
Vol. 78, No. 4, April 
2005
The HIPAA Pivacy Rules:
Disclosures of Protected Health Information in Legal Proceedings
The author provides practical information to help attorneys who 
represent entities covered by HIPAA and those who litigate matters 
involving individuals' health conditions understand the HIPAA Privacy 
Rules and when the state rules supersede them.
 
 by Judith A. Langer
by Judith A. Langer
 he federal Health Insurance Portability and 
Accountability Act (HIPAA)1 is an area of 
law unfamiliar to many attorneys. Yet it is essential that Wisconsin 
attorneys have a working knowledge of HIPAA and its accompanying 
Administrative Simplification regulations,2 
particularly the HIPAA Privacy Rules.3 
Counsel who represent health-care providers,4 health plans,5 or 
health-care clearinghouses6 (collectively 
called "covered entities"), or who litigate matters involving 
individuals' physical or mental health conditions, must have a clear 
understanding of the HIPAA Privacy Rules (Privacy Rules). Lawyers who 
fail to understand and comply with HIPAA may be subject to judicially 
imposed sanctions and other remedial actions.
he federal Health Insurance Portability and 
Accountability Act (HIPAA)1 is an area of 
law unfamiliar to many attorneys. Yet it is essential that Wisconsin 
attorneys have a working knowledge of HIPAA and its accompanying 
Administrative Simplification regulations,2 
particularly the HIPAA Privacy Rules.3 
Counsel who represent health-care providers,4 health plans,5 or 
health-care clearinghouses6 (collectively 
called "covered entities"), or who litigate matters involving 
individuals' physical or mental health conditions, must have a clear 
understanding of the HIPAA Privacy Rules (Privacy Rules). Lawyers who 
fail to understand and comply with HIPAA may be subject to judicially 
imposed sanctions and other remedial actions.
This article discusses the Privacy Rules' provisions governing a 
covered entity's use and disclosure of protected health information in 
judicial and administrative proceedings and pursuant to lawful process. 
It does not discuss in depth the physician-patient privilege and other 
issues of evidence. Attorneys should be aware that even if the 
substantive HIPAA privacy provisions are satisfied, evidentiary 
privileges may still prevent a covered entity from disclosing protected 
health information.7
Information Subject to HIPAA
The Privacy Rules govern "protected health information" (PHI).8 The definition of PHI is very broad and includes 
many different types of information in addition to medical and hospital 
records. Medical bills, health insurance claims, applications for health 
insurance, and even the fact that a person is a physician's patient or a 
health plan enrollee are all considered to be PHI. Types of records 
excepted from PHI include education records covered by the Family 
Educational Rights and Privacy Act (FERPA),9 
employment records held by a covered entity in its role as employer, and 
certain other records mentioned in FERPA.10
Attorneys as Business Associates
Organizations, such as outside counsel, that perform duties for a 
covered entity involving the use or disclosure of PHI are called 
"business associates"11 under HIPAA. The 
Privacy Rules require covered entities to impose contractual limitations 
on their business associates. Under these business associate agreements, 
the business associate may only use12 
internally or disclose13 externally PHI in 
performing its duties and may not use or disclose PHI in a manner that 
violates the Privacy Rules.14 Thus, under 
their business associate agreements, attorneys representing health 
plans, health-care providers, or health-care clearinghouses have 
contractual duties to their clients to comply with the Privacy 
Rules.
Application of Stricter State Privacy Laws - HIPAA Preemption
Key to understanding the Privacy Rules is the concept of HIPAA 
preemption, that is, the relationship and interplay between state and 
federal privacy laws. The federal Privacy Rules provide for incomplete 
preemption of state law. In other words, where a state's privacy law is 
contrary to and more stringent15 than the 
HIPAA Privacy Rules, state law will apply. Though the Privacy Rules 
define several different contexts in which state law is more stringent, 
generally a state law will be more stringent where it prohibits a use or 
disclosure of PHI that HIPAA would permit, or where it provides the 
individual with greater privacy rights than HIPAA affords the 
individual. HIPAA preemption therefore presents a difficult analysis for 
attorneys attempting to determine which privacy law or regulation 
applies in any particular circumstance.
To date, no Wisconsin court has analyzed whether Wisconsin law is 
stricter than the Privacy Rules, but courts in other states are 
beginning to do so.16 However, a 
collaborative workgroup that included many attorneys, the HIPAA 
Collaborative of Wisconsin (HIPAA COW), has performed a preemption 
analysis on several Wisconsin statutes and regulations, including Wis. 
Stat. sections 51.30, 146.50, 146.81, 146.82, and 610.70, and chapter 
252, among others.17 These preemption 
analyses will be useful to attorneys evaluating whether and to what 
extent Wisconsin laws are stricter than the Privacy Rules.
Use and Disclosure of PHI in Legal Process
The Privacy Rules permit attorneys to obtain PHI from covered 
entities either with or without the individual's permission. HIPAA 
establishes different requirements for each method of obtaining PHI, and 
in some situations attorneys will find they are required to take 
additional steps when requesting PHI or ensure that requesters take 
additional steps before releasing PHI on behalf of a covered entity 
client.
Additionally, the U.S. Department of Health and Human Services, 
Office of Civil Rights, the agency charged with enforcing the Privacy 
Rules,18 recently issued a number of 
frequently asked questions to clarify the use and disclosure of PHI in 
judicial and administrative proceedings.19 
These frequently asked questions, in some situations, soften the effect 
of Privacy Rules' strict requirements, and should be read in tandem with 
the Privacy Rules.
Disclosure with the individual's permission. When a 
person or entity wants to obtain an individual's permission (or 
authorization) for the release of PHI, the Privacy Rules require use of 
a written authorization form containing specific core and required 
elements, detailed in 45 C.F.R. § 164.508(c)(1) and (2). Most 
authorization forms used by attorneys probably already include the 
HIPAA-required core elements. Attorneys will need to add the following 
HIPAA-required elements to their standard release forms: the 
individual's right to revoke the authorization and how the individual 
may do that; the ability or inability of the covered entity to condition 
treatment, payment, enrollment, or eligibility for benefits on the 
authorization; and the potential for information disclosed by the 
authorization to be redisclosed by the recipient and thus no longer 
protected by the Privacy Rules.
One of the instances in which state privacy law may be more stringent 
is with respect to authorizations. Consequently, due to HIPAA preemption 
rules, more stringent Wisconsin law requires additional elements to be 
added to written authorizations used to obtain PHI from Wisconsin 
health-care providers and health plans. For example, Wisconsin law 
requires that an individual give specific permission for the release of 
mental health records and HIV information, and authorizations to request 
these types of PHI from health-care providers must include this specific 
permission. Also, the effective length of an authorization to obtain PHI 
from a health insurer is governed by Wis. Stat. section 610.70(2).
The HIPAA COW Web site also contains sample authorization forms, 
specifically tailored to comply with both the Privacy Rules and 
Wisconsin law, which many health-care providers and health insurers in 
Wisconsin are likely to accept.20 Attorneys 
can also consider contacting a hospital before requesting records to 
determine whether the hospital requires a particular authorization form. 
Difficulties concerning authorization forms may be resolved by 
contacting the organization's privacy officer, a person required by 
HIPAA to be responsible for privacy-related forms.21
Thus, for example, under Wis. Stat. section 804.10, when counsel 
obtains or the court orders patient consent to the release of X-rays or 
other medical records or information by health-care practitioners or 
facilities, the form of the consent will need to comply with both 
HIPAA's authorization requirements and stricter Wisconsin law 
provisions.
Disclosure without the individual's permission. In 
situations in which it is not possible or practicable to obtain an 
individual's permission to release PHI in the course of judicial or 
administrative proceedings, the Privacy Rules permit attorneys to use or 
obtain PHI from covered entities in several ways.
Use of PHI in legal process or proceedings. The 
Privacy Rules permit a covered entity to use PHI for its treatment, 
payment, or health care operations purposes22 without obtaining an individual's 
authorization.23 The Office of Civil Rights 
has interpreted the Privacy Rules as permitting a covered entity that is 
a party to legal proceedings to "use" PHI in the litigation as part of 
its "health care operations."24 This 
interpretation should be understood to mean that a covered entity can 
share the PHI it possesses as a covered entity with the attorney 
representing it in a judicial or administrative proceeding, so that the 
attorney may furnish legal services and advice to the covered entity. 
For example, the Privacy Rules permit a physician who is a defendant in 
a medical malpractice action to share a plaintiff patient's PHI in the 
physician's possession with the physician's attorney, as part of the 
physician's health care operations.
Disclosure of PHI in legal process or proceedings. 
Section 512(e) of the Privacy Rules establishes the conditions under 
which a covered entity may disclose PHI in the course of judicial or 
administrative proceedings. Importantly, it is the covered entity's 
compliance duty, not the requesting attorney's legal obligation, to 
ensure that the section 512(e) provisions are met before disclosing PHI, 
despite one court's contrary interpretation.25 Nevertheless, as a practical matter, attorneys 
should familiarize themselves with the section 512(e) requirements to be 
able to foresee and forestall any potential objections from covered 
entities that are asked to produce PHI.
Significantly, the Office of Civil Rights has taken the position that 
the section 512(e) requirements only apply to covered entities that are 
not parties to a judicial or administrative proceeding.26 The Office of Civil Rights determined that the 
Privacy Rules permit covered entities that are parties to litigation to 
disclose PHI in the course of litigation as part of the covered 
entities' health care operations. Thus, the section 512(e) procedures 
have practical effect only when PHI is requested of a nonparty covered 
entity.
In brief, section 512(e) permits covered entities to disclose PHI 
without the individual's permission in two circumstances. One 
circumstance is when the covered entity receives a court order. The 
other circumstance is when the covered entity receives a subpoena, 
discovery request, or other lawful process unaccompanied by a court 
order. In the latter situation, the covered entity may disclose the 
requested PHI without the individual's permission, but only if either 
notice is given to the individual to whom the PHI pertains, or a 
qualified protective order is sought or obtained.27 The Privacy Rules dictate the notice and 
qualified protective order requirements.
Notice requirement. A covered entity is permitted 
under section 512(e) to disclose PHI in response to a subpoena, 
discovery request, or other process unaccompanied by a court order, if 
the covered entity receives "satisfactory assurance" of reasonable 
efforts to notify the individual who is the subject of the PHI.28 "Satisfactory assurance" means a written 
statement and accompanying documentation showing that the requester has 
made a good faith attempt to provide written notice to the individual 
that his or her PHI will be disclosed.29 
The notice must provide sufficient information about the matter, such as 
case number, name, and court or tribunal where pending, to allow the 
individual to lodge an objection.30 The 
assurance must indicate that time for any objections has elapsed or that 
the court or tribunal has resolved any objections in favor of permitting 
release of the requested PHI.31 If the 
subpoena or other request on its face documents all these elements, no 
supplemental documentation is required.32 
Additionally, the Privacy Rules allow the covered entity itself to 
provide notice to the individual to satisfy the notice 
requirement.33
Although technically the Privacy Rules permit notice to be given only 
to the individual or his or her personal representative34 as defined under HIPAA, the Office of Civil 
Rights issued a frequently asked question that apparently recognizes the 
ethical principle that attorneys who know that individuals are 
represented by legal counsel must only contact the individual's legal 
counsel or obtain that counsel's consent to contact the individual 
directly.35
Qualified protective order requirement. The Privacy 
Rules also permit a covered entity to disclose PHI in response to a 
subpoena, discovery request, or other process unaccompanied by court 
order if the covered entity receives satisfactory assurance that the 
requester has made reasonable efforts to obtain a qualified protective 
order.36 HIPAA defines a qualified 
protective order as a court or administrative order, or an order issued 
on the parties' stipulation, prohibiting the parties from using or 
disclosing the requested PHI for any purpose other than the litigation, 
and requiring the PHI either to be returned to the covered entity or 
destroyed at the end of the litigation.37 
Satisfactory assurance that the requester has made reasonable efforts to 
secure a qualified protective order means that the covered entity must 
receive from the requester a written statement and accompanying 
documentation showing either that the parties to the dispute have agreed 
to a qualified protective order and have presented it to the court or 
administrative tribunal with jurisdiction over the dispute or that the 
party seeking the PHI has requested a qualified protective order from 
the court or tribunal.38 The Privacy Rules 
also permit the covered entity to obtain a qualified protective 
order.39
The requirement that PHI subject to a qualified protective order be 
returned or destroyed at the end of the litigation may present a 
challenge to attorneys. A malpractice carrier may require its insured 
attorneys to retain PHI as part of the case files for a certain number 
of years, or it may not be entirely clear when the end of the litigation 
occurs, due to multiple or repeated collateral appeals. Moreover, an 
attorney may have shared the PHI with expert witnesses, and the PHI may 
be in evidence and part of the court file, in which case return or 
destruction of the PHI may be difficult or impractical.
One alternative to the "return or destruction" requirement that would 
likely satisfy the Privacy Rules requirements would be to state in the 
qualified protective order that, if the attorney receiving PHI could not 
feasibly return or destroy the PHI at the end of litigation, the 
attorney would be obligated to protect the confidentiality of the PHI 
for so long as the attorney retained the PHI and that the attorney would 
limit further uses and disclosures of the PHI to the purposes making the 
return or destruction of the PHI infeasible.40 This would ensure that indivi-duals' privacy 
rights were respected while recognizing practical limitations of a 
strict "return or destruction"requirement.
Also, because section 512(e) establishes the minimum legal 
requirements for a covered entity to be legally permitted to disclose 
PHI, attorneys should be aware that health plans and health-care 
providers may have adopted privacy policies that require more safeguards 
than HIPAA requires before disclosing PHI. For example, before 
disclosing PHI, a health-care provider may require an attorney who 
requests PHI to prove that a qualified protective order has actually 
been entered, as opposed to merely stating that "reasonable efforts" 
were made to obtain it. Moreover, a health plan may require that the 
satisfactory assurance of notice be made by affidavit, as opposed to the 
mere written statement referred to in section 512(e).
Tips for Attorneys
In nonlitigation context or before litigation 
commences. The section 512(e) procedures will have little 
practical application before a judicial or administrative proceeding is 
commenced. Both the notice and the qualified protective order 
requirements in section 512(e) by their terms assume that a court will 
be available to issue the order or resolve objections. Therefore, 
obtaining PHI before commencing a legal proceeding will usually require 
the individual's authorization or a court order, if one can be obtained 
under the circumstances.
When seeking PHI by means of authorization, attorneys must understand 
that under the Privacy Rules, covered entities are permitted, not 
required, to disclose PHI in response to a valid authorization.41 Any difficulties over whether the attorney's 
authorization is or is not HIPAA-compliant may usually be resolved by 
using the covered entity's own authorization form or by contacting its 
privacy officer. A truly recalcitrant covered entity can, under the 
Privacy Rules, be made to disclose a patient's PHI by means of the 
patient making a HIPAA request for access to PHI,42 assuming there are no valid legal grounds for 
the covered entity to deny the patient's access request. However, making 
an access request under HIPAA should be a last resort, due to the 
lengthy timeframe available to the covered entity to evaluate the 
request and potential additional costs involved.
After litigation or proceeding commences. As noted 
above, the Office of Civil Rights limited application of the section 
512(e) requirements to covered entities that are not parties to a 
judicial or administrative proceeding. Under the Office of Civil Rights' 
interpretation, for example, a defense attorney representing a physician 
who requests PHI from a codefendant physician in a medical malpractice 
action would not have to obtain a qualified protective order or provide 
notice to the plaintiff under HIPAA when serving interrogatories seeking 
PHI on codefendant's counsel. HIPAA would permit the codefendant 
physician to disclose the PHI in response to the interrogatories, as a 
part of the physician's health care operations.
Depending on the situation, it may not be necessary under Wisconsin 
law for attorneys to satisfy the section 512(e) satisfactory assurance 
notice requirements when they request PHI from a nonparty covered 
entity. For example, Wis. Stat. section 804.10(2) states that in a 
personal injury case the court shall order the plaintiff to execute an 
authorization permitting the defendant to inspect and copy any hospital 
or medical records within the scope of discovery. When a patient's 
authorization has been obtained, it is not necessary to also give 
satisfactory assurance under section 512(e).
As a practical matter, in cases in which PHI will clearly be at issue 
and in which attorneys may need to subpoena PHI from nonparty covered 
entities, it is probably easiest at the outset of the case to either 
stipulate with opposing counsel or ask the court to issue a qualified 
protective order applying to any PHI that either attorney may subpoena 
for the case.
If an attorney chooses to provide notice of the subpoena to the 
individual whose PHI is being requested, the attorney should consider 
using a 10-day notice period for objections to be heard and resolved. 
Although section 512(e) does not specify any particular timeframe for 
the individual to raise objections, it would be reasonable in a state 
court proceeding to use a 10-day notice provision similar to that in 
Wis. Stat. section 805.07(2)(b).
Sanctions Against Attorneys
Wisconsin attorneys should be aware that courts in several 
jurisdictions have considered, and in one case actually imposed, 
sanctions on attorneys for failing to comply with the Privacy 
Rules.43 Though neither HIPAA nor the 
Privacy Rules contain civil sanctions expressly applicable to attorneys, 
one California court relied on HIPAA's range of civil administrative 
fines as guidance in sanctioning defense counsel for failure to follow 
section 512(e) when communicating with the plaintiff's treating 
physician.44
Conclusion
The HIPAA Privacy Rules add another layer of complexity to existing 
process and procedures for obtaining and using protected health 
information in the course of legal proceedings. Attorneys will need to 
carefully consider the effect of HIPAA's substantive privacy regulations 
on their requests for protected health information from health-care 
providers, health plans, and health-care clearinghouses.
Judith A. Langer, 
Marquette 1985, is senior counsel in the corporate legal department of 
WellPoint Inc., focusing on privacy, information security, and 
regulatory issues. Before the September 2003 merger of Cobalt Corp. with 
WellPoint, Langer served as Cobalt's privacy official.
The author thanks attorney Kathy Nusslock for her contributions to 
this article.
 
Endnotes
1Pub. L. No. 104-191, 42 U.S.C. 
§ 1320d-1, et seq.
2The Administrative Simplification 
regulations include the Privacy Rules, the Security Rules, and the 
Transaction and Code Set Rules (45 C.F.R. parts 160, 162, 164).
3The HIPAA Privacy Rules are 
codified at 45 C.F.R. parts 160 and 164.
4Health-care providers governed by 
the HIPAA rules are those who transmit electronically the HIPAA standard 
transactions. See 45 C.F.R. § 160.103(3) (definition of 
"covered entity").
545 C.F.R. § 160.103 
(definition of "health plan").
6Id. (definition of 
"health-care clearinghouse").
7See Northwestern Mem'l Hosp. 
v. Ashcroft, 362 F.3d 923, 925-26 (7th Cir. 2004) (Posner, J.) 
(drawing distinction between procedural authority granted by Privacy 
Rules to obtain medical records and admissibility or privileged nature 
of those records).
845 C.F.R. § 160.103 
(definition of "protected health information").
920 U.S.C. § 1232g.
1020 U.S.C. § 
1232g(a)(4)(B)(iv).
1145 C.F.R. §160.103 
(definition of "business associate").
12Id. (definition of 
"use").
13Id. (definition of 
"disclosure").
1445 C.F.R. § 164.504(e). 
Effective April 21, 2005, the HIPAA Security Rules impose additional 
duties on business associates to safeguard electronic PHI, as set forth 
in 45 C.F.R. §§ 164.308(b) and 164.314(a).
1545 C.F.R. § 160.202.
16A partial list of cases in 
which courts have performed HIPAA preemption analyses includes: 
Crenshaw v. MONY Life Ins. Co., 318 F. Supp. 2d 1015 (S.D. Cal. 
2004); National Abortion Fed'n v. Ashcroft, 2004 WL 292079 
(N.D. Ill. 2004), rev'd sub nom. Northwestern Mem'l Hosp. v. 
Ashcroft, 362 F.3d 923 (7th Cir. 2004); Bayne v. Provost, 
2005 WL 469360 (N.D.N.Y. 2005); National Abortion Fed'n v. 
Ashcroft, 2004 WL 555701 (S.D.N.Y. 2004); Law v. 
Zuckerman, 307 F. Supp. 2d 705 (D. Md. 2004); Lemieux v. Tandem 
Health Care of Florida Inc., 862 So. 2d 745 (Fla. Dist. Ct. App. 
2003); Smith v. American Home Prods. Corp. Wyeth-Ayerst Pharm., 
855 A.2d 608 (N.J. Super. Ct. Law Div. 2003); Keshecki v. St. 
Vincent's Med. Ctr., 785 N.Y.S.2d 300 (N.Y. Sup. Ct. 2004); 
State ex rel. Cincinnati Enquirer v. Adcock, 2004 WL 3015324 
(Ohio Ct. App. 2004); Hawes v. Golden, 2004 WL 2244448 (Ohio 
Ct. App. 2004).
17The HIPAA COW preemption charts 
can be found at http://hipaacow.org/home/PrivacyDocs.aspx 
(last accessed Feb. 28, 2005).
18See 65 Fed. Reg. 
82,381 (Dec. 28, 2000).
19These frequently asked 
questions, or FAQs, are found at http://hipaacow.org/Docs/PrivacyGrid/WI%20%20HIPAA%20Authorization%202-20-03.doc 
(last accessed Feb. 28, 2005).
2145 C.F.R. § 
164.530(a)(1)(i).
2245 C.F.R. § 164.500.
23See 45 C.F.R. 
§§ 164.502(a)(1)(ii), .506(c)(1).
24Answer ID 705 of the FAQs at www.hhs.gov/ocr/hipaa.
25Crenshaw, 318 F. Supp. 
2d at 1029.
26Answer ID 704 of the FAQs at www.hhs.gov/ocr/hipaa.
2745 C.F.R. § 
164.512(e)(1)(i), (ii)(A), (B).
2845 C.F.R. § 
164.512(e)(1)(ii)(A).
2945 C.F.R. § 
164.512(e)(1)(iii)(A).
3045 C.F.R. § 
164.512(e)(1)(iii)(B).
3145 C.F.R. § 
164.512(e)(1)(iii)(C)(1), (2).
32Answer IDs 706 and 708 of the 
FAQs at www.hhs.gov/ocr/hipaa.
3345 C.F.R. § 
164.512(e)(1)(vi).
3445 C.F.R. § 
164.502(g)(1).
35See Answer ID 707, 
found at www.hhs.gov/ocr/hipaa. See 
also SCR 20:4.2.
3645 C.F.R. § 
164.512(e)(1)(ii)(B).
3745 C.F.R. § 
164.512(e)(1)(v).
3845 C.F.R. § 
164.512(e)(1)(iv)(A), (B).
3945 C.F.R. § 
164.512(e)(1)(vi).
40Compare similar provisions in 
45 C.F.R. § 164.504(e)(2)(ii)(I), in the context of business 
associate agreements.
4145 C.F.R. § 
164.502(a)(1)(iv).
42See 45 C.F.R. § 
164.524.
43See Law, 307 F. Supp. 
2d at 712-13 (sanctions contemplated but rejected, because court 
initially held that HIPAA was inapplicable); Crenshaw, 318 F. 
Supp. 2d at 1030 (sanctions imposed on defense counsel who had ex parte 
contact with one of plaintiff's treating physicians).
44Crenshaw, 318 F. Supp. 
2d at 1029-30.
Wisconsin Lawyer