rare case where a provider has multiple cost
reports, beginning in the same fiscal year, but one report also spans
the entirety of the following fiscal year, such that the hospital has
no cost report for that fiscal year, using the cost report that spans
both fiscal years for the latter fiscal year; and (3) applying
statistical trim methodologies to potentially aberrant CCRs and
potentially aberrant uncompensated care costs reported on the Worksheet
S-10. Thus, if a hospital's uncompensated care costs for FY 2015 are an
extremely high ratio of its total operating costs, and the hospital
cannot justify the amount it reported, we are proposing to determine
the ratio of uncompensated care costs to the hospital's total operating
costs from another available cost report, and apply that ratio to the
total operating expenses for the potentially aberrant fiscal year to
determine an adjusted amount of uncompensated care costs. For example,
if the FY 2015 cost report is determined to include potentially
aberrant data, data from the FY 2016 cost report would be used for the
ratio calculation. In this case, similar to the trim methodology used
for FY 2019, the hospital's uncompensated care costs for FY 2015 would
be trimmed by multiplying its FY 2015 total operating costs by the
ratio of uncompensated care costs to total operating costs from the
hospital's FY 2016 cost report to calculate an estimate of the
hospital's uncompensated care costs for FY 2015 for purposes of
determining Factor 3 for FY 2020.
In support of the alternative policy considered of using
uncompensated care data from FY 2017 and to improve the quality of the
Worksheet S-10 data generally, we are currently in a process of
outreach to hospitals related to potentially aberrant data reported in
their FY 2017 cost reports. For example, a significant positive or
negative difference in the percent of total uncompensated care costs to
total operating costs when comparing the hospital's FY 2015 cost report
to its FY 2017 cost report may indicate potentially aberrant data.
While hospitals may see uncompensated care cost fluctuations from year
to year, if a hospital experiences a significant change compared to
other comparable hospitals, this could be an indication of potentially
aberrant data. A hospital with such changes would have the opportunity
to justify its reporting fluctuation to the MAC and, if necessary, to
amend its FY 2017 cost report. If a hospital's FY 2017 cost report
remains unchanged without an acceptable response or explanation from
the provider, under the alternative policy considered, we would trim
the data in the provider's FY 2017 cost report using data from the
provider's FY 2015 cost report in order to determine Factor 3 for
purposes of the final rule.
While we expect all providers will have FY 2017 cost reports in
HCRIS by the time that any data would be taken from HCRIS for the final
rule, if such data are not reflected in HCRIS for an unforeseen reason
unrelated to any inappropriate action or improper reporting on the part
of the hospital, we would substitute the Worksheet S-10 data from the
FY 2015 cost report for the data from the FY 2017 cost report.
Similar to the process used in the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38217 through 38218) and the FY 2019 IPPS/LTCH PPS (83 FR 41415
and 41416) for trimming CCRs, in this FY 2020 IPPS/LTCH PPS proposed
rule, we are proposing the following steps:
Step 1: Remove Maryland hospitals. In addition, we would remove
all-inclusive rate providers because their CCRs are not comparable to
the CCRs calculated for other IPPS hospitals.
Step 2: For FY 2015 cost reports, calculate a CCR ``ceiling'' with
the following data: For each IPPS hospital that was not removed in Step
1 (including non-DSH eligible hospitals), we would use cost report data
to calculate a CCR by dividing the total costs on Worksheet C, Part I,
Line 202, Column 3 by the charges reported on Worksheet C, Part I, Line
202, Column 8. (Combining data from multiple cost reports from the same
fiscal year is not necessary, as the longer cost report would be
selected.) The ceiling would be calculated as 3 standard deviations
above the national geometric mean CCR for the applicable fiscal year.
This approach is consistent with the methodology for calculating the
CCR ceiling used for high-cost outliers. Remove all hospitals that
exceed the ceiling so that these aberrant CCRs do not skew the
calculation of the statewide average CCR. (For this proposed rule, this
trim would remove 8 hospitals that have a CCR above the calculated
ceiling of 0.925 for FY 2015 cost reports.) (Under the alternative
policy considered, the trim would remove 13 hospitals that have a CCR
above the calculated ceiling of 0.942 for FY 2017 cost reports.)
Step 3: Using the CCRs for the remaining hospitals in Step 2,
determine the urban and rural statewide average CCRs for FY 2015 for
hospitals within each State (including non-DSH eligible hospitals),
weighted by the sum of total inpatient discharges and outpatient visits
from Worksheet S-3, Part I, Line 14, Column 14.
Step 4: Assign the appropriate statewide average CCR (urban or
rural) calculated in Step 3 to all hospitals with a CCR for FY 2015
greater than 3 standard deviations above the national geometric mean
for that fiscal year (that is, the CCR ``ceiling''). For this proposed
rule, the statewide average CCR would therefore be applied to 8
hospitals, of which 4 hospitals have FY 2015 Worksheet S-10 data.
(Under the alternative policy considered, the statewide average CCR
would be applied to 13 hospitals, of which 5 hospitals have FY 2017
Worksheet S-10 data.)
For providers that did not report a CCR on Worksheet S-10, Line 1,
we would assign them the statewide average CCR in step 4.
After applying the applicable trims to a hospital's CCR as
appropriate, we are proposing that we would calculate a hospital's
uncompensated care costs for the applicable fiscal year as being equal
to Line 30, which is the sum of Line 23, Column 3, and Line 29
determined using the hospital's CCR or the statewide average CCR (urban
or rural), if applicable.
Therefore, for FY 2020, we are proposing to compute Factor 3 for
each hospital by--
Step 1: Selecting the provider's longest cost report from its
Federal fiscal year (FFY) 2015 cost reports. (Alternatively, in the
rare case when the provider has no FFY 2015 cost report because the
cost report for the previous Federal fiscal year spanned the FFY 2015
time period, the previous Federal fiscal year cost report would be used
in this step.)
Step 2: Annualizing the uncompensated care costs (UCC) from
Worksheet S-10 Line 30, if the cost report is more than or less than 12
months. (If applicable, use the statewide average CCR (urban or rural)
to calculate uncompensated care costs.)
Step 3: Combining annualized uncompensated care costs for hospitals
that merged.
Step 4: Calculating Factor 3 for Indian Health Service and Tribal
hospitals and Puerto Rico hospitals using the low-income insured days
proxy based on FY 2013 cost report data and the most recent available
SSI ratio (or, for Puerto Rico hospitals, 14 percent of the
[[Page 19422]]
hospital's FY 2013 Medicaid days). The denominator is calculated using
the low-income insured days proxy data from all DSH eligible hospitals.
Step 5: Calculating Factor 3 for the remaining DSH eligible
hospitals using annualized uncompensated care costs (Worksheet S-10
Line 30) based on FY 2015 cost report data (from Step 3). The hospitals
for which Factor 3 was calculated in Step 4 are excluded from this
calculation.
We also are proposing to amend the regulations at Sec.
412.106(g)(1)(iii)(C) by adding a new paragraph (6) to reflect the
above proposed methodology for computing Factor 3 for FY 2020.
We note that, if a hospital does not have Worksheet S-10 data for
FY 2015 and the hospital is not a new hospital (that is, its CCN was
established before October 1, 2015) nor has the rare case of no FY 2015
cost report, we are proposing to apply the steps above with
uncompensated care costs of zero for the hospital. In addition, if, in
the course of the Worksheet S-10 reviews by MACs, a hospital is unable
to provide sufficient documentation or is unwilling to justify its cost
report, which subsequently results in the hospital's Worksheet S-10
being adjusted to zero, we also are proposing to use the above steps to
calculate Factor 3. We recognize that, under this proposal, these
hospitals would be treated as having reported no uncompensated care
costs on the Worksheet S-10 for FY 2015, which would result in their
not receiving uncompensated care payments for FY 2020. However, we
believe this proposal is equitable to other hospitals because all
short-term acute care hospitals are required to report Worksheet S-10
and must maintain sufficient documentation to support the information
reported. In addition, hospitals have been on notice since the
beginning of FY 2014 that Worksheet S-10 could eventually become the
data source for CMS to calculate uncompensated care payments.
Furthermore, we have previously given hospitals the opportunity to
amend their Worksheet S-10 for FY 2015 cost reports (or to submit a
Worksheet S-10 for FY 2015 if none had been submitted previously).
As we have done for every proposed and final rule beginning in FY
2014, in conjunction with both the FY 2020 IPPS/LTCH PPS proposed rule
and final rule, we will publish on the CMS website a table listing
Factor 3 computed using both the proposed methodology and the potential
alternative methodology for all hospitals that we estimate would
receive empirically justified Medicare DSH payments in FY 2020 (that
is, those hospitals that would receive interim uncompensated care
payments during the fiscal year), and for the remaining subsection (d)
hospitals and subsection (d) Puerto Rico hospitals that have the
potential of receiving a Medicare DSH payment in the event that they
receive an empirically justified Medicare DSH payment for the fiscal
year as determined at cost report settlement. We note that, at the time
of development of this proposed rule, the FY 2017 SSI ratios were
available. Accordingly, for purposes of this proposed rule, we have
computed Factor 3 for Indian Health Service and Tribal hospitals and
Puerto Rico hospitals using the most recent available data regarding
SSI days from the FY 2017 SSI ratios. We also will publish in the
supplemental data file a list of the mergers that we are aware of and
the computed uncompensated care payment for each merged hospital.
Hospitals have 60 days from the date of public display of this FY
2020 IPPS/LTCH PPS proposed rule to review the table and supplemental
data file published on the CMS website in conjunction with the proposed
rule and to notify CMS in writing of any inaccuracies. Comments that
are specific to the information included in the table and supplemental
data file can be submitted to the CMS inbox at
[email protected]. We will address these comments as
appropriate in the table and the supplemental data file that we publish
on the CMS website in conjunction with the publication of the FY 2020
IPPS/LTCH PPS final rule. After the publication of the FY 2020 IPPS/
LTCH PPS final rule, hospitals will have until August 31, 2019, to
review and submit comments on the accuracy of the table and
supplemental data file published in conjunction with the final rule.
Comments may be submitted to the CMS inbox at
[email protected] through August 31, 2019, and any changes to
Factor 3 will be posted on the CMS website prior to October 1, 2019.
We are inviting public comments on our proposed methodology for
calculating Factor 3 for FY 2020, including, but not limited to, our
proposed use of the FY 2015 Worksheet S-10 data and the alternative
policy considered of using the FY 2017 Worksheet S-10 data instead of
the FY 2015 Worksheet S-10 data.
5. Request for Public Comments on Ways To Reduce Provider Reimbursement
Review Board (PRRB) Appeals Related to a Hospital's Medicaid Fraction
Used in the Disproportionate Share Hospital (DSH) Payment Adjustment
Calculation
As part of our ongoing efforts to reduce regulatory burden on
providers, we are examining the backlog of appeals cases at the
Provider Reimbursement Review Board (PRRB). A large number of appeals
before the PRRB relate to the calculation of a hospital's
disproportionate patient percentage (DPP) used in the calculation of
the DSH payment adjustment. (We refer readers to section IV.F. 1. of
the preamble of this proposed rule for a discussion of the calculation
of a hospitals DPP.) Many of these appeals before the PRRB focus on the
calculation of a hospital's Medicaid fraction, which is one of the two
fractions comprising the DPP, particularly the data used to determine
an individual's Medicaid eligibility in the calculation. Specifically,
it is possible that updated data on Medicaid eligibility are available
following cost report submission. As a result, many hospitals annually
appeal their cost reports to the PRRB in an effort to try and use
updated State Medicaid eligibility data to calculate the Medicaid
fraction. We believe it is in both CMS' and the providers' interest to
seek a solution to issues related to the Medicaid fraction that appear
to have led to a large volume and backlog of PRRB appeals. Therefore,
we believe it is appropriate to explore options that may prevent the
need for such appeals. We note that the Provider Reimbursement Review
Board Rules, Version 2.0, August 29, 2018, contain revisions in Rules
46 and 47 pertaining to ``Withdrawal of an Appeal or Issue Within an
Appeal'' and ``Reinstatement'', respectively. These changes may lower
the number of tracked PRRB appeals. In exploring possible solutions, we
are concerned about balancing the competing interests of administrative
finality, ease of implementation for both CMS and providers, and the
use of the most appropriate data.
We believe one such solution might be to develop regulations
governing the timing of the data for determining Medicaid eligibility,
somewhat similar to our existing policy on entitlement to SSI benefits
which is determined at a specific time. For more information on this
policy, we refer readers to the FY 2011 IPPS/LTCH PPS final rule (75 FR
50276). Under this possible solution, a provider would submit a cost
report
[[Page 19423]]
with Medicaid days based on the best available Medicaid eligibility
data at the time of filing and could request a ``reopening'' when the
cost report is settled without filing an appeal. CMS would issue
directives to the MACs requiring them to reopen those cost reports for
this issue at a specific time and set a realistic period during which
the provider could submit updated data. This would be an expansion of
the preamble instructions finalized in the CY 2016 OPPS/ASC final rule
with comment period issued on November 13, 2015 (80 FR 70563 and 70564)
which requires the MACs to accept one amended cost report submitted
within 12 months after the due date of the cost report solely for the
purpose of revising Medicaid days. (We note that an amendment of the
cost report is initiated by the provider prior to final settlement of
the cost report, while a reopening of the cost report occurs after
final settlement and can be requested by the provider or initiated by
the MAC.) Under this possible expansion, we would require MACs to
reopen cost reports for the purpose of revising the Medicaid fraction
near the end of the 3-year reopening window and use the Medicaid data
at that time to settle the cost report. We believe the 3 years of the
reopening period could provide adequate time to update the Medicaid
data used to determine an individual's Medicaid eligibility for
purposes of calculating a hospital's Medicaid fraction. However, we are
generally interested in public comments on using reopenings as a
mechanism to use updated Medicaid eligibility data and reduce the
filing of PRRB appeals--in particular, the optimal time for review of
data to occur taking into account the hospital's desire to receive
accurate payment and CMS' and the MACs' desire to settle cost reports
in a timely manner (for example, whether it makes sense to review data
2 years after cost report submission, near the end of the 3 years
mentioned in the reopening regulations, or at some other time).
We also are considering allowing hospitals, for a one-time option,
to resubmit a cost report with updated Medicaid eligibility
information, somewhat similar to our existing DSH policy allowing
hospitals a one-time option to have their SSI ratios calculated based
on their cost reporting period rather than the Federal fiscal year
under 42 CFR 412.106(a)(3). Under this option, we would undertake
rulemaking to determine the timeframe for exercising the option (which
may be a maximum allowable time after the close of a cost reporting
period or a specific window during which the request could be made). We
are interested in feedback and comments concerning the viability of
these options, as well as any alternative approaches, that could help
reduce the number of DSH-related appeals and inform our future
rulemaking efforts.
G. Hospital Readmissions Reduction Program: Proposed Updates and
Changes (Sec. Sec. 412.150 Through 412.154)
1. Statutory Basis for the Hospital Readmissions Reduction Program
Section 1886(q) of the Act, as amended by section 15002 of the 21st
Century Cures Act, establishes the Hospital Readmissions Reduction
Program. Under the Hospital Readmissions Reduction Program, Medicare
payments under the acute inpatient prospective payment system for
discharges from an applicable hospital, as defined under section
1886(d) of the Act, may be reduced to account for certain excess
readmissions. Section 15002 of the 21st Century Cures Act requires the
Secretary to compare hospitals with respect to the number of their
Medicare-Medicaid dual-eligible beneficiaries (dual-eligibles) in
determining the extent of excess readmissions. We refer readers to the
FY 2016 IPPS/LTCH PPS final rule (80 FR 49530 through 49531) and the FY
2018 IPPS/LTCH PPS final rule (82 FR 38221 through 38240) for a
detailed discussion of and additional information on the statutory
history of the Hospital Readmissions Reduction Program.
2. Regulatory Background
We refer readers to the following final rules for detailed
discussions of the regulatory background and descriptions of the
current policies for the Hospital Readmissions Reduction Program:
FY 2012 IPPS/LTCH PPS final rule (76 FR 51660 through
51676);
FY 2013 IPPS/LTCH PPS final rule (77 FR 53374 through
53401);
FY 2014 IPPS/LTCH PPS final rule (78 FR 50649 through
50676);
FY 2015 IPPS/LTCH PPS final rule (79 FR 50024 through
50048);
FY 2016 IPPS/LTCH PPS final rule (80 FR 49530 through
49543);
FY 2017 IPPS/LTCH PPS final rule (81 FR 56973 through
56979);
FY 2018 IPPS/LTCH PPS final rule (82 FR 38221 through
38240); and
FY 2019 IPPS/LTCH PPS final rule (83 FR 41431 through
41439).
These rules describe the general framework for the implementation
of the Hospital Readmissions Reduction Program, including: (1) The
selection of measures for the applicable conditions/procedures; (2) the
calculation of the excess readmission ratio (ERR), which is used, in
part, to calculate the payment adjustment factor; (3) beginning in FY
2019, the calculation of the proportion of ``dually eligible'' Medicare
beneficiaries which is used to stratify hospitals into peer groups and
establish the peer group median ERRs; (4) the calculation of the
payment adjustment factor, specifically addressing the base operating
DRG payment amount, aggregate payments for excess readmissions
(including calculating the peer group median ERRs), aggregate payments
for all discharges, and the neutrality modifier; (5) the opportunity
for hospitals to review and submit corrections using a process similar
to what is currently used for posting results on Hospital Compare; (6)
the adoption of an extraordinary circumstances exception policy to
address hospitals that experience a disaster or other extraordinary
circumstance; (7) the clarification that the public reporting of ERRs
will be posted on an annual basis to the Hospital Compare website as
soon as is feasible following the review and corrections period; and
(8) the specification that the definition of ``applicable hospital''
does not include hospitals and hospital units excluded from the IPPS,
such as LTCHs, cancer hospitals, children's hospitals, IRFs, IPFs,
CAHs, and hospitals in United States territories and Puerto Rico.
We also have codified certain requirements of the Hospital
Readmissions Reduction Program at 42 CFR 412.152 through 412.154, which
we are proposing to update in this proposed rule to reflect both
proposed and previously finalized policies.
The Hospital Readmissions Reduction Program strives to put patients
first by ensuring they are empowered to make decisions about their own
healthcare along with their clinicians, using information from data-
driven insights that are increasingly aligned with meaningful quality
measures. We believe the Hospital Readmissions Reduction Program
incentivizes hospitals to improve health care quality and value, while
giving patients the tools and information needed to make the best
decisions for them. To that end, we are committed to monitoring the
efficacy of the program to ensure that the Hospital Readmissions
Reduction Program improves the lives of patients and reduces cost.
[[Page 19424]]
3. Summary of Proposed Policies for the Hospital Readmissions Reduction
Program
In this proposed rule, we are proposing the following policies: (1)
A measure removal policy that aligns with the removal factor policies
previously adopted in other quality reporting and quality payment
programs; (2) an update to the program's definition of ``dual-
eligible'' beginning with the FY 2021 program year, to allow for a 1-
month lookback period in data sourced from the State Medicare
Modernization Act (MMA) files to determine dual-eligible status for
beneficiaries who die in the month of discharge; (3) a subregulatory
process to address any potential future nonsubstantive changes to the
payment adjustment factor components; and (4) an update to the
regulations at 42 CFR 412.152 and 412.154 to reflect proposed policies
and to codify additional previously finalized policies.
We discuss these proposals in greater detail below.
4. Current Measures and Proposed Measure Policies for FY 2020 and
Subsequent Years
a. Current Measures
The Hospital Readmissions Reduction Program currently includes six
applicable conditions/procedures: Acute myocardial infarction (AMI);
heart failure (HF); pneumonia; elective primary total hip arthroplasty/
total knee arthroplasty (THA/TKA); chronic obstructive pulmonary
disease (COPD); and coronary artery bypass graft (CABG) surgery. We
refer readers to the FY 2019 IPPS/LTCH PPS final rule (83 FR 41431
through 41439) for more information about how the Hospital Readmissions
Reduction Program supports CMS' goal of bringing quality measurement,
transparency, and improvement together with value-based purchasing to
the hospital inpatient care setting through the Meaningful Measures
Initiative. We continue to believe the measures we have adopted
adequately meet the goals of the Hospital Readmissions Reduction
Program. Therefore, we are not proposing to remove or adopt any
additional measures at this time.
b. Proposed Measure Removal Factors Policy
While we are not proposing to remove any measures from the Hospital
Readmissions Reduction Program in this proposed rule, we are proposing
to adopt a measure removal factors policy as part of our efforts to
ensure that the Hospital Readmissions Reduction Program measure set
continues to promote improved health outcomes for beneficiaries while
minimizing the overall burden and costs associated with the program.
The adoption of measure removal factors would align the Hospital
Readmissions Reduction Program with our other quality reporting and
quality payment programs and help ensure consistency in our measure
evaluation methodology across programs.
In the FY 2019 IPPS/LTCH PPS final rule, we updated a number of CMS
programs' considerations for removing measures from the respective
programs. Specifically, we finalized eight measure removal factors for
the Hospital IQR Program (83 FR 41540 through 41544), the Hospital VBP
Program (83 FR 41441 through 41446), the PCHQR Program (83 FR 41609
through 41611), and the LTCH QRP (83 FR 41625 through 41627).
We believe these removal factors are also appropriate for the
Hospital Readmissions Reduction Program, and we believe that alignment
between CMS quality programs is important to provide stakeholders with
a clear, consistent, and transparent process. Therefore, to align with
our other quality reporting and quality payment programs, we are
proposing to adopt the following removal factors for the Hospital
Readmissions Reduction Program:
Factor 1. Measure performance among hospitals is so high
and unvarying that meaningful distinctions and improvements in
performance can no longer be made (``topped-out'' measures);
Factor 2. Measure does not align with current clinical
guidelines or practice;
Factor 3. Measure can be replaced by a more broadly
applicable measure (across settings or populations) or a measure that
is more proximal in time to desired patient outcomes for the particular
topic;
Factor 4. Measure performance or improvement does not
result in better patient outcomes;
Factor 5. Measure can be replaced by a measure that is
more strongly associated with desired patient outcomes for the
particular topic;
Factor 6. Measure collection or public reporting leads to
negative unintended consequences other than patient harm; \395\
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\395\ When there is reason to believe that the continued
collection of a measure as it is currently specified raises
potential patient safety concerns, CMS will take immediate action to
remove a measure from the program and not wait for the annual
rulemaking cycle. In such situations, we would promptly retire such
measures followed by subsequent confirmation of the retirement in
the next IPPS rulemaking. When we do so, we will notify hospitals
and the public through the usual hospital and QIO communication
channels used for the Hospital Readmissions Reduction Program, which
include memo and email notification and QualityNet website articles
and postings.
---------------------------------------------------------------------------
Factor 7. Measure is not feasible to implement as
specified; and
Factor 8. The costs associated with a measure outweigh the
benefit of its continued use in the program.\396\
---------------------------------------------------------------------------
\396\ We refer readers to the Hospital IQR Program's measure
removal factors discussions in the FY 2016 IPPS/LTCH PPS final rule
(80 FR 49641 through 49643) and the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41540 through 41544) for additional details on the removal
factors and the rationale supporting them.
---------------------------------------------------------------------------
We note that these factors are considerations taken into account
when deciding whether or not to remove measures, not firm requirements,
and that we will propose to remove measures based on these factors on a
case-by-case basis. We continue to believe that there may be
circumstances in which a measure that meets one or more factors for
removal should be retained regardless, because the benefits of a
measure can outweigh its drawbacks. Our goal is to move the program
forward in the least burdensome manner possible, while maintaining a
parsimonious set of meaningful quality measures and continuing to
incentivize improvement in the quality of care provided to patients.
5. Proposed Updated Definition of ``Dual-Eligible'' Beginning in FY
2021
In the FY 2018 IPPS/LTCH PPS final rule (82 FR 38226 through
38229), as part of implementing the 21st Century Cures Act, we
finalized the definition of dual-eligible as follows: ``Dual-eligible
is a patient beneficiary who has been identified as having full benefit
status in both the Medicare and Medicaid programs in the State Medicare
Modernization Act (MMA) files for the month the beneficiary was
discharged from the hospital.'' In the FY 2019 IPPS/LTCH PPS final rule
(83 FR 41437 through 41438), we finalized our proposal to codify this
definition at 42 CFR 412.152 along with other definitions pertinent to
dual-eligibility calculations for assigning hospitals into peer groups.
In this proposed rule, we are proposing to update our previously
finalized definition of ``dual-eligible'' to specify that, for the
payment adjustment factors beginning with the FY 2021 program year,
``dual-eligible'' is a patient beneficiary who has been identified as
having full benefit status in both the Medicare and Medicaid programs
in data sourced from the State MMA files for the month the beneficiary
was discharged from the hospital, except for those patient
beneficiaries
[[Page 19425]]
who die in the month of discharge, who will be identified using the
previous month's data sourced from the State MMA files.\397\
---------------------------------------------------------------------------
\397\ In addition, it has come to our attention that the
determination of dual eligibility is made from data sourced from the
State MMA files, not the original State MMA files. The program also
considers this to be a nonsubstantive change as the data are
obtained from the specified source.
---------------------------------------------------------------------------
The updated definition is necessary to account for
misidentification of the dual-eligible status of patient beneficiaries
who die in the month of discharge, which can occur under the current
definition. We were not aware at the time we finalized our current
definition of ``dual-eligible'' that there are times when the data
sourced from the State MMA files may underreport the number of
beneficiaries with dual-eligibility status for the month in which the
beneficiaries dies, and, therefore, these data are not fully accurate
reflections of dual-eligible status for the month in which a
beneficiary dies. We have identified two situations that lead to the
underreporting of dual-eligible patients: (1) The dual-eligible status
is not recorded in the month of death; and (2) the dual-eligible status
changes from dual in the months prior to death to non-dual in the month
of death. While the number of misidentified patient beneficiaries is
very small and did not have a substantive impact, we believe that using
the most accurate information available is the most appropriate policy
for the program and consistent with our initial rationale for using the
State MMA files as the source to identify dual-eligibles. When we
adopted the current definition of ``dual-eligible'' in the FY 2018
IPPS/LTCH PPS final rule (82 FR 38226), we stated, and many commenters
agreed, that the State MMA file is considered the most current and most
accurate source of data for identifying dual-eligible beneficiaries
because the data are also used for operational purposes related to the
administration of Medicare Part D benefits.
Our intent was and remains to use the most accurate data available
to determine ``dual-eligible'' status in the hospital grouping portion
of the payment adjustment. Through our analysis, we believe using a 1-
month lookback period within the data sourced from the State MMA files
to determine dual-eligible status for beneficiaries who die in the
month of discharge will improve the accuracy of the number of
beneficiaries identified as having dual-eligible status. We note that
we are proposing to update this definition for FY 2021 instead of FY
2020 because of the time associated with updates to the data systems is
inconsistent with our ability to finalize this proposal in time for FY
2020 and the lack of a subregulatory policy, which would allow us to
make nonsubstantive changes outside of the rulemaking schedule.
We are proposing to revise the definition of ``dual-eligible''
codified at 42 CFR 412.152 to incorporate this update.
6. Proposed Adoption of a Subregulatory Process for Changes to Payment
Adjustment Factor Components
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41434), we
reiterated our policy regarding the maintenance of technical
specifications for quality measures. In adopting our policy for the
maintenance of technical specifications in the FY 2015 IPPS/LTCH PPS
final rule (79 FR 50039), we stated that it is important to have in
place a subregulatory process to incorporate nonsubstantive updates
required by the National Quality Forum into the measure specifications
we have adopted for the Hospital Readmissions Reduction Program, so
that these measures remain up to date. We also stated that we would
continue to use notice-and-comment rulemaking for any substantive
changes to measure specification. We continue to believe this process
is the most expeditious manner possible to ensure that quality measures
remain fully up to date while preserving the public's ability to
comment on updates that so fundamentally change a measure that it is no
longer the same measure that we originally adopted. When we adopted
this policy, we received commenter support for our policy of handling
substantive and nonsubstantive changes to measures. The policy allows
CMS two mechanisms to address measure updates: (1) The use of future
proposed rules and public comment periods for substantive changes; and
(2) subregulatory processes for nonsubstantive changes which also
preserve CMS' autonomy and flexibility, in order to rapidly implement
nonsubstantive updates to measures (79 FR 50039).
We now believe it is important for the Hospital Readmissions
Reduction Program to adopt an analogous subregulatory process for
changes to the payment adjustment factor components to provide similar
flexibility to rapidly implement nonsubstantive updates to implement
data sourcing and other minor changes when payment adjustment factor
components are impacted. We are proposing to adopt a policy under which
we would use a subregulatory process to make nonsubstantive changes to
the payment adjustment factor components used for the Hospital
Readmissions Reduction Program. We previously adopted our payment
adjustment factor components policies through the notice-and-comment
rulemaking process. The Hospital Readmissions Reduction Program relies
on these payment adjustment factor components, including, but not
limited to, dual proportion, peer group assignment, peer group median
ERR, neutrality modifier, and ratio of DRG payments to total payments,
to determine hospital payments in each fiscal year. Each year, we
provide details on most of that information in the Hospital Specific
Report (HSR) User Guide located on QualityNet website at: https://www.qualitynet.org/dcs/ContentServer?c=Page&pagename=QnetPublic%2FPage%2FQnetTier3&cid=1228772412669. However, there are times when data sourcing and other technical
aspects of the payment adjustment factor components change and require
updating, even when those changes do not alter the intent of our
previously finalized policies. Because the updates to data sourcing and
technical aspects of the components are not always linked to the timing
of regulatory actions, we believe this proposed policy is prudent to
allow for the use of the most up-to-date, accurate information. We
reiterate that we would continue to consider all changes to the
framework of the components themselves as substantive changes that we
would propose through the notice-and-comment rulemaking process.
Most recently, as discussed earlier, we identified an issue with
data accuracy for determining dual-eligible status from data sourced
from the State MMA files for beneficiaries who die in the same month as
discharge. In this proposed rule, we are proposing to amend the
definition of ``dual-eligible'' to account for this data issue.
However, we would like to clarify that the proposal is not altering the
intent of our previously finalized policy. Instead, the proposed
updated definition of ``dual-eligible'' allows for the use of the month
preceding discharge for identifying dual-eligibles who died during the
discharge month after learning that the current files misidentified the
dual-eligibility status of certain patient beneficiaries who die in the
month of discharge. Although we have identified this issue, and do not
believe that it is a substantive change to our policy for determining
dual-eligibles, we believe
[[Page 19426]]
that we should utilize the notice-and-comment rulemaking process to
address this clarification because we do not currently have a
subregulatory policy in place to address this type of data issue.
However, we believe that a subregulatory process for addressing
nonsubstantive data issues like the dual-eligible update could be used
for similar situations in the future. We would publish these
nonsubstantive data changes in the HSR User Guide annually. We note
that we would continue to use notice-and-comment rulemaking for
substantive changes.
With respect to what constitutes substantive changes versus
nonsubstantive changes, we expect to make this determination on a case-
by-case basis. In other quality reporting and quality payment programs
(77 FR 53504), we stated that substantive changes are those that are so
significant that the measures could no longer be considered the same
measure. For this proposed policy, we would utilize the same principle;
we would deem a change to be substantive and to require notice-and-
comment rulemaking when the impact of the change to the payment
adjustment factor component was so significant that it could no longer
be considered to be the same as the previously finalized component.
Examples of nonsubstantive changes would include, but not be limited
to, updated naming or locations of data files and/or other minor
discrepancies that do not change the intent of the policy. Examples of
substantive changes to data might include use of different
methodologies to use data than finalized for the payment adjustment
factor component or the use of a different component in the methodology
for payment calculations.
7. Proposed Applicable Period for FY 2022
We refer readers to the FY 2012 IPPS/LTCH PPS final rule (76 FR
51671) and the FY 2013 IPPS/LTCH PPS final rule (77 FR 53675) for
discussion of our previously finalized policy for defining applicable
periods. In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41434 through
41435), we finalized the following ``applicable periods'' to calculate
the readmission payment adjustment factor for FY 2019, FY 2020, and FY
2021, respectively:
The 3-year time period of July 1, 2014 through June 30,
2017 for FY 2019;
The 3-year time period of July 1, 2015 through June 30,
2018 for FY 2020; and
The 3-year time period of July 1, 2016 through June 30,
2019 for FY 2021.
These are the 3-year periods from which data are being collected in
order to calculate ERRs and payment adjustment factors for the fiscal
year; this includes aggregate payments for excess readmissions and
aggregate payments for all discharges used in the calculation of the
payment adjustment. The ``applicable period'' for dual-eligibles is the
same as the ``applicable period'' that we otherwise adopt for purposes
of the Hospital Readmissions Reduction Program.
We are proposing, for FY 2022, consistent with the definition
specified at Sec. 412.152, that the ``applicable period'' for the
Hospital Readmissions Reduction Program would be the 3-year period from
July 1, 2017 through June 30, 2020. The applicable period for dual-
eligibles for FY 2022 would similarly be the 3-year period from July 1,
2017 through June 30, 2020.
8. Identification of Aggregate Payments for Each Condition/Procedure
and All Discharges for FY 2020
When calculating the numerator (aggregate payments for excess
readmissions), we determine the base operating DRG payment amount for
an individual hospital for the applicable period for such condition/
procedure, using Medicare inpatient claims from the MedPAR file with
discharge dates that are within the applicable period. Under our
established methodology, we use the update of the MedPAR file for each
Federal fiscal year, which is updated 6 months after the end of each
Federal fiscal year within the applicable period, as our data source.
In identifying discharges for the applicable conditions/procedures
to calculate the aggregate payments for excess readmissions, we apply
the same exclusions to the claims in the MedPAR file as are applied in
the measure methodology for each of the applicable conditions/
procedures. For the FY 2020 applicable period, this includes the
discharge diagnoses for each applicable condition/procedure based on a
list of specific ICD-9-CM or ICD-10-CM and ICD-10-PCS code sets, as
applicable, for that condition/procedure, because diagnoses and
procedure codes for discharges occurring prior to October 1, 2015 were
reported under the ICD-9-CM code set, while discharges occurring on or
after October 1, 2015 (FY 2016), were reported under the ICD-10-CM and
ICD-10-PCS code sets.
We identify Medicare fee-for-service (FFS) claims that meet the
criteria described above for each applicable condition/procedure to
calculate the aggregate payments for excess readmissions (that is,
claims paid for under Medicare Part C (Medicare Advantage) are not
included in this calculation). This policy is consistent with the
methodology to calculate ERRs based solely on admissions and
readmissions for Medicare FFS patients. Therefore, consistent with our
established methodology, for FY 2020, we are proposing to continue to
exclude admissions for patients enrolled in Medicare Advantage, as
identified in the Medicare Enrollment Database.
In this proposed rule, for FY 2020, we are proposing to determine
aggregate payments for excess readmissions, aggregate payments for all
discharges using data from MedPAR claims with discharge dates that are
on or after July 1, 2015, and not later than June 30, 2018. As we
stated in FY 2018 IPPS/LTCH PPS final rule (82 FR 38232), we will
determine the neutrality modifier using the most recently available
full year of MedPAR data. However, we note that, for the purpose of
modeling the proposed FY 2020 readmissions payment adjustment factors
for this proposed rule, we are using the proportion of dual-eligibles,
excess readmission ratios, and aggregate payments for each condition/
procedure and all discharges for applicable hospitals from the FY 2019
Hospital Readmissions Reduction Program applicable period. For the FY
2020 program year, applicable hospitals will have the opportunity to
review and correct calculations based on the proposed FY 2020
applicable period of July 1, 2015 to June 30, 2018, before they are
made public under our policy regarding reporting of hospital-specific
information. Again, we reiterate that this period is intended to review
the program calculations, and not the underlying data. For more
information on the review and corrections process, we refer readers to
the FY 2013 IPPS/LTCH PPS final rule (77 FR 53399 through 53401).
In this proposed rule, for FY 2020, we are proposing to use MedPAR
data from July 1, 2015 through June 30, 2018 for the FY 2020 Hospital
Readmissions Reduction Program calculations. Specifically--
The March 2016 update of the FY 2015 MedPAR file to
identify claims within FY 2015 with discharges dates that are on or
after July 1, 2015;
The March 2017 update of the FY 2016 MedPAR file to
identify claims within FY 2016;
The March 2018 update of the FY 2017 MedPAR file to
identify claims within FY 2017; and
The March 2019 update of the FY 2018 MedPAR file to
identify claims
[[Page 19427]]
within FY 2018 with discharge dates that are on or before June 30,
2018.
9. Calculation of Payment Adjustment Factors for FY 2020
As we discussed in the FY 2018 IPPS/LTCH PPS final rule (82 FR
38226), section 1886(q)(3)(D) of the Act requires the Secretary to
group hospitals and apply a methodology that allows for separate
comparisons of hospitals within peer groups in determining a hospital's
adjustment factor for payments applied to discharges beginning in FY
2019.
To implement this provision, in the FY 2018 IPPS/LTCH PPS final
rule (82 FR 38226 through 38237), we finalized several changes to the
payment adjustment methodology for FY 2019. First, we finalized that an
individual would be counted as a full-benefit dual-eligible patient if
the beneficiary was identified as full-benefit dual status in the State
Medicare Modernization Act (MMA) files for the month he or she was
discharged from the hospital (82 FR 38226 through 38228). Second, we
finalized our policy to define the proportion of full benefit dual-
eligible beneficiaries as the proportion of dual-eligible patients
among all Medicare FFS and Medicare Advantage stays (82 FR 38226
through 38228). Third, we finalized our policy to define the data
period for determining dual-eligibility as the 3-year data period
corresponding to the Program's applicable period (82 FR 38229). Fourth,
we finalized our policy to stratify hospitals into quintiles, or five
peer groups, based on their proportion of dual-eligible patients (82 FR
38229 through 38231). Finally, we finalized our policy to use the
median ERR for the hospital's peer group in place of 1.0 in the payment
adjustment formula and apply a uniform modifier to maintain budget
neutrality (82 FR 38231 through 38237). The payment adjustment formula
would then be:
[GRAPHIC] [TIFF OMITTED] TP03MY19.021
where dx is AMI, HF, pneumonia, COPD, THA/TKA or CABG and payments
refers to the base operating DRG payments. The payment reduction (1-P)
resulting from use of the median ERR for the peer group is scaled by a
neutrality modifier to achieve budget neutrality. We refer readers to
the FY 2018 IPPS/LTCH PPS final rule (82 FR 38226 through 38237) for a
detailed discussion of the payment adjustment methodology. We are not
proposing any changes to this payment adjustment calculation
methodology for FY 2020.
10. Calculation of Payment Adjustment for FY 2020
Section 1886(q)(3)(A) of the Act defines the payment adjustment
factor for an applicable hospital for a fiscal year as ``equal to the
greater of: (i) The ratio described in subparagraph (B) for the
hospital for the applicable period (as defined in paragraph (5)(D)) for
such fiscal year; or (ii) the floor adjustment factor specified in
subparagraph (C).'' Section 1886(q)(3)(B) of the Act, in turn,
describes the ratio used to calculate the adjustment factor.
Specifically, it states that the ratio is equal to 1 minus the ratio
of--(i) the aggregate payments for excess readmissions, and (ii) the
aggregate payments for all discharges, scaled by the neutrality
modifier. The calculation of this ratio is codified at Sec.
412.154(c)(1) of the regulations and the floor adjustment factor is
codified at Sec. 412.154(c)(2) of the regulations. Section
1886(q)(3)(C) of the Act specifies the floor adjustment factor at 0.97
for FY 2015 and subsequent fiscal years.
Consistent with section 1886(q)(3) of the Act, codified in our
regulations at Sec. 412.154(c)(2), for FY 2020, the payment adjustment
factor will be either the greater of the ratio or the floor adjustment
factor of 0.97. Under our established policy, the ratio is rounded to
the fourth decimal place. In other words, for FY 2020, a hospital
subject to the Hospital Readmissions Reduction Program would have an
adjustment factor that is between 1.0 (no reduction) and 0.9700
(greatest possible reduction).
For additional information on the FY 2020 payment calculation, we
refer readers to the QualityNet website at: https://www.qualitynet.org/dcs/ContentServer?c=Page&pagename= QnetPublic%2FPage%2FQnetTier3&cid=
1228776124112.
11. Confidential Reporting of Stratified Data for Hospital Quality
Measures
Beginning as early as the spring of 2020, CMS plans to include in
confidential hospital-specific reports (HSR) data stratified by patient
dual eligible status for the six readmissions measures included in the
Hospital Readmissions Reduction Program. These data will include two
disparity methodologies designed to illuminate potential disparities
within individual hospitals and across hospitals nationally and will
supplement the measure data currently publicly reported on the Hospital
Compare website. The first methodology, the Within-Hospital Disparity
Method highlights differences in outcomes for dual eligible versus non-
dual eligible patients within an individual hospital, while the second
methodology, the Dual Eligible Outcome Method, allows for a comparison
of performance in care for dual-eligible patients across hospitals (82
FR 38405 through 38407; 83 FR 41598). These two disparity methods are
separate from the stratified methodology used by the Hospital
Readmissions Reduction Program, and we emphasize that the two disparity
methods would not be used in payment adjustment factors calculations
under the Hospital Readmissions Reduction Program. We believe that
providing the results of both disparity methods alongside a hospital's
measure data as a point of reference allows for a more meaningful
comparison and comprehensive assessment of the quality of care for
patients with social risk factors and the identification of providers
where disparities in health care may exist. We also believe the two
disparity methods provide additional perspectives on health care equity
(83 FR 41598).
We believe hospitals can use their results from the disparity
methods to identify and develop strategies to reduce disparities in the
quality of care for patients through targeted improvement efforts (83
FR 41598). The two disparity methods and the stratified methodology
used by the Hospital Readmissions Reduction Program are part of CMS'
broader effort to account for social risk factors in quality
measurement and quality payment programs. We refer readers to section
VIII.A.9. of the preamble of this proposed rule for more information on
confidential reporting of stratified data for hospital quality
measures. We further refer readers to the FY 2017 IPPS/LTCH PPS final
rule (81 FR 57167 through 57168), the FY 2018 IPPS/LTCH PPS final rule
(82 FR 38324 through 38326; 82 FR 38403 through 38409), and the FY 2019
IPPS/LTCH PPS final rule (83 FR 41597 through 41601) for detailed
discussions on disparity reporting.
[[Page 19428]]
We note that the two disparity methods do not place any additional
collection or reporting burden on hospitals because dual-eligibility
data are readily available in claims data. In addition, we reiterate
that these confidential hospital-specific reports data do not impact
the calculation of hospital payment adjustment factors under the
Hospital Readmissions Reduction Program.
12. Proposed Revisions of Regulatory Text
We are proposing to revise 42 CFR 412.152 to reflect proposed
policies and to codify previously finalized policies. Specifically, we
are proposing to revise the definition of ``aggregate payments for
excess readmissions'', as discussed earlier, to specify that it means
the sum of the product for each applicable condition, among others, of
``the excess readmission ratio for the hospital for the applicable
period minus the peer group median excess readmission ratio'' (instead
of minus 1) (proposed paragraph (3) of the definition) and to include
the neutrality modifier--a multiplicative factor that equates total
Medicare savings under the current stratified methodology to the
previous non-stratified methodology (proposed paragraph (4) of the
definition).
We are proposing to revise the definition of ``applicable
condition'' to include other conditions and procedures as determined
appropriate by the Secretary. In expanding the applicable conditions,
the Secretary will seek endorsement of the entity with a contract under
section 1890(a) of the Act, but may apply such measures without such an
endorsement in the case of a specified area or medical topic determined
appropriate by the Secretary for which a feasible and practical measure
has not been endorsed by the entity with a contract under section
1890(a) of the Act as long as due consideration is given to measures
that have been endorsed or adopted by a consensus organization
identified by the Secretary.
We are proposing to revise the definition of ``base operating DRG
payment amount'', with respect to a sole community hospital that
receives payments under Sec. 412.92(d) or a Medicare-dependent, small
rural hospital that receives payments under Sec. 412.108(c), to remove
the applicability date of FY 2013, and to specify that this amount also
includes the difference between the hospital-specific payment rate and
the Federal payment rate determined under the subpart. This proposal is
intended to align the regulatory text with section 1886(q)(2)(b)(i) of
the Act, because the regulatory text was not updated following the
expiration of the FY 2013 changes.
We are proposing to revise the definition of ``dual-eligible'' to
specify that, for payment adjustment factors beginning in FY 2021,
dual-eligible is a patient beneficiary who has been identified as
having full benefit status in both the Medicare and Medicaid programs
in data sourced from the State MMA files for the month the beneficiary
was discharged from the hospital except for those patient beneficiaries
who die in the month of discharge, which will be identified using the
previous month's data as sourced from the State MMA files, as discussed
earlier.
We are proposing to revise Sec. 412.154(e) to specify that the
limitations on administrative or judicial review would include the
neutrality modifier and the proportion of dual-eligibles as discussed
earlier (proposed new paragraphs (e)(4) and (5); existing paragraph
(e)(4) would be redesignated as paragraph (e)(6)).
H. Hospital Value-Based Purchasing (VBP) Program: Proposed Policy
Changes
1. Background
a. Statutory Background and Overview of Past Program Years
Section 1886(o) of the Act requires the Secretary to establish a
hospital value-based purchasing program (the Hospital VBP Program)
under which value-based incentive payments are made in a fiscal year
(FY) to hospitals that meet performance standards established for a
performance period for such fiscal year. Both the performance standards
and the performance period for a fiscal year are to be established by
the Secretary.
For more of the statutory background and descriptions of our
current policies for the Hospital VBP Program, we refer readers to the
Hospital Inpatient VBP Program final rule (76 FR 26490 through 26547);
the FY 2012 IPPS/LTCH PPS final rule (76 FR 51653 through 51660); the
CY 2012 OPPS/ASC final rule with comment period (76 FR 74527 through
74547); the FY 2013 IPPS/LTCH PPS final rule (77 FR 53567 through
53614); the FY 2014 IPPS/LTCH PPS final rule (78 FR 50676 through
50707); the CY 2014 OPPS/ASC final rule (78 FR 75120 through 75121);
the FY 2015 IPPS/LTCH PPS final rule (79 FR 50048 through 50087); the
FY 2016 IPPS/LTCH PPS final rule (80 FR 49544 through 49570); the FY
2017 IPPS/LTCH PPS final rule (81 FR 56979 through 57011); the CY 2017
OPPS/ASC final rule with comment period (81 FR 79855 through 79862);
the FY 2018 IPPS/LTCH PPS final rule (82 FR 38240 through 38269); and
the FY 2019 IPPS/LTCH PPS final rule (83 FR 41440 through 41472).
We also have codified certain requirements for the Hospital VBP
Program at 42 CFR 412.160 through 412.167.
b. FY 2020 Program Year Payment Details
Section 1886(o)(7)(B) of the Act instructs the Secretary to reduce
the base operating DRG payment amount for a hospital for each discharge
in a fiscal year by an applicable percent. Under section 1886(o)(7)(A)
of the Act, the sum total of these reductions in a fiscal year must
equal the total amount available for value-based incentive payments for
all eligible hospitals for the fiscal year, as estimated by the
Secretary. We finalized details on how we would implement these
provisions in the FY 2013 IPPS/LTCH PPS final rule (77 FR 53571 through
53573), and we refer readers to that rule for further details.
Under section 1886(o)(7)(C)(v) of the Act, the applicable percent
for the FY 2020 program year is 2.00 percent. Using the methodology we
adopted in the FY 2013 IPPS/LTCH PPS final rule (77 FR 53571 through
53573), we estimate that the total amount available for value-based
incentive payments for FY 2020 is approximately $1.9 billion, based on
the December 2018 update of the FY 2018 MedPAR file. We intend to
update this estimate for the FY 2020 IPPS/LTCH PPS final rule using the
March 2019 update of the FY 2018 MedPAR file.
As finalized in the FY 2013 IPPS/LTCH PPS final rule (77 FR 53573
through 53576), we will utilize a linear exchange function to translate
this estimated amount available into a value-based incentive payment
percentage for each hospital, based on its Total Performance Score
(TPS). We will then calculate a value-based incentive payment
adjustment factor that will be applied to the base operating DRG
payment amount for each discharge occurring in FY 2020, on a per-claim
basis. We are publishing proxy value-based incentive payment adjustment
factors in Table 16 associated with this proposed rule (which is
available via the internet on the CMS website). The proxy factors are
based on the TPSs from the FY 2019 program year. These FY 2019
performance scores are the most recently available performance scores
hospitals have been given the opportunity to review and correct. The
slope of the linear exchange function used to calculate the proxy
value-based incentive payment adjustment factors in
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Table 16 is 2.8391388973. This slope, along with the estimated amount
available for value-based incentive payments, is also published in
Table 16.
We intend to update this table as Table 16A in the final rule
(which will be available on the CMS website) to reflect changes based
on the March 2019 update to the FY 2018 MedPAR file. We also intend to
update the slope of the linear exchange function used to calculate
those updated proxy value-based incentive payment adjustment factors.
The updated proxy value-based incentive payment adjustment factors for
FY 2020 will continue to be based on historic FY 2019 program year TPSs
because hospitals will not have been given the opportunity to review
and correct their actual TPSs for the FY 2020 program year until after
the FY 2020 IPPS/LTCH PPS final rule is published.
After hospitals have been given an opportunity to review and
correct their actual TPSs for FY 2020, we will post Table 16B (which
will be available via the internet on the CMS website) to display the
actual value-based incentive payment adjustment factors, exchange
function slope, and estimated amount available for the FY 2020 program
year. We expect Table 16B will be posted on the CMS website in the fall
of 2019.
2. Retention and Removal of Quality Measures
a. Retention of Previously Adopted Hospital VBP Program Measures and
Relationship Between the Hospital IQR and Hospital VBP Program Measure
Sets
In the FY 2013 IPPS/LTCH PPS final rule (77 FR 53592), we finalized
a policy to retain measures from prior program years for each
successive program year, unless otherwise proposed and finalized. In
the FY 2019 IPPS/LTCH PPS final rule (83 FR 41440 through 41441), we
finalized a revision to our regulations at 42 CFR 412.164(a) to clarify
that once we have complied with the statutory prerequisites for
adopting a measure for the Hospital VBP Program (that is, we have
selected the measure from the Hospital IQR Program measure set and
included data on that measure on Hospital Compare for at least one year
prior to its inclusion in a Hospital VBP Program performance period),
the Hospital VBP Program statute does not require that the measure
continue to remain in the Hospital IQR Program. We are not proposing
any changes to these policies in this proposed rule.
b. Measure Removal Factors for the Hospital VBP Program
In the FY 2019 IPPS/LTCH PPS final rule (83 FR 41441 through
41446), in alignment with the Hospital IQR Program, we finalized the
following measure removal factors for the Hospital VBP Program:
Factor 1. Measure performance among hospitals is so high
and unvarying that meaningful distinctions and improvements in
performance can no longer be made (``topped out'' measures), defined
as: Statistically indistinguishable performance at the 75th and 90th
percentiles; and truncated coefficient of variation <=0.10; \398\
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\398\ We previously adopted the two criteria for determining the
``topped-out'' status of Hospital VBP Program measures in the FY
2015 IPPS/LTCH PPS final rule (79 FR 50055).
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Factor 2. A measure does not align with current clinical
guidelines or practice;
Factor 3. The availability of a more broadly applicable
measure (across settings or populations), or the availability of a
measure that is more proximal in time to desired patient outcomes for
the particular topic;