TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
Titles of Regulations: 18VAC90-30. Regulations
Governing the Licensure of Nurse Practitioners (amending 18VAC90-30-220).
18VAC90-40. Regulations for Prescriptive Authority for Nurse
Practitioners (amending 18VAC90-40-10; adding 18VAC90-40-150
through 18VAC90-40-290).
Statutory Authority: §§ 54.1-2400 and 54.1-2957 of the
Code of Virginia.
Public Hearing Information:
July 19, 2018 - 10 am - Department of Health Professions,
Perimeter Center, 9960 Mayland Drive, Suite 201, Board Room 2, Richmond, VA 23233
Public Comment Deadline: September 7, 2018.
Agency Contact: Jay P. Douglas, R.N., Executive
Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA
23233-1463, telephone (804) 367-4520, FAX (804) 527-4455, or email
jay.douglas@dhp.virginia.gov.
Basis: Regulations are promulgated under the general
authority of § 54.1-2400 of the Code of Virginia, which provides the Boards of
Nursing and Medicine the authority to promulgate regulations to administer the
regulatory system.
In addition, Chapters 291 and 682 of the 2017 Acts of Assembly
require adoption of regulations for the prescribing of opioids and products
containing buprenorphine.
Purpose: The purpose of the regulatory action is the
establishment of requirements for prescribing of controlled substances
containing opioids or buprenorphine to address the overdose and addiction
crisis in the Commonwealth. The goal is to provide prescribers with definitive
rules to follow so they may feel more assured of their ability to treat pain in
an appropriate manner to avoid under-prescribing or over-prescribing.
Substance: The regulations establish the practitioners
to whom the rules apply and exceptions or nonapplicability. Provisions for the
management of acute pain include requirements for the evaluation of the
patient, limitations on quantity and dosage, and medical recordkeeping.
Provisions for management of chronic pain include requirements for evaluation
and treatment, including a treatment plan, informed consent and agreement,
consultation with other providers, and medical recordkeeping. Provisions for
prescribing of buprenorphine include requirements for patient assessment and
treatment planning, limitations on prescribing the buprenorphine mono-product
(without naloxone), dosages, co-prescribing of other drugs; consultation; and
medical records for opioid addiction treatment.
Issues: The primary advantage to the public is a
reduction in the amount of opioid medication that is available in our
communities. A limitation on the quantity of opioids that may be prescribed
should result in fewer people becoming addicted to pain medication, which
sometimes leads them to turn to heroin and other illicit drugs. Persons who are
receiving opioids for chronic pain should be more closely monitored to ensure that
the prescribing is appropriate and necessary. A limitation on prescribing the
buprenorphine mono-product should result in a reduction in the number of
tablets that are sold on the street. The primary disadvantage to the public may
be that more explicit rules for prescribing may result in some physicians and
nurse practitioners choosing not to manage chronic pain patients in their
practice. The primary advantage to the Commonwealth is the potential reduction
in the number of persons addicted to opioids and deaths from overdoses. There
are no disadvantages.
The Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Board of
Nursing (Board) proposes amendments to regulations that govern the licensure
and prescriptive authority for nurse practitioners that will set rules for the
prescription of opioids in the management of acute and chronic pain. This
proposed regulation also sets rules for the use of buprenorphine in treating
pain and, separately, as part of addiction treatment.1 These
proposed regulations will replace emergency regulations that became effective
May 8, 2017 and that are currently set to expire on November 7, 2018.
Result of Analysis. There are insufficient data to accurately
compare the magnitude of the benefits versus the costs.
Estimated Economic Impact. The Board reports that this
regulation is being proposed to "address the opioid abuse crisis in
Virginia." Prior to legislation enacted by the 2017 General Assembly which
required the Boards of Medicine and Dentistry to adopt regulations governing
opioid prescription, no regulations existed for opioid treatment of acute or
chronic pain. In March 2017, Chapters 291 and 682 of the Acts of the Assembly
became law. Each Chapter requires the Boards of Medicine and Dentistry to
promulgate regulations for prescription of opioids.
Acute and chronic pain are defined in the proposed regulation
as follows:
• Acute pain, is "pain that occurs within the normal
course of a disease or condition or as the result of surgery for which
controlled substances containing an opioid may be prescribed for no more than
three months."
• Chronic pain, is "nonmalignant pain that goes beyond the
normal course of a disease or condition for which controlled substances
containing an opioid may be prescribed for a period of greater than three
months."
For the treatment of acute pain, these Chapters require that
the Board's regulation include:
"(i) requirements for an appropriate patient history and
evaluation, (ii) limitations on dosages or day supply of drugs prescribed,
(iii) requirements for appropriate documentation in the patient's health
record, and (iv) a requirement that the prescriber request and review
information contained in the Prescription Monitoring Program in accordance with
§ 54.1-2522.1."
For the treatment of chronic pain, the Chapters require the
regulations to include the requirements listed above for acute pain treatment,
as well as requirements for:
"(i) development of a treatment plan for the patient, (ii)
an agreement for treatment signed by the provider and the patient that includes
permission to obtain urine drug screens [UDS], and (iii) periodic review of the
treatment provided at specific intervals to determine the continued
appropriateness of such treatment."
Chapters 291 and 682 also require that the Board's regulations
include rules for:
"the use of buprenorphine in the treatment of addiction,
including a requirement for referral to or consultation with a provider of
substance abuse counseling in conjunction with treatment of opioid dependency
with products containing buprenorphine."
Although the Board of Nursing is not required to promulgate
regulations under these Chapters, the Board of Nursing proposes regulations
that are mostly consistent with those adopted by the Board of Medicine in order
to "address the opioid crisis in Virginia"2 and to make
rules for prescribing consistent across prescribers.
Each proposed regulation includes exemptions to the new
prescribing rules, specifying the circumstances under which they do not apply.3
However, because of drafting differences these exemptions are presented in
different ways. The Board of Medicine's action proposed an entirely new
Chapter, and the exemptions apply to each part therein. In contrast, the Board
of Nursing's action proposes amendments to two existing Chapters, and the
exemptions apply only to certain parts therein. Accordingly, the exemptions do
not apply to Part VII (Prescribing of Buprenorphine). Board staff state that
this has no substantive effect, because buprenorphine can only be used for
office-based opioid addiction treatment.
Requirements in the Proposed Regulation.
Requirements for Acute Pain Treatment: For the treatment of
acute pain, the Board proposes to require that the prescriber: (1) take a
patient history, (2) perform a physical examination appropriate for the
complaint, and (3) assess the patient's history and risk of substance misuse.
The Board also proposes to limit opioid prescriptions for all non-surgical
acute care to a seven-day supply unless extenuating circumstances are clearly
documented. For opioids prescribed as a part of a surgical procedure, the Board
proposes to limit such prescriptions to a 14-day supply within the
perioperative period4 unless extenuating circumstances are
documented. The Board also proposes to set record-keeping requirements for
acute pain to include a description of the pain, a presumptive diagnosis, a
treatment plan, and information on medication prescribed or administered.
Requirements for both Acute and Chronic Pain Treatment: In
treating acute or chronic pain, the Board proposes four requirements. First,
practitioners will be required to consider nonpharmacologic5 and
non-opioid treatments6 "prior to treatment with opioids."
Second, practitioners will be required to query the state's Prescription
Monitoring Program (PMP), as set forth in § 54.1-2522.1, which requires queries
when initiating a new course of treatment in which an opioid prescription is
anticipated to last more than seven consecutive days. That section also
provides that a prescriber may make additional queries "as may be required
by routine prescribing practices." For acute pain treatment, a query will
occur prior to initiating treatment. For chronic pain, this will occur prior to
beginning treatment and at least every three months thereafter. Third, the
Board proposes to require that, "practitioners shall carefully consider
and document in the medical record the reasons to exceed 50 MME/day"7
if they prescribe opioids in excess of that daily dosage, and to require that,
"prior to exceeding 120 MME/day, the practitioner shall document in the
medical record the reasonable justification for such doses or refer to or
consult with a pain management specialist." Fourth, practitioners will be
required to prescribe naloxone8 "when risk factors of prior
overdose, substance misuse, doses in excess of 120 MME/day, or concomitant
benzodiazepine is present." Practitioners also will be required to limit
co-prescribing of drugs that may increase the risk of accidental overdose when
taken with opioids.
Requirements Solely for the Treatment of Chronic Pain: For
treatment of chronic pain, the Board proposes to specify medical record-keeping
requirements. The Board also proposes to require signed patient agreements and
urine or serum drug testing "at the initiation of chronic pain management
and at least every three months for the first year of treatment and at least
every six months thereafter." Practitioners also will be required to
regularly evaluate patients for opioid use disorder and to initiate treatment
for opioid use disorder or to refer the patient for evaluation and treatment if
opioid use disorder is diagnosed.
Requirements for Treatment with Buprenorphine: The Board
proposes four requirements for the prescribing of buprenorphine. First, the
Board proposes to specify that buprenorphine is not to be used to treat acute
pain in an outpatient setting except when a prescriber obtains a Substance
Abuse and Mental Health Services Administration waiver and is treating pain in
a patient whose primary diagnosis is the disease of addiction. Second, the
Board proposes to ban the use of buprenorphine mono-product9 in pill
form for treating chronic pain. Third, the Board proposes to ban the use of the
mono-product to treat addiction except: (1) for pregnant women, (2) when
converting a patient from methadone or the mono-product to buprenorphine
containing naloxone (limit of seven days), (3) in formulations other than
tablet form for indications approved by the U.S. Food and Drug Administration,
and (4) for up to three percent of any prescribers' addiction patients who have
a demonstrated intolerance to naloxone. Fourth, the proposed regulation would
also limit dosages of buprenorphine and the co-prescribing of certain other
drugs with buprenorphine, as well as require PMP queries for addiction
patients.
Benefits and Costs of the Proposed Regulation.
The requirements in the proposed regulation appear to confer a
mix of benefits and costs, including those resulting from the mandatory use of
drug testing, restrictions on the use of buprenorphine, preferences for
non-opioid treatments, and use of the PMP. Except for the estimated costs
directly resulting from mandatory drug testing, and potential savings from
decreased use of opioids in the state's Medicaid program, there are
insufficient quantitative data to accurately determine, and thus compare, the
magnitude of direct benefits versus direct costs. In part this is because the
scope and range of potential impacts (cost and benefit) cannot be readily
identified.
To the extent that the proposed regulation reduces the rate of
prescription substance misuse, including drug addiction, savings or cost
avoidance could be achieved from reduction in expenditures on the treatment of,
and consequences from, substance misuse.10 However, to the extent
that the regulations create a disincentive to obtaining, or limit access to,
opioid therapy, any savings or cost avoidance may be offset by direct and
indirect costs resulting from untreated pain11 or a shift to illicit
drugs.12
Direct Benefits and Costs of Drug Testing: Drug testing,
typically through a urine drug screen (UDS) appears to confer direct benefits
on practitioners and a subset of patients, if confirmed test results are used
to correctly refer them for substance misuse treatment or identify
non-adherence to their treatment plan. As noted by the Centers for Disease Control
and Prevention's (CDC) 2016 Guideline for Prescribing Opioids for Chronic Pain
("Guideline"), a UDS can: provide information about drug use that is
not reported by the patient, including controlled substances and illicit drugs
that increase risk for overdose when combined with opioids such as
nonprescribed opioids, benzodiazepines, and heroin; assist clinicians in
identifying when patients are not taking opioids prescribed for them, which
might in some cases indicate diversion or other clinically important issues
such as difficulties with adverse effects; and provide useful information about
patients assumed not to be using unreported drugs.13 As noted in the
literature,
"Pain management is a critical element of patient care.
Over the last 2 decades the emphasis on managing pain has led to a substantial
increase in the prescription of opioids. While opioids can significantly
improve the quality of life for the patients, there are many concerns....
Therefore, monitoring adherence for patients on (or considered candidates for)
opioid treatment is a critical element of pain management…. Of the various
tools, UDS is perhaps the most effective in detecting non-adherence, and is
viewed as the de facto monitoring tool."14
Monitoring urine toxicology also can help practitioners comply
with federal Drug Enforcement Agency requirements, which require practitioners
to minimize abuse and diversion.15
However, quantitative data on the value of these benefits does
not appear to be readily available. Moreover, because false positive and false
negative test results are known to occur (discussed below), full realization of
the benefits of UDS may require utilization of both an initial immunoassay
(dipstick) test in a practitioner's office followed by a confirmatory gas chromatography/mass
spectrometry or high-performance liquid chromatography test (collectively
referred to as GC/MS in this analysis) in a laboratory.
In order to quantify the costs of drug testing, the number of
patients that will likely be affected by urine testing requirements must be
estimated. The Board did not provide estimates of the number of patients
affected, so estimates from relevant literature on the prevalence of chronic
pain were considered. Estimates of the percentage of the population affected by
acute pain do not appear to be readily available.
Using information taken from the 2012 National Health Interview
Survey (NHIS), National Institutes of Health staff estimated that 11.2 percent
of the adult population experiences chronic pain—that is, they had pain every
day for the preceding three months.16 In Virginia, using 2016 Census
Bureau data on population by age, this equates to 732,669 adults. On the high
end, the Institutes of Medicine (IOM) report that common chronic pain
conditions are prevalent among 37 percent of adults, "amounting to
approximately 116 million adults in 2010—a conservative estimate as neither
acute pain nor children are included."17 This equates to
approximately 2.4 million adult Virginians.
Although these two estimates may indicate the extent of chronic
pain among adults, they may not indicate the extent to which persons with
chronic pain seek opioid therapy. A low-end estimate is supported by at least
one study (Boudreau, et al, 2009),18 that indicates that 3 to 4
percent of the adult population were prescribed longer-term opioid therapy.19
(Note: to the extent that opioid prescription rates have increased since this
study was conducted, this estimate would be too low.)
These three estimates will be used to estimate the potential
number of adults in Virginia who could be affected by the proposed regulation
(Table 1). Using these population estimates, and the Board's estimate that the
average cost of an initial "dipstick" UDS is $50, direct costs of the
new requirements for the initial UDS would likely be between $12 million and
$141 million for the initial screen, assuming all persons with chronic pain
seek opioid therapy. Subsequently, the annual cost for four quarters of drug
tests would be between $57 million and $605 million, assuming all persons with
chronic pain seek and continue to receive opioid therapy for a full year. To
the extent these assumptions are not borne out, the cost would decrease. After
the first year, these costs would decrease as patients shift from quarterly to
biannual testing.
Table 1
|
Potential Ranges of Persons
with Chronic Pain
|
Estimated Number of Adult
Virginians with Chronic Pain
|
Cost of Initial Test*
|
Additional Cost of All First
Year
Quarterly Tests*
|
Boudreau et al (3.5%)
|
228,959
|
$12 million
|
$57 million
|
NHIS estimate (11.2%)
|
732,669
|
$37 million
|
$183 million
|
IOM estimate (37%)
|
2,420,423
|
$121 million
|
$605 million
|
*Assumes 100 percent of all
persons with chronic pain within each of the three estimates are treated with
opioids.
|
These estimated costs may potentially increase to the extent
that testing is repeated because practitioners account for the possibility of
unexpected drug screen results, such as false positive and false negative
results in the immunoassay or "dipstick" test typically used in a
practitioner's office.20 A false positive result occurs when the
test result is "positive" but the indicated substance is not actually
present. A false negative occurs when the test fails to indicate the presence
of substances that are actually present. These and other unexpected results
that could prompt re-testing could occur for a variety of reasons, including
failure to take the prescribed medication, testing error, metabolic
differences, and drug interactions. Brahm et al. notes that false positive test
results have been reported for certain antibiotics (quinolones and ofloxacin),
certain antidepressants and antipsychotics, the hypertension medication
Verapamil, as well as over-the-counter medications containing dextromethorphan,
ibuprofen and naproxen.21
Although re-testing is recommended by the CDC's Guideline,
testing without confirmatory GC/MS testing may have unintended adverse
consequences:
"the use of medications with the potential for
false-positive UDS results may present a significant liability for individuals
required to undergo random or periodic UDSs as a component of a recovery or
court-ordered monitoring program or as a condition of employment. In addition,
false-positive UDS results may affect the clinician–patient relationship by
raising issues of trust."22
Of note, the CDC Guideline also only recommends initial drug
testing before treatment, and states that clinicians should
"consider" drug testing on an annual basis thereafter:
"While experts agreed that clinicians should use urine
drug testing before initiating opioid therapy for chronic pain, they disagreed
on how frequently urine drug testing should be conducted during long-term
opioid therapy. Most experts agreed that urine drug testing at least annually
for all patients was reasonable."
For both the initial UDS and subsequent testing, however, it
appears that the CDC concludes that practitioners should retain the discretion
to determine whether to administer a test. The CDC notes that the
recommendation to use drug testing is a Category B recommendation, which is one
where "different choices will be appropriate for different patients, so
clinicians must help patients arrive at a decision consistent with patient
values and preferences, and specific clinical situations."23
As noted in the literature, "the interpretation of opioid
testing results is far less straightforward than many health care providers who
utilize this testing appreciate."24 There are two main types of
urine drug screening: immunoassay testing and chromatography (i.e., gas
chromatography/mass spectrometry [GC/MS] or high-performance liquid
chromatography). Immunoassay tests use antibodies to detect the presence of
drugs. These tests can be processed rapidly, are inexpensive, and are the
preferred initial test for screening.25 When urine tests have
unexpected results, the CDC Guideline recommends that a, "confirmatory
test using a method selective enough to differentiate specific opioids and
metabolites (e.g. gas or liquid chromatography/mass spectrometry) might be
warranted."26 Although these tests can cost several hundred
dollars or more, they are the forensic criterion standard means of confirming
initial screening tests because they have a low incidence of false positive
results and are very sensitive and specific.27
Board staff referred to the CDC Guideline, and also stated that
the treatment agreement signed by the patient would indicate the actions to be
taken if unexpected results (positive or negative) cannot be explained. Board
staff report that these actions could include referral for substance abuse
counseling or release from care (with the patient being given a reasonable
amount of time to find a new health care practitioner).28 Although
board staff noted that the retesting could be accomplished by administering
another dipstick test, repeated dipstick tests may not yield different results.
For instance, unexpected positive test results can be caused by various classes
of non-narcotic prescription and over-the-counter medications, and unexpected
negative results can result from individual rapid metabolism rates. In
instances where unexpected results are caused by confounding factors (rather
than random test error), repeated dipstick test would be unlikely to yield
different results. Additionally, the CDC Guideline calls for use of GC/MS
testing to confirm dipstick test results.
Indirect Benefits and Costs of Drug Testing: The use of drug
screens appears to have a mix of benefits and costs. As noted by the CDC
Guideline, practitioners should use unexpected results to improve patient
safety. This could include several strategies that, if properly designed and
applied, would appear to confer this benefit. Examples of responses to an
unexpected drug screen result include a change in pain management strategy,
tapering or discontinuing opioids, more frequent re-evaluation, offering
naloxone, or referring for treatment for substance use disorder. The CDC notes
that practitioners:
"should not dismiss patients from care based on a urine
drug test result because this could constitute patient abandonment and could
have adverse consequences for patient safety, potentially including the patient
obtaining opioids from alternative sources and the clinician missing
opportunities to facilitate treatment for substance use disorder."
Board staff appear to agree with this guidance, adding that a
patient could also be released from care if they do not comply with the
treatment plan.29 However, the Board has stated that patients should
not be abandoned. As noted in a letter from the Board to practitioners:
"As you consider these regulations, make sure that the
needs of patients currently receiving opioids for chronic pain are taken into
account. It is critically important that no patients in Virginia find
themselves looking for narcotics outside of the medical system – i.e., on the
street."30
However, as documented in some of the available literature, the
use of drug screens may create a disincentive for certain patients to continue
seeking treatment. Thus certain patients may stop pursuing opioid therapy,
including those who test positive for unexpected substances and those who do
not.31 Moreover, Board staff also acknowledge that the drug testing
and other requirements in the proposed regulation will create disincentives for
primary care physicians to treat pain using opioid therapy. And given that the
Board has stated that the regulation is, in part, designed to "provide the
board with a tool to discipline physicians whose practices do not meet the
standard of care,"32 the regulation may cause some primary care
physicians to no longer treat chronic pain patients with opioids.
In addition, examples of some
recent literature notes that, "individuals who lost access [to
prescription opioids] have turned to cheaper, more accessible, and more potent
black market opioid alternatives—including heroin—in unprecedented
numbers."33 Thus an additional unintended consequence of the
regulations may be a shift in demand from legal prescriptions to illegal street
drugs, including heroin and illicitly-produced fentanyl (in combination or
separately). As noted in a recent issue of the International Journal of Drug
Policy, "prescribing restrictions forced a minority of dependent users to
more potent and available street heroin."34 The federal Drug
Enforcement Administration notes that "fentanyl can serve as substitute
for heroin in opioid dependent individuals."35
As noted by the Board, "the purpose of the regulations is,
in part, to assist physicians in treating opioid dependent patients."36
However, to the extent that some patients, particularly those with substance
use disorder, no longer obtain treatment, they may seek illicit substances. It
is not clear if this is occurring in Virginia, but data released by the Office
of the Chief Medical Examiner (OCME) indicate that "there has not been a
significant increase or decrease in fatal prescription opioid overdoses"
from 2007 to 2016, but "fatal fentanyl overdoses increased by 176.4% from
2015 to 2016."37 (This trend is illustrated in the figure
below.) Notwithstanding the increase in deaths from fentanyl, on average more
than 400 fatalities still result in part from prescription opioids each year.38
Although it does not appear that the OCME can determine whether
the fentanyl was illicit or pharmaceutically-produced, staff at the Department
of Forensic Science (DFS) reports that over the last 12 years, submissions of
prescription fentanyl have averaged between 25 and 27 samples per year. In
contrast, data reported by DFS indicate that the number of submissions of
illicit fentanyl increased by 1,656 percent from 2013 to 2016.39
Indirect Benefits and Costs of Restrictions on Use of
Buprenorphine: The Board's proposed restrictions on the use of buprenorphine
are aimed at decreasing the abuse of the mono-product of this drug
("Subutex") because it has become a popular drug of abuse. To the
extent the proposed regulation decreases abuse, then a benefit will be
conferred. However, any decrease in the abuse of this drug attributable to these
proposed restrictions would need to be weighed against the costs that may
accrue for chronic pain patients and individuals in addiction treatment.
Board staff reports that the cost of Suboxone (which contains
buprenorphine plus naloxone) is higher than the cost of Subutex. To the extent,
therefore, that certain patients are no longer able to obtain prescriptions for
Subutex, then they will likely incur increased costs. As noted by Board staff,
demand for opiates is highest in the places where health insurance coverage is
lowest. Therefore, these cost increases may disproportionally fall upon
patients who pay for prescriptions (and drug screens) out of pocket.
Additionally, it is reported that some portion of the general population has an
allergy or sensitivity to naloxone and would not be able to take Suboxone.
In response to concerns raised about restrictions on
prescription of the mono-product that did not account for individuals who had
an allergy or sensitivity, as well as the ability to pay, the Board voted to
allow treatment with the mono-product for up to three percent of any
prescribers' addiction patients who have a demonstrated intolerance to
naloxone. This allowance was made for individuals in addiction treatment but
not for chronic pain patients (who presumably would have the same incidence of
Naloxone allergies). The Board believes that this three percent allowance will
be sufficient to cover the portion of addiction patients who have a true
allergy/insensitivity. These individuals are not likely, however, to be evenly
spread among all doctors. This means that some doctors may have more than three
percent of their patients for whom the mono-product would be the preferred
treatment and some may have less. Because of this, some patients and
practitioners may see disruptions in treatment.
Indirect Benefits and Costs of Preferences for Alternative
Treatments: The proposed regulation's requirements that alternative treatments
(both nonpharmacologic and non-opioid) be given consideration prior to
prescription of opioids for both acute pain and chronic pain is being proposed
to reduce the number of such prescriptions. Board staff state that
nonpharmacologic treatments may include physical therapy, chiropractic, and
acupuncture.
In addition, non-opioid treatments can include treatment with
acetaminophen and nonsteroidal anti-inflammatory drugs (NSAIDs) as well as
selected antidepressants and anticonvulsants. Although these drugs do not have
the addiction risks of opioids, they may pose other health risks for certain
patients. As noted by the CDC Guideline, although NSAIDs are recommended as
first-line treatment for osteoarthritis or low back pain, they do have risks,
including gastrointestinal bleeding or perforation as well as renal and
cardiovascular risks. Increasing use of non-opioid treatments like NSAIDs will
therefore need to balance the benefits of non-opioid therapy with these and
other risks.
Indirect Benefits and Costs of Prescription Monitoring Program
(PMP) Queries: Virginia statute presently requires PMP checks for any
prescriptions anticipated to be used for more than seven consecutive days.
Board staff reports that some hospitals already require PMP queries for
prescriptions issued in the emergency rooms (ER). Other hospitals that do not
currently have this policy will likely accrue staff time costs. To the extent
that the regulation is also interpreted to require PMP checks for all
prescriptions, as a "routine prescribing practice" (rather than just
prescriptions anticipated to last more than seven continuous days), practitioners
may incur additional time costs for running those queries.
To the extent that use of the PMP lowers the volume of drugs
diverted from licit to illicit uses, the new requirement will provide the
benefit of reductions in the costs of illicit drug use in the state.
Additionally, to the extent that use of the PMP lowers the number of doses of
opioids, the new requirement will provide the benefit of reducing the risk from
use of opioids. The Department of Health Professions (DHP), citing the CDC,
indicates that individuals taking greater than 90 MME/day are at a higher risk
of overdose and death. DHP adds that since the adoption of emergency
regulation, PMP data indicate that "the total number of patients
prescribed high dosages declined from 169,145 individuals in the fourth quarter
of 2016 to 137,618 individuals in the third quarter of 2017, or an 18.6%
decline in individuals receiving greater than 100 MME/day."40
Indirect Benefits and Costs of Record-Keeping Requirements: The
Board's proposed record-keeping requirements for acute pain are likely already
common medical practice; thus licensees are unlikely to incur any costs from
that portion of the proposed regulation that covers the treatment of acute
pain. Likewise, most of the proposed requirements for taking a patient history
and assessing a patient's complaint are likely common practice now and should
not cause any additional costs. The proposed requirement that practitioners in
an acute care setting perform a risk assessment for substance misuse41
on all patients who may be prescribed opioids may not presently be a part of
standard patient care. To the extent that practitioners treating acute pain do
not currently assess risk of substance misuse, costs would be incurred for
their time to perform such assessments.
Businesses and Entities Affected. These proposed regulatory
changes will affect all 6,547 nurse practitioners licensed in the Commonwealth
as well as their employers. Board staff reports that many nurse practitioners
are employed by large entities that would not qualify as small businesses. Some
nurse practitioners are employed by small medical practices that would qualify
as small businesses. These proposed regulations also will affect all patients
(both acute care and chronic care) who have been treated with opioids since the
emergency regulation went into effect, and all patients who may be treated with
opioids in the future. Additionally, individuals in treatment for addiction who
are prescribed buprenorphine will be affected. Health insurance providers also
will be affected. The Board has no estimates of the number of chronic pain
patients that might be affected by this proposed regulation. Based on estimates
of the number of the American adults who suffer from common chronic pain
conditions, the changes contained in this proposed regulation will likely
affect at least hundreds of thousands of chronic care patients in Virginia, and
may affect as many as several million, depending upon the extent to which they
seek opioid therapy.
Localities Particularly Affected. No locality likely will be
affected by these proposed regulatory changes.
Projected Impact on Employment. To the extent that these
proposed regulatory changes lead to fewer individuals being effectively treated
for chronic pain, employee absenteeism may increase, which would tend to
depress total productivity. To the extent that this regulation reduces rates of
addiction, which may allow former addicts to hold employment, productivity
would increase.
Effects on the Use and Value of Private Property. There is no
apparent impact on the use and value of private property.
Real Estate Development Costs. These proposed regulatory
changes are unlikely to affect real estate development costs in the
Commonwealth.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. Based on Virginia Employment
Commission data, there are 4,757 offices of physicians with fewer than 500
employees in the Commonwealth, thus likely qualifying as small businesses. To
the extent that these firms include nurse practitioners who would be affected
by these proposed regulation, they will likely incur increased costs associated
with bookkeeping, staff wages, increased documentation requirements, and new
drug testing requirements for chronic pain patients in the proposed regulation.
Alternatively, adherence to the practices required by the regulation may have
an unknown impact on liability insurance and associated costs that may result
in savings.
Alternative Method that Minimizes Adverse Impact. Allowing
doctors, and the nurse practitioners who work with them, the discretion as to
whether and how often to use drug testing would likely decrease the costs
listed above. As noted above, the CDC only recommends that practitioners
"consider" drug testing on an annual basis after the initial screen.
Adverse Impacts:
Businesses. Doctors who employ nurse practitioners may incur
increased costs and changes to current business practices related to increased
bookkeeping, staff impacts associated with increased documentation requirements,
and implementation of new drug testing requirements for chronic pain patients
in the proposed regulation.
Localities. Localities in the Commonwealth are unlikely to see
any adverse impacts from these proposed regulatory changes.
Other Entities. Chronic pain patients, or their insurance
providers, will likely incur annual costs on account of drug testing
requirements and on account of restrictions on the prescription of
buprenorphine mono-product that are in the proposed regulation.
The Department of Human Resource Management reports that the
Commonwealth of Virginia will likely incur increased employee health benefits
costs because of these proposed regulatory changes, including additional costs
for drug testing. The Department of Medical Assistance Services (DMAS) may
incur increased costs for Medicaid patients who are in treatment for chronic
pain or who are undergoing addiction treatment with buprenorphine. These latter
costs may be offset to some degree by reductions in expenditures on prescription
opioids, according to DHP, which reports that DMAS has experienced "an
annual reduction in drug spending on opioids of approximately $466,000."42
The Department of Corrections may incur increased costs for drug testing and
limitations on prescribing of buprenorphine for prisoners housed in prisons
statewide.
References:
Brahm, Nancy C., Lynn L. Yeager, Mark D. Fox, Kevin C. Farmer,
Tony A. Palmer. 2010. "Commonly prescribed medications and potential
false-positive urine drug screens"; American Journal of Health-System
Pharmacy. 67 (16). 1344-1350.
Institute of Medicine (US) Committee on Advancing Pain
Research, Care, and Education. 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/pdf/Bookshelf_NBK91497.pdf.
Krishnamurthy, Partha, Govindaraj Ranganathan, Courtney
Williams, Gulshan Doulatram. 2016. "Impact of Urine Drug Screening on No
Shows and Dropouts among Chronic Pain Patients: A Propensity-Matched Cohort
Study." Pain Physician. 19. 89-100. http://www.painphysicianjournal.com/current/pdf?article=MjUyNA%3D%3D&journal=94.
Nahin, Richard L. "Estimates of Pain Prevalence and Severity
in Adults: United States, 2012." The journal of Pain?: official
Journal of the American Pain Society 16.8 (2015): 769–780. PMC. Web. 19 Sept.
2017.
Pollack, Harold, Sheldon Danzinger, Rukmalie Jayakody, Kristen
Seefeldt. 2001. Drug Testing Welfare Recipients — False Positives, False
Negatives, Unanticipated Opportunities.
Virginia Departments of Forensic Science and Criminal Justice
Services. 2016. Drug Cases Submitted to the Virginia Department of Forensic
Science Calendar Year 2016. http://www.dfs.virginia.gov/wp-content/uploads/2017/07
/CY16DfsDataReport_Final.pdf.
Virginia Department of Health Office of the Chief Medical
Examiner. 2017. Fatal Drug Overdose Quarterly Report First Quarter 2017.
Edition 2017.1. http://www.vdh.virginia.gov/content/uploads/sites/18/2016/04/Fatal-Drug-Overdoses-Quarterly-Report-Q1-2017_Updated.pdf.
Dowell Deborah, Tamara M Haegerich, Roger Chou. CDC Guideline
for Prescribing Opioids for Chronic Pain — United States. 2016. MMWR Recomm Rep
2016; 65 (No. RR-1):1–49. DOI: http://dx.doi.org/10.15585/mmwr.rr6501e1.
___________________________________________
1This regulation was developed by a regulatory advisory
panel (RAP) chaired by the president of the Board of Medicine and including two
addiction specialists, a pain management specialist, and the Chief Medical
Officer for the Department of Medical Assistance Services. The RAP met in
January 2017 to draft regulations, which were then recommended by the
Legislative Committee of the Board of Medicine in late January. The Committee
of the Joint Boards of Nursing and Medicine reviewed the draft regulations at
its meeting in February 2017, prior to their adoption by the Board of Medicine
and the Board of Nursing.
2http://townhall.virginia.gov/l/GetFile.cfm?File=C:\TownHall\docroot\27\4797\8063\AgencyStatement_DHP_8063_v1.pdf.
3The exemptions are (1) the treatment of acute and
chronic pain related to cancer or to such pain treatment for patients in
hospice care or palliative care, (2) the treatment of acute and chronic pain
during a hospital admission, or in nursing homes or assisted living facilities
that use a sole source pharmacy and (3) a patient enrolled in a clinical trial
authorized by state or federal law.
4Perioperative is defined by the Oxford English
Dictionary as "a process or treatment occurring or performed at or around
the time of an operation."
5These treatments can include such things as physical
therapy, chiropractic care and acupuncture.
6The Centers for Disease Control and Prevention's 2016
Guideline for Prescribing Opioids for Chronic Pain indicates that
nonpharmacologic and non-opioid treatments include cognitive behavioral
therapy, exercise therapy, interventional treatments, multimodal pain
treatment, acetaminophen, nonsteroidal anti-inflammatory drugs,
antidepressants, and anticonvulsants.
7MME is an abbreviation for morphine milligram equivalent,
which provides a standard value for equating the potency of different opioids.
8Naloxone, sold under the brand name Narcan among
others, is a medication used to block the effects of opioids, especially in
overdose.
9Buprenorphine comes in two forms: the mono-product form
of buprenorphine only contains buprenorphine and is sold under the name
Subutex. The other form of buprenorphine also contains naloxone, and is sold
under the brand name Suboxone. The mono-product is more subject to abuse, but a
certain unknown portion of the population has an allergy/sensitivity to
naloxone and therefore would not tolerate Suboxone.
10Florence, Curtis S, Chao Zhou, Feijun Luo, Likang Xu.
The Economic Burden of Prescription Opioid Overdose, Abuse, and Dependence in
the United States, 2013. Medical Care, 2016; 54 (10): 901.
11Institute of Medicine (US) Committee on Advancing Pain
Research, Care, and Education. 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/pdf/Bookshelf_NBK91497.pdf.
12Today's fentanyl crisis: Prohibition's Iron Law, revisited,
International Journal of Drug Policy 46 (2017) 156–159.
13CDC Guideline, pages 30-31; https://www.cdc.gov/drugoverdose/prescribing/guideline.html.
14Krishnamurthy et al., Impact of Urine Drug Screening on
No Shows and Dropouts among Chronic Pain Patients: A Propensity-Matched Cohort
Study. Pain Physician. 2016 Feb; 19(2):89-100.
15Vadivelu, et al.; The Implications of Urine Drug
Testing in Pain Management, Current Drug Safety 2010, 5 (267-270).
16Nahin, Richard; "Estimates of Pain Prevalence and
Severity in Adults: United States, 2012." The Journal of Pain: official
Journal of the American Pain Society 16.8 (2015): 769–780. Studies using
National Health and Nutrition Examination Survey consistently estimated chronic
pain (pain =3 months) prevalence at 13 to 15%. (Nahin 2012).
17Institutes of Medicine 2011 (p. 62).
18Boudreau, et al., Trends in De-facto Long-term Opioid
Therapy for Chronic Non-Cancer Pain, Pharmacoepidemiol Drug Safety. 2009
December; 18 (12): 1166–1175. Note: the authors state that "Our results
may not be generalizable to care delivered and/or financed in other types of
health care systems and other regions of the US."
19Defined as episodes lasting longer than 90 days that
had 120+ total days supply of dispensed medication or 10+ opioid prescriptions
dispensed within a given year were classified as long-term opioid episodes.
Boudreau et al., cited in Volkow and McLellan, Opioid Abuse in Chronic Pain — Misconceptions
and Mitigation Strategies, N Engl J Med 2016; 374:1253-63.
20A review of the diagnostic accuracy of urine drug
testing found that, in a worst case scenario, 32.9% of patients' specimens to
the lab because of abnormal results. (Christo, et al., Urine Drug Testing in
Chronic Pain, Pain Physician 2011; 14:123-143). Pollack, et al, (2001) reported
a false positive rate of 7% for simple urine tests. Vadivelu, et al. reports
that 11-21% of initial immunoassay tests are disproven by a followup GC/MS.
21Brahm, et al.; Commonly prescribed medications and
potential false-positive urine drug screens; Am J Health-Syst Pharm—Vol 67 Aug
15, 2010, 1344-1350.
22Brahm, et al.
23CDC Guideline, page 4.
24Milone, Michael; Laboratory Testing for Prescription
Opioids, J Med Toxicol. 2012 Dec; 8(4): 408–416.
25Standridge et al., Urine Drug Screening: A Valuable
Office Procedure, Am Fam Physician. 2010 Mar 1;81(5):635-640.
26Unexpected results would include tests that are
positive for non-prescribed or illicit drugs, and tests that are negative for
expected prescription drugs.
27Addiction Doctor Mary McMasters estimates that GC/MS
testing costs between $200 and $300. See also Vadivelu, et al.
28Board staff reports that the "reasonable
time" would vary according to the availability of other health care
options but would be at least 30 days.
29In order to not abandon patients, doctors would likely
provide referrals to other pain doctors and would give patients a
"reasonable" amount of time to find another doctor. The doctors to
whom such patients would be referred are under no obligation to treat them
however.
30https://www.dhp.virginia.gov/medicine/newsletters/OpioidPrescribingBuprenorphine03142017.pdf.
31Krishnamurthy et al found that administration of urine
drug screens at a first doctor visit was associated with an increased rate of
no-shows (23.75%) when compared to patients who did not undergo urine drug
screens at a first doctor visit (10.24%). Krishnamurthy et al., Impact of Urine
Drug Screening on No Shows and Dropouts among Chronic Pain Patients: A
Propensity-Matched Cohort Study. Pain Physician. 2016 Feb; 19(2):89-100.
32http://townhall.virginia.gov/L/GetFile.cfm?File=C:\TownHall\docroot\\meeting\26\25243\Minutes_DHP_25243_v2.pdf.
33Today's fentanyl crisis: Prohibition's Iron Law,
revisited, International Journal of Drug Policy 46 (2017) 156–159.
34Fentanyl in the US heroin supply: A rapidly changing
risk environment, International Journal of Drug Policy 46 (2017) 107–111.
35https://departments.arlingtonva.us/wp-content/uploads/sites/6/2017/06/heroin_fentanyl_brochure.pdf.
36http://townhall.virginia.gov/L/GetFile.cfm?File=C:\TownHall\docroot\\meeting\26\25243\Minutes_DHP_25243_v2.pdf.
37http://www.vdh.virginia.gov/content/uploads/sites/18/2016/04/Fatal-Drug-Overdoses-Quarterly-Report-Q1-2017_Updated.pdf.
38The OCME notes that drug-related deaths often have more
than one drug causing or contributing to death. Therefore, some of the deaths
attributed to prescription opioids and fentanyl may have multiple drugs on
board.
39http://www.dfs.virginia.gov/wp-content/uploads/2017/07/CY16DfsDataReport_Final.pdf Slide 27.
40http://townhall.virginia.gov/L/GetFile.cfm?File=C:\TownHall\docroot\26\4760\7981\EIARes_DHP_7981_v1.pdf.
41The term "substance misuse" is not defined in
the proposed regulation.
42http://townhall.virginia.gov/L/GetFile.cfm?File=C:\TownHall\docroot\26\4760\7981\EIARes_DHP_7981_v1.pdf.
Agency's Response to Economic Impact Analysis: The
Boards of Nursing and Medicine and the Department of Health Professions do not
concur with the result of the analysis that "there is insufficient data to
accurately compare the magnitude of the benefits versus the costs." The
focus of the analysis was on the cost of one requirement of regulation, urine
drug screens. We believe it failed to fully analyze the personal and societal
costs of opioid addiction. It is the position of the agency that reducing the
quantity of opioids in our homes and communities has already been shown to have
a cost benefit and will ultimately have a direct benefit in a reduction in
opioid misuse and opioid overdose deaths.
1. The agency believes the analysis does not include sufficient
data about the current crisis in opioid overdose deaths.
In 2015, there were 811 opioid deaths, and in 2016, there were
1,133 – a 40% increase. In a preliminary report from the Department of Criminal
Justice Services (DCJS), the number for 2017 is expected to be 1,181. The
result of the 2017 National Drug Threat Assessment notes that controlled
prescription drugs (CPDs) have been linked to the largest number of overdose
deaths of any illicit drug class since 2001. For each of these deaths, there
are immeasurable costs. For the purpose of an economic analysis, medical
malpractice carriers and civil litigants can attribute costs in dollars and
cents for each year of life lost.
Yearly direct and indirect costs related to prescription
opioids have been estimated (based on studies published since 2010) to be $53.4
billion for nonmedical use of prescription opioids; $55.7 billion for abuse,
dependence (i.e., opioid use disorder), and misuse of prescription opioids; and
$20.4 billion for direct and indirect costs related to opioid-related overdose
alone. While we acknowledge that these are national figures, the economic
impact analysis (EIA) has used national data to extrapolate the costs of urine
drug screens for Virginians. Copious amounts of data exist in national and
state reports on the opioid crisis for which these regulations offer a partial
solution.
2. The agency believes the analysis does not make the
connection between the opioid crisis of fentanyl and heroin to the prescribing
of opioid pain medication.
One of the primary purposes of these regulations is to reduce
the number of persons who enter the pipeline of addiction through a
legitimately prescribed opioid. The National Institute on Drug Abuse reports
that a study of young, urban injection drug users interviewed in 2008 and 2009
found that 86% had used opioid pain relievers nonmedically prior to using
heroin, and their initiation into nonmedical use was characterized by three
main sources of opioids: family, friends, or personal prescriptions. Examining
national-level general population heroin data (including those in and not in
treatment), nearly 80% of heroin users reported using prescription opioids
prior to heroin.
The report from DCJS noted that "data from Department of
Forensic Sciences (DFS) and Office of the Chief Medical Examiner (OCME)
demonstrate that there are still a large number of individuals using
prescription opioids non-medically. These individuals are at risk of overdose
death through the prescription drugs they are currently using, but they are
also at a higher risk of using heroin in the future. Although only a small
percentage of individuals who abuse prescription opioids move on to heroin, a
high percentage of heroin users report that their first opioid was a
prescription drug (https://www.drugabuse.gov/publications/research
reports/relationship-between-prescription-drug-abuse-heroin-use/).
Additionally, non-medical users of prescription opioids may seek to acquire
those drugs illegally, putting themselves at risk of purchasing and using
counterfeit pills made with fentanyl and fentanyl analogs."
Data from OCME indicates that between 2013 and 2016, the number
of prescription opioid fatalities involving fentanyl and/or heroin increased
69%. In 2016, 37% of prescription opioid fatalities also involved fentanyl
and/or heroin. Although illicit fentanyl cases increased 207% between 2015 and
2016, there were almost four times as many heroin cases and four times as many
prescription opioid cases that year.
Data from the Virginia Prescription Monitoring Program shows
that since the adoption of emergency regulation there has been a drop in
morphine milligram equivalents (MME). MME per day is the amount of morphine an
opioid dose is equal to, often used to gauge the abuse and overdose potential
of the amount of opioid being prescribed at a particular time. The Centers for
Disease Control and Prevention (CDC) indicate that individuals taking greater
than 90 MME per day are at a higher risk of overdose and death. The total
number of patients prescribed high dosages declined from 169,145 individuals in
the fourth quarter of 2016 to 137,618 individuals in the third quarter of 2017,
or an 18.6% decline in individuals receiving greater than 100 MME per day. The
data is an indicator of the effectiveness of the emergency regulation being
replaced with the proposed regulations for which the EIA was prepared.
Numerous reports in the press have made the connection between
the overdose death of a person who was prescribed an opioid following an
accident or medical procedure. The intent of this regulation is to require
prescribers to prescribe fewer quantities for shorter periods of time and to
consider nonpharmacological alternatives or non-opioid medications that have
the effect of addressing a patient's pain without the potential for addiction
and long-term, costly consequences.
3. The agency believes the analysis has not included sufficient
data on cost savings relating to a reduction on opioid prescribing.
For example, this agency provided information from the
Department of Medical Assistanc Services which experienced a 44% decrease in
opioid days-supply and 27% decrease in opioid prescription spending when that
agency implemented the CDC guidelines on which these regulations were based,
for an annual reduction in drug spending on opioids of approximately $466,000.
It is that agency's belief that costs related to an increase in urine drug
screens, which have been routinely required by pain management physicians prior
to adoption of these regulations, would be more than offset by the decrease in
spending on opioid prescriptions, so it would be budget neutral or result in a
net cost savings.
Data from the Prescription Monitoring Program show that from
the fourth quarter of 2016 to the third quarter of 2017 pain reliever doses
declined from 129,797,789 to 77,729,833, which represents a 40.15% decline. It
is apparent that the emergency regulations are having a positive effect on the costs
of prescription opioids – a cost benefit to consumers and insurers that could
be reflected in the EIA.
Summary:
The proposed amendments establish the practitioners to whom
the regulations apply and exceptions or nonapplicability. Provisions for the management
of acute pain include requirements for the evaluation of the patient,
limitations on quantity and dosage, and recordkeeping. Provisions for
management of chronic pain include requirements for evaluation and treatment,
including a treatment plan, informed consent and agreement, consultation with
other providers, and medical recordkeeping. Provisions for prescribing of
buprenorphine include requirements for patient assessment and treatment
planning, limitations on prescribing the buprenorphine mono-product (without
naloxone), dosages, co-prescribing of other drugs, consultation, and medical
records for opioid addiction treatment. The proposed amendments replace
emergency regulations currently in effect.
Part IV
Disciplinary Provisions
18VAC90-30-220. Grounds for disciplinary action against the
license of a licensed nurse practitioner.
The boards may deny licensure or relicensure, revoke or
suspend the license, or take other disciplinary action upon proof that the
nurse practitioner:
1. Has had a license or multistate privilege to practice
nursing in this Commonwealth or in another jurisdiction revoked or suspended or
otherwise disciplined;
2. Has directly or indirectly represented to the public that
the nurse practitioner is a physician, or is able to, or will practice
independently of a physician;
3. Has exceeded the authority as a licensed nurse
practitioner;
4. Has violated or cooperated in the violation of the laws or
regulations governing the practice of medicine, nursing or nurse practitioners;
5. Has become unable to practice with reasonable skill and
safety to patients as the result of a physical or mental illness or the
excessive use of alcohol, drugs, narcotics, chemicals or any other type of
material;
6. Has violated or cooperated with others in violating or
attempting to violate any law or regulation, state or federal, relating to the
possession, use, dispensing, administration or distribution of drugs; or
7. Has failed to comply with continuing competency
requirements as set forth in 18VAC90-30-105;
8. Has willfully or negligently breached the
confidentiality between a practitioner and a patient. A breach of
confidentiality that is required or permitted by applicable law or beyond the
control of the practitioner shall not be considered negligent or willful; or
9. Has engaged in unauthorized use or disclosure of
confidential information received from the Prescription Monitoring Program, the
electronic system within the Department of Health Professions that monitors the
dispensing of certain controlled substances.
Part I
General Provisions
18VAC90-40-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings, unless the context clearly indicates otherwise:
"Acute pain" means pain that occurs within the
normal course of a disease or condition or as the result of surgery for which
controlled substances containing an opioid may be prescribed for no more than
three months.
"Boards" means the Virginia Board of Medicine and
the Virginia Board of Nursing.
"Certified nurse midwife" means an advanced
practice registered nurse who is certified in the specialty of nurse midwifery
and who is jointly licensed by the Boards of Medicine and Nursing as a nurse
practitioner pursuant to § 54.1-2957 of the Code of Virginia.
"Chronic pain" means nonmalignant pain that goes
beyond the normal course of a disease or condition for which controlled
substances containing an opioid may be prescribed for a period greater than
three months.
"Committee" means the Committee of the Joint Boards
of Nursing and Medicine.
"FDA" means the U.S. Food and Drug
Administration.
"MME" means morphine milligram equivalent.
"Nonprofit health care clinics or programs" means a
clinic organized in whole or in part for the delivery of health care services
without charge or when a reasonable minimum fee is charged only to cover
administrative costs.
"Nurse practitioner" means an advanced practice
registered nurse who has met the requirements for licensure as a nurse practitioner
as stated in 18VAC90-30.
"Practice agreement" means a written or electronic
agreement jointly developed by the patient care team physician and the nurse
practitioner for the practice of the nurse practitioner that also describes the
prescriptive authority of the nurse practitioner, if applicable. For a nurse
practitioner licensed in the category of certified nurse midwife, the practice
agreement is a statement jointly developed with the consulting physician.
"Prescription Monitoring Program" means the
electronic system within the Department of Health Professions that monitors the
dispensing of certain controlled substances.
"SAMHSA" means the federal Substance Abuse and
Mental Health Services Administration.
Part V
Management of Acute Pain
18VAC90-40-150. Evaluation of the patient for acute pain.
A. The requirements of this part shall not apply to:
1. The treatment of acute pain related to (i) cancer, (ii)
a patient in hospice care, or (iii) a patient in palliative care;
2. The treatment of acute pain during an inpatient hospital
admission or in a nursing home or an assisted living facility that uses a sole
source pharmacy; or
3. A patient enrolled in a clinical trial as authorized by
state or federal law.
B. Nonpharmacologic and non-opioid treatment for pain
shall be given consideration prior to treatment with opioids. If an opioid is
considered necessary for the treatment of acute pain, the practitioner shall
give a short-acting opioid in the lowest effective dose for the fewest possible
days.
C. Prior to initiating treatment with a controlled
substance containing an opioid for a complaint of acute pain, the prescriber
shall perform a history and physical examination appropriate to the complaint,
query the Prescription Monitoring Program as set forth in § 54.1-2522.1 of
the Code of Virginia, and conduct an assessment of the patient's history and
risk of substance misuse as a part of the initial evaluation.
18VAC90-40-160. Treatment of acute pain with opioids.
A. Initiation of opioid treatment for patients with acute
pain shall be with short-acting opioids.
1. A prescriber providing treatment for a patient with
acute pain shall not prescribe a controlled substance containing an opioid in a
quantity that exceeds a seven-day supply as determined by the manufacturer's
directions for use, unless extenuating circumstances are clearly documented in
the medical record. This shall also apply to prescriptions of a controlled
substance containing an opioid upon discharge from an emergency department.
2. An opioid prescribed as part of treatment for a surgical
procedure shall be for no more than 14 consecutive days in accordance with
manufacturer's direction and within the immediate perioperative period, unless
extenuating circumstances are clearly documented in the medical record.
B. Initiation of opioid treatment for all patients shall
include the following:
1. The practitioner shall carefully consider and document
in the medical record the reasons to exceed 50 MME per day.
2. Prior to exceeding 120 MME per day, the practitioner
shall document in the medical record the reasonable justification for such
doses or refer to or consult with a pain management specialist.
3. Naloxone shall be prescribed for any patient when risk
factors of prior overdose, substance misuse, doses in excess of 120 MME per
day, or concomitant benzodiazepine are present.
C. Due to a higher risk of fatal overdose when opioids are
used with benzodiazepines, sedative hypnotics, carisoprodol, and tramadol, the
prescriber shall only co-prescribe these substances when there are extenuating
circumstances and shall document in the medical record a tapering plan to
achieve the lowest possible effective doses if these medications are
prescribed.
D. Buprenorphine is not indicated for acute pain in the
outpatient setting, except when a prescriber who has obtained a SAMHSA
waiver is treating pain in a patient whose primary diagnosis is the
disease of addiction.
18VAC90-40-170. Medical records for acute pain.
The medical record shall include a description of the
pain, a presumptive diagnosis for the origin of the pain, an examination
appropriate to the complaint, a treatment plan, and the medication prescribed
or administered to include the date, type, dosage, and quantity prescribed or
administered.
Part VI
Management of Chronic Pain
18VAC90-40-180. Evaluation of the chronic pain patient.
A. The requirements of this part shall not apply to:
1. The treatment of chronic pain related to (i) cancer,
(ii) a patient in hospice care, or (iii) a patient in palliative care;
2. The treatment of chronic pain during an inpatient
hospital admission or in a nursing home or an assisted living facility that
uses a sole source pharmacy; or
3. A patient enrolled in a clinical trial as authorized by
state or federal law.
B. Prior to initiating management of chronic pain with a
controlled substance containing an opioid, a medical history and physical
examination, to include a mental status examination, shall be performed and
documented in the medical record, including:
1. The nature and intensity of the pain;
2. Current and past treatments for pain;
3. Underlying or coexisting diseases or conditions;
4. The effect of the pain on physical and psychological
function, quality of life, and activities of daily living;
5. Psychiatric, addiction, and substance
misuse histories of the patient and any family history of addiction or
substance misuse;
6. A urine drug screen or serum medication level;
7. A query of the Prescription Monitoring Program as set
forth in § 54.1-2522.1 of the Code of Virginia;
8. An assessment of the patient's history and risk of
substance misuse; and
9. A request for prior applicable records.
C. Prior to initiating opioid analgesia for chronic pain,
the practitioner shall discuss with the patient the known risks and benefits of
opioid therapy and the responsibilities of the patient during treatment to
include securely storing the drug and properly disposing of any unwanted or
unused drugs. The practitioner shall also discuss with the patient an exit
strategy for the discontinuation of opioids in the event they are not
effective.
18VAC90-40-190. Treatment of chronic pain with opioids.
A. Nonpharmacologic and non-opioid treatment for pain
shall be given consideration prior to treatment with opioids.
B. In initiating opioid treatment for all patients, the
practitioner shall:
1. Carefully consider and document in the medical record
the reasons to exceed 50 MME per day;
2. Prior to exceeding 120 MME per day, the practitioner
shall document in the medical record the reasonable justification for such
doses or refer to or consult with a pain management specialist;
3. Prescribe naloxone for any patient when risk factors of
prior overdose, substance misuse, doses in excess of 120 MME per day, or
concomitant benzodiazepine are present; and
4. Document the rationale to continue opioid therapy every
three months.
C. Buprenorphine mono-product in tablet form shall
not be prescribed for chronic pain.
D. Due to a higher risk of fatal overdose when opioids,
including buprenorphine, are given with other opioids, benzodiazepines,
sedative hypnotics, carisoprodol, and tramadol, the prescriber shall only
co-prescribe these substances when there are extenuating circumstances and
shall document in the medical record a tapering plan to achieve the lowest
possible effective doses if these medications are prescribed.
E. The practitioner shall regularly evaluate for opioid
use disorder and shall initiate specific treatment for opioid use disorder,
consult with an appropriate health care provider, or refer the patient for
evaluation for treatment if indicated.
18VAC90-40-200. Treatment plan for chronic pain.
A. The medical record shall include a treatment plan that
states measures to be used to determine progress in treatment, including pain
relief and improved physical and psychosocial function, quality of life, and
daily activities.
B. The treatment plan shall include further diagnostic
evaluations and other treatment modalities or rehabilitation that may be
necessary depending on the etiology of the pain and the extent to which the
pain is associated with physical and psychosocial impairment.
C. The prescriber shall record in the medical records the
presence or absence of any indicators for medication misuse or diversion and
take appropriate action.
18VAC90-40-210. Informed consent and agreement for treatment
of chronic pain.
A. The practitioner shall document in the medical record
informed consent, to include risks, benefits, and alternative approaches, prior
to the initiation of opioids for chronic pain.
B. There shall be a written treatment agreement, signed by
the patient, in the medical record that addresses the parameters of treatment,
including those behaviors that will result in referral to a higher level of
care, cessation of treatment, or dismissal from care.
C. The treatment agreement shall include notice that the
practitioner will query and receive reports from the Prescription Monitoring
Program and permission for the practitioner to:
1. Obtain urine drug screen or serum medication levels,
when requested; and
2. Consult with other prescribers or dispensing pharmacists
for the patient.
D. Expected outcomes shall be documented in the medical
record including improvement in pain relief and function or simply in pain
relief. Limitations and side effects of chronic opioid therapy shall be
documented in the medical record.
18VAC90-40-220. Opioid therapy for chronic pain.
A. The practitioner shall review the course of pain
treatment and any new information about the etiology of the pain or the
patient's state of health at least every three months.
B. Continuation of treatment with opioids shall be
supported by documentation of continued benefit from the prescribing. If the
patient's progress is unsatisfactory, the practitioner shall assess the
appropriateness of continued use of the current treatment plan and consider the
use of other therapeutic modalities.
C. Practitioners shall check the Prescription Monitoring
Program at least every three months after the initiation of treatment.
D. The practitioner shall order and review a urine drug
screen or serum medication levels at the initiation of chronic pain management
and at least every three months for the first year of treatment and at least
every six months thereafter.
E. The practitioner shall regularly evaluate for opioid
use disorder and shall initiate specific treatment for opioid use disorder,
consult with an appropriate health care provider, or refer the patient for
evaluation for treatment if indicated.
18VAC90-40-230. Additional consultation.
A. When necessary to achieve treatment goals, the
prescriber shall refer the patient for additional evaluation and treatment.
B. When a practitioner makes the diagnosis of opioid use
disorder, treatment for opioid use disorder shall be initiated or the patient
shall be referred for evaluation and treatment.
18VAC90-40-240. Medical records.
The prescriber shall keep current, accurate, and complete
records in an accessible manner and readily available for review to include:
1. The medical history and physical examination;
2. Past medical history;
3. Applicable records from prior treatment providers or any
documentation of attempts to obtain those records;
4. Diagnostic, therapeutic, and laboratory results;
5. Evaluations and consultations;
6. Treatment goals;
7. Discussion of risks and benefits;
8. Informed consent and agreement for treatment;
9. Treatments;
10. Medications, including date, type, dosage and quantity
prescribed, and refills;
11. Patient instructions; and
12. Periodic reviews.
Part VII
Prescribing of Buprenorphine
18VAC90-40-250. General provisions.
A. Practitioners engaged in office-based opioid addiction
treatment with buprenorphine shall have obtained a waiver from SAMHSA and the
appropriate U.S. Drug Enforcement Administration registration.
B. Practitioners shall abide by all federal and state laws
and regulations governing the prescribing of buprenorphine for the treatment of
opioid use disorder.
C. Nurse practitioners who have obtained a SAMHSA waiver
shall only prescribe buprenorphine for opioid addiction pursuant to a practice
agreement with a SAMHSA-waivered doctor of medicine or doctor of osteopathic
medicine.
D. Practitioners engaged in medication-assisted treatment
shall either provide counseling in their practice or refer the patient to a
mental health service provider, as defined in § 54.1-2400.1 of the Code of
Virginia, who has the education and experience to provide substance
misuse counseling. The practitioner shall document provision of counseling
or referral in the medical record.
18VAC90-40-260. Patient assessment and treatment planning.
A. A practitioner shall perform and document an assessment
that includes a comprehensive medical and psychiatric history, substance misuse
history, family history and psychosocial supports, appropriate physical
examination, urine drug screen, pregnancy test for women of childbearing age
and ability, a check of the Prescription Monitoring Program, and, when
clinically indicated, infectious disease testing for human immunodeficiency
virus, hepatitis B, hepatitis C, and tuberculosis.
B. The treatment plan shall include the practitioner's
rationale for selecting medication assisted treatment, patient education,
written informed consent, how counseling will be accomplished, and a signed
treatment agreement that outlines the responsibilities of the patient and the
practitioner.
18VAC90-40-270. Treatment with buprenorphine.
A. Buprenorphine without naloxone (buprenorphine
mono-product) shall not be prescribed except:
1. When a patient is pregnant;
2. When converting a patient from methadone or
buprenorphine mono-product to buprenorphine containing naloxone for a period
not to exceed seven days;
3. In formulations other than tablet form for indications
approved by the FDA; or
4. For patients who have a demonstrated intolerance to
naloxone; such prescriptions for the mono-product shall not exceed 3.0% of the
total prescriptions for buprenorphine written by the prescriber, and the
exception shall be clearly documented in the patient's medical record.
B. Buprenorphine mono-product tablets may be administered
directly to patients in federally licensed opiate treatment programs. With the
exception of those conditions listed in subsection A of this section, only the
buprenorphine product containing naloxone shall be prescribed or
dispensed for use off site from the program.
C. The evidence for the decision to use buprenorphine
mono-product shall be fully documented in the medical record.
D. Due to a higher risk of fatal overdose when
buprenorphine is prescribed with other opioids, benzodiazepines, sedative
hypnotics, carisoprodol, and tramadol, the prescriber shall only co-prescribe
these substances when there are extenuating circumstances and shall document in
the medical record a tapering plan to achieve the lowest possible effective
doses if these medications are prescribed.
E. Prior to starting medication-assisted treatment, the
practitioner shall perform a check of the Prescription Monitoring Program.
F. During the induction phase, except for medically
indicated circumstances as documented in the medical record, patients should be
started on no more than eight milligrams of buprenorphine per day. The patient
shall be seen by the prescriber at least once a week.
G. During the stabilization phase, the prescriber shall
increase the daily dosage of buprenorphine in safe and effective increments to
achieve the lowest dose that avoids intoxication, withdrawal, or significant
drug craving.
H. Practitioners shall take steps to reduce the chances of
buprenorphine diversion by using the lowest effective dose, appropriate
frequency of office visits, pill counts, and checks of the Prescription
Monitoring Program. The practitioner shall also require urine drug screens or
serum medication levels at least every three months for the first year of
treatment and at least every six months thereafter.
I. Documentation of the rationale for prescribed doses
exceeding 16 milligrams of buprenorphine per day shall be placed in the medical
record. Dosages exceeding 24 milligrams of buprenorphine per day shall not
be prescribed.
J. The practitioner shall incorporate relapse prevention
strategies into counseling or assure that they are addressed by a mental health
service provider, as defined in § 54.1-2400.1 of the Code of Virginia, who
has the education and experience to provide substance abuse counseling.
18VAC90-40-280. Special populations.
A. Pregnant women may be treated with the
buprenorphine mono-product, usually 16 milligrams per day or less.
B. Patients younger than the age of 16 years shall not be
prescribed buprenorphine for addiction treatment unless such treatment is
approved by the FDA.
C. The progress of patients with chronic pain shall be
assessed by reduction of pain and functional objectives that can be identified,
quantified, and independently verified.
D. Practitioners shall (i) evaluate patients with medical
comorbidities by history, physical exam, and appropriate laboratory studies and
(ii) be aware of interactions of buprenorphine with other prescribed
medications.
E. Practitioners shall not undertake buprenorphine
treatment with a patient who has psychiatric comorbidities and is not stable. A
patient who is determined by the practitioner to be psychiatrically unstable
shall be referred for psychiatric evaluation and treatment prior to initiating
medication-assisted treatment.
18VAC90-40-290. Medical records for opioid addiction
treatment.
A. Records shall be timely, accurate, legible, complete,
and readily accessible for review.
B. The treatment agreement and informed consent shall be
maintained in the medical record.
C. Confidentiality requirements of 42 CFR Part 2 shall be
followed.
VA.R. Doc. No. R17-5096; Filed June 15, 2018, 12:47 p.m.