2022 -- H 7917 | |
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LC003582 | |
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STATE OF RHODE ISLAND | |
IN GENERAL ASSEMBLY | |
JANUARY SESSION, A.D. 2022 | |
____________ | |
A N A C T | |
RELATING TO STATE AFFAIRS AND GOVERNMENT – RHODE ISLAND | |
INFORMATION PRIVACY ACT | |
| |
Introduced By: Representative Joseph M. McNamara | |
Date Introduced: March 07, 2022 | |
Referred To: House Finance | |
It is enacted by the General Assembly as follows: | |
1 | SECTION 1. Title 42 of the General Laws entitled "STATE AFFAIRS AND |
2 | GOVERNMENT" is hereby amended by adding thereto the following chapter: |
3 | CHAPTER 162 |
4 | RHODE ISLAND INFORMATION PRIVACY ACT |
5 | 42-162-1. Short title. |
6 | This chapter shall be known and may be cited as the "Rhode Island Information Privacy |
7 | Act". |
8 | 42-162-2. Definitions. |
9 | As used in this chapter, the following words shall, unless the context clearly requires |
10 | otherwise, have the following meanings: |
11 | (1) "Advertisement" means the process by which a person, the "advertiser," proposes a |
12 | commercial transaction or disseminates a public or private communication or message to solicit |
13 | business or a commercial opportunity. |
14 | (2) "Algorithm" means a specific procedure, set of rules, or order of operations designed |
15 | to solve a problem or make a calculation, classification, or recommendation. |
16 | (3) "Artificial intelligence" means computerized methods and tools including, but not |
17 | limited to, machine learning and natural language processing, that act in a way that resembles |
18 | human cognitive abilities when it comes to solving problems or performing certain tasks. |
| |
1 | (4) "Automated decision system" means any computer program, method, statistical model, |
2 | or process that aims to aid or replace human decision-making using algorithms or artificial |
3 | intelligence. These systems can include analyzing complex datasets about human populations to |
4 | generate scores, predictions, classifications, or recommendations used to make decisions. |
5 | (5) "Biometric information" means information that pertains to measurable biological or |
6 | behavioral characteristics of an individual that can be used singularly or in combination with each |
7 | other or with other information for automated recognition or identification of a known or unknown |
8 | individual. Examples include, but are not limited to, fingerprints, retina and iris patterns, |
9 | voiceprints, DNA sequence, facial characteristics, gait, handwriting, keystroke dynamics, and |
10 | mouse movements. Biometric information does not include writing samples, written signatures, |
11 | photographs, human biological samples used for valid scientific testing or screening, demographic |
12 | data, tattoo descriptions, or physical descriptions such as height, weight, hair color, or eye color. |
13 | Biometric information does not include donated organs, tissues, or parts, or blood, or serum stored |
14 | on behalf of recipients or potential recipients of living, or cadaveric transplants obtained or stored |
15 | by a federally designated organ procurement agency. Biometric information does not include |
16 | information captured from a patient in a health care setting or information collected, used, or stored |
17 | for health care treatment, payment, or operations under the federal Health Insurance Portability and |
18 | Accountability Act of 1996. Biometric information does not include an X-ray, roentgen process, |
19 | computed tomography, MRI, PET scan, mammography, or other image or film of the human |
20 | anatomy used to diagnose, prognose, or treat an illness or other medical condition or to further |
21 | validate scientific testing or screening. |
22 | (6) "Browser personal information" means Internet protocol addresses, system |
23 | configuration information, uniform resource locators of referring pages, local and language |
24 | preferences, keystrokes, and other similar digital sources associated with an individual. |
25 | (7) "Collect" means to collect, buy, rent, gather, obtain, receive, trade for, or access any |
26 | personal information pertaining to an individual by any means, online or offline, including, but not |
27 | limited to, receiving information from the individual or a third party, actively or passively, or |
28 | obtaining information by observing the individual's behavior. |
29 | (8) "Commission" means the Rhode Island information privacy commission. |
30 | (9) "Conduct business in the State of Rhode Island" or "conducting business in Rhode |
31 | Island" means to produce, solicit, or offer for use or sale any information, product, or service in a |
32 | manner that intentionally targets or may reasonably be expected to contact individuals. |
33 | (10) "Consent" means freely given, specific, informed, unambiguous, opt-in consent by |
34 | individuals. |
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1 | (11) "Covered entity" means an entity that conducts business in the State of Rhode Island, |
2 | processes personal information by itself or by contracting with a data processor: |
3 | (i) Has earned or received ten million dollars ($10,000,000) of annual revenue through |
4 | three hundred (300) or more transactions; or |
5 | (ii) Processes or maintains the personal information of ten thousand (10,000) or more |
6 | unique individuals during the course of a calendar year. |
7 | (12) "Covered interaction" means an interaction between an individual or its household and |
8 | a covered entity when such covered entity makes available information, products, or services to the |
9 | individual and collects or otherwise processes personal information pertaining to that individual. |
10 | Covered interactions include, but are not limited to, posting information, offering a product or |
11 | service, the placement of targeted advertisements, setting up an account, or offering membership |
12 | or other ongoing relationship with a covered entity. |
13 | (13) "Data processor" means a person or entity that processes personal information on |
14 | behalf of a covered entity. |
15 | (14) "De-identified" means information that cannot reasonably identify, relate to, describe, |
16 | be capable of being associated with, or be directly linked to a particular individual or household. |
17 | (15) "Device" means a tool that is capable of sending, routing, or receiving |
18 | communications to or from another device and intended for use by a single individual or single |
19 | household or, if used outside of a home, for use by the general public. |
20 | (16) "Disclose" means any action, set of actions, or omission in which a covered entity, |
21 | data processor, or a third party makes personal information available to another person, |
22 | intentionally or unintentionally, including, but not limited to, sharing, publishing, releasing, |
23 | transferring, disseminating, making available, selling, leasing, providing access to, failing to |
24 | restrict access to, or otherwise communicating orally, in writing, electronically, or by any other |
25 | means. |
26 | (17) "Harm" means potential or realized adverse consequences for an individual or society, |
27 | including, but not limited to: |
28 | (i) Direct or indirect financial harm; |
29 | (ii) Physical harm or threats to individuals or property, including, but not limited to, bias- |
30 | related crimes and threats, harassment, and sexual harassment; |
31 | (iii) Discrimination in products, services, or economic opportunities such as housing, |
32 | employment, credit, insurance, education, or health care on the basis of an individual or class of |
33 | individuals belonging to, or being perceived as belonging to, one of the protected classes under |
34 | chapter 5.1 of title 28, except as specifically authorized by law; |
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1 | (iv) Interference with or surveillance of First Amendment-protected activities by state |
2 | actors, except as specifically authorized by law; |
3 | (v) Interference with the right to vote or with free and fair elections; |
4 | (vi) Violation of individuals’ rights to due process or equal protection under the law; |
5 | (vii) Loss of individual control over personal information via non-consensual sharing of |
6 | sensitive personal information, data breach, or other actions that violate this chapter; |
7 | (viii) The non-consensual capture of information or communications within an individual's |
8 | home or where an individual is entitled to have a reasonable expectation of privacy or access |
9 | control; |
10 | (ix) Other effects on an individual that may not be reasonably foreseeable to, contemplated |
11 | by or expected by the individual to whom the personal information relates, which are nevertheless |
12 | reasonably foreseeable to, contemplated by, or expected by the covered entity, that alter or limit |
13 | that individual's choices or predetermine results. |
14 | (18) "Individual" means a natural person who is a resident of the State of Rhode Island. |
15 | The location of a natural person in the State of Rhode Island shall create a presumption that the |
16 | natural person is a State of Rhode Island resident. |
17 | (19) "Legal request" means any request for personal information issued by a court of |
18 | competent jurisdiction pursuant to state or federal laws such as subpoenas, court orders, search |
19 | warrants, pen register and trap and trace orders, or wiretap orders. |
20 | (20) "Location information" means information pertaining to where an individual has |
21 | physically been or directly or indirectly reveals an individual's physical location or the location of |
22 | a device associated with that individual. Location information includes, but is not limited to: |
23 | (i) IP addresses; |
24 | (ii) GPS coordinates; |
25 | (iii) Cell-site location information; |
26 | (iv) Time-stamped video or other surveillance information that identifies an individual as |
27 | being in a certain place; |
28 | (v) Information derived from transportation cards; |
29 | (vi) Information related to an individual's visit to certain locations. |
30 | (21) "Rhode Island governmental entity" means any agency, executive office, department, |
31 | board, commission, bureau, division or authority of the state, or of any political subdivision thereof, |
32 | or of any authority established by the general court to serve a public purpose. |
33 | (22) "Monetize" or "monetization" means to sell, rent, release, disclose, disseminate, trade, |
34 | make available, transfer, or otherwise communicate orally, in writing, or by electronic or other |
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1 | means, an individual's personal information by a covered entity, a third party, or a data processor |
2 | in exchange for monetary or other consideration, as well as to leverage or use an individual's |
3 | personal information to place a targeted advertisement or to otherwise profit, regardless of whether |
4 | the individual's personal information changes hands. |
5 | (23) "Person" means any natural or legal person. |
6 | (24) "Personal information" means information about an individual directly or indirectly |
7 | captured in a covered interaction. Personal information includes any information so captured that |
8 | directly or indirectly identifies, relates to, describes, is capable of being associated with, or could |
9 | reasonably be linked to a particular individual, household, or device. Information is reasonably |
10 | linkable to an individual, household, or device if used on its own or in combination with other |
11 | reasonably available information to identify an individual, household, or device, regardless of |
12 | whether the covered entity holds such additional information. This definition includes, but is not |
13 | limited to, the following information: |
14 | (i) First names, middle names, last names, aliases, and social media and website-used |
15 | usernames; |
16 | (ii) Government-issued ID and vehicle license plate numbers; |
17 | (iii) Telephone numbers, including cellphone numbers, and physical and digital addresses |
18 | such as IP addresses and email addresses; |
19 | (iv) Date of birth, age, gender, race, ethnicity, national origin, and sexual orientation; |
20 | (v) Information revealing political opinions, religious, or philosophical beliefs held by |
21 | identified individuals; |
22 | (vi) Technical identifiers such as a service ID number that can be tied back to an individual; |
23 | (vii) Biometric information; |
24 | (viii) Location information; |
25 | (ix) Medical and health information including an individual's medical history and search |
26 | queries related to medical conditions; |
27 | (x) Financial data, including social security number, details of financial and commercial |
28 | transactions, and credit scores related to the financial capacity of an individual; |
29 | (xi) Professional data, including resume, job history, and other similar records related to |
30 | an individual; |
31 | (xii) Information pertaining to an individual's behavior online, such as a record of the |
32 | websites they visit or the files they download; |
33 | (xiii) Browser personal information; |
34 | (xiv) Information pertaining to an individual's sex life; and |
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1 | (xv) Electronic communications such as messaging, email, and voice conversations; |
2 | (25) "Processing" or "process" means any action or set of actions performed on or with |
3 | personal information, including, but not limited to, collecting, accessing, using, storing, retaining, |
4 | sharing, monetizing, analyzing, creating, generating, aggregating, altering, correlating, operating |
5 | on, decision-making, recording, modifying, organizing, structuring, disclosing, transmitting, |
6 | selling, licensing, disposing of, destroying, de-identifying, or another handling of personal |
7 | information. This term includes using personal information in automated decision systems. |
8 | (26) "Reasonably understandable" means of length and complexity such that an individual |
9 | with an eighth-grade reading level, as established by the department of education, can read and |
10 | comprehend. |
11 | (27) "Sensitive personal information" means the following personal information related to |
12 | an identified individual: |
13 | (i) Race, ethnicity, national origin, and sexual orientation; |
14 | (ii) Date of birth; |
15 | (iii) Cellphone number; |
16 | (iv) Information revealing political opinions, religious or philosophical beliefs held by |
17 | identified individuals; |
18 | (v) Biometric information; |
19 | (vi) Location information; |
20 | (vii) Medical and health information including an individual's medical history and search |
21 | queries related to medical conditions; |
22 | (viii) Information pertaining to an individual's sex life; |
23 | (ix) Social security number; and |
24 | (x) Credit scores related to the financial capacity of an individual. |
25 | (28) "Targeted advertisement" means an advertisement directed to an individual or a group |
26 | of individuals where the advertisement is selected by an automated decision system based on |
27 | processed personal information obtained or inferred over time from the individual or the groups of |
28 | individual's devices activities, communications, or associations across websites, applications, |
29 | services, or covered entities. It does not include advertisements directed to an individual solely |
30 | based upon the individual's current visit to a website, application, service, covered entity, or a direct |
31 | response to the individual's request for information or feedback. |
32 | (29) "Third party" means, with respect to an individual's personal information, any person |
33 | or governmental entity that is not the covered entity or a data processor. |
34 | (30) "Use model" means a discrete purpose for which collected personal information is to |
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1 | be processed, including, but not limited to, first-party marketing, third-party marketing, first-party |
2 | research and development, third-party research and development, and product improvement and |
3 | development. |
4 | 42-162-3. General principles and duties. |
5 | (a) The provisions of this chapter and the regulations enacted thereof shall be interpreted |
6 | and administered in accordance with the following general principles: |
7 | (1) Covered entities and data processors must process personal information and use |
8 | automated decision systems discreetly and honestly, and only to the extent necessary for carrying |
9 | out their purpose; and |
10 | (2) Covered entities and data processors must be protective of personal information, loyal |
11 | to the individuals whose personal information is processed, and honest about the risk of processing |
12 | practices, including the use of automated decision systems. |
13 | (b) Duty of care. Covered entities and data processors shall; |
14 | (1) Reasonably secure individual personal information from unauthorized access; and |
15 | (2) Promptly comply with § 11-49.3-4 in case of a breach of security, as defined therein. |
16 | (c) Duty of loyalty. Covered entities and data processors shall not use personal information, |
17 | or information derived from personal information, in any way that: |
18 | (1) Benefits themselves to the detriment of an individual; |
19 | (2) Results in reasonably foreseeable and material physical or financial harm to an |
20 | individual; or |
21 | (3) Would be unexpected and highly offensive to a reasonable individual that provided |
22 | consent in accordance with this chapter. |
23 | (d) Duty of confidentiality. Covered entities and data processors: |
24 | (1) Shall not disclose or sell personal information to, or share personal information with, |
25 | any other person except as consistent with the provisions set forth in this chapter and regulations |
26 | enacted to implement them; |
27 | (2) Shall not disclose or sell personal information to, or share personal information with, |
28 | any third party unless that third party enters into a contract with the covered entity that imposes on |
29 | the third party the same duties of care, loyalty, and confidentiality toward the applicable individual |
30 | as are imposed on the covered entity under this chapter; and |
31 | (3) Shall take reasonable steps to ensure that the practices of any third party to whom the |
32 | covered entity discloses or sells, or with whom the covered entity shares personal information fulfill |
33 | the duties of care, loyalty, and confidentiality assumed by the third party under the contract |
34 | described in the previous subsection. |
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1 | (i) Covered entities shall regularly audit the data security and data information practices of |
2 | any such third party, making such audit publicly available. |
3 | 42-162-4. Rights of access, correction, data portability, and deletion. |
4 | (a) Access to and portability of personal information. |
5 | (1) Individuals shall have the right to: |
6 | (i) Access all their personal information that was processed by the covered entity or a data |
7 | processor; |
8 | (ii) Access all the information pertaining to the collection and processing of their personal |
9 | information, including, but not limited to: |
10 | (A) Where or from whom the covered entity obtained personal information, i.e., from the |
11 | individual or a third party, whether online or offline; |
12 | (B) The types of third parties to which the covered entity has disclosed or will disclose |
13 | captured personal information; |
14 | (C) The purposes of the processing; |
15 | (D) The categories of personal information concerned; |
16 | (E) The names of third parties to which the covered entity had disclosed the personal |
17 | information and a log showing when such disclosure happened; and |
18 | (F) The period of retention of the personal information; |
19 | (iii) Obtain their personal information processed by a covered entity in a structured, readily |
20 | usable, portable, and machine-readable format; |
21 | (iv) Transmit or cause the covered entity to transmit the personal information to another |
22 | covered entity, where technically feasible; |
23 | (v) Request a covered entity to stop collecting and processing their personal information. |
24 | (b) Correction and deletion of personal information. |
25 | (1) Individuals shall have the right to: |
26 | (i) Correct inaccurate personal information stored by covered entities; and |
27 | (ii) Delete all their personal information stored by covered entities; provided that, a covered |
28 | entity that has collected personal information from an individual is not required to delete |
29 | information to the extent it is exempt under this chapter from the requirement of consent. |
30 | (2) A covered entity that maintains an individual's personal information in a non-public |
31 | profile or account must correct or delete such personal information, and any information derived |
32 | therefrom pertaining to the individual upon the individual's request. |
33 | (c) Exercise of rights. |
34 | (1) A covered entity must provide individuals with a reasonable means to exercise their |
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1 | rights mentioned in subsections (a) and (b) of this section in a request-form that is: |
2 | (i) Clear and conspicuous; |
3 | (ii) Made available at no additional cost and with no transactional penalty to the individual |
4 | to whom the information pertains; and |
5 | (iii) In English and any other language in which the covered entity communicates with the |
6 | individual to whom the information pertains. |
7 | (2) A covered entity must comply with a request to exercise the rights mentioned in |
8 | subsections (a) and (b) of this section no later than thirty (30) days after receiving a verifiable |
9 | request from the individual. |
10 | (i) Where the covered entity has reasonable doubts or cannot verify the identity of the |
11 | individual making a request, the covered entity may request additional personal information |
12 | necessary for the specific purpose of confirming the identity of the individual. |
13 | (ii) A covered entity may not de-identify an individual's personal information during the |
14 | sixty (60) day period beginning on the date on which the covered entity receives a request for |
15 | correction or deletion from the individual. |
16 | 42-162-5. Right to know. |
17 | (a) Individuals shall have the right to know what personal information a covered entity or |
18 | a data processor will collect and process about the individual, including the categories and specific |
19 | pieces of personal information the covered entity processes, before giving consent for the collection |
20 | and processing of their personal information. |
21 | (b) Meaningful notice. A covered entity must make both a long-form privacy policy and a |
22 | short-form privacy policy available to all individuals in accordance with the following. |
23 | (1) The privacy policies shall be available and readily accessible on the covered entity's |
24 | website or mobile application. |
25 | (i) In the case of in-person or non-Internet electronic engagement, the privacy policies shall |
26 | be readily accessible at the primary physical place of business and any offline equivalent |
27 | maintained by the covered entity. |
28 | (2) The privacy policies shall be persistently and conspicuously available at or prior to the |
29 | point of sale of a product or service, subscription to a service, sign up, or creation of an account |
30 | with the covered entity. |
31 | (3) Covered entities that process personal information shall ensure that individuals are |
32 | presented with the short-form privacy policy only once upon the individual's first electronic covered |
33 | interaction that may or will result in the processing of personal information, whether that is through |
34 | the covered entity's website or use of the covered entity's mobile application. |
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1 | (i) In the case of in-person or non-Internet electronic engagement, the short-form privacy |
2 | policy should be read to or otherwise presented to the individual before the covered entity first |
3 | collects the individual's personal information. |
4 | (4) The short-form privacy notice required under this section shall: |
5 | (i) Be clear, concise, well-organized, and complete; |
6 | (ii) Be clear and prominent in appearance; |
7 | (iii) Use clear and plain language; |
8 | (iv) Use visualizations where appropriate to make complex information understandable by |
9 | the ordinary user; |
10 | (v) Be reasonably understandable; |
11 | (vi) Be distinguishable from other matters; |
12 | (vii) Not contain any unrelated, confusing, or contradictory information; |
13 | (viii) Be no more than six hundred (600) words, excluding the list of third parties with |
14 | which the covered entity discloses personal information; and |
15 | (ix) Be provided free of charge. |
16 | (5) The short-form privacy notice required must include: |
17 | (i) The sensitive personal information being processed; |
18 | (ii) The use model and a brief explanation of the relationship between the individual and |
19 | the covered entity; |
20 | (iii) Whether the covered entity by itself or a data processor on its behalf processes the |
21 | information; |
22 | (iv) Whether the covered entity uses automated decision systems; |
23 | (v) Whether personal information is going to be processed for purposes of targeted |
24 | advertisement or monetization; |
25 | (vi) One example of harm that may arise from a misuse of the personal information; |
26 | (vii) The period of retention of the personal information expressed in exact dates; |
27 | (viii) To what types of third parties the covered entity discloses personal information and |
28 | for what purposes, including governmental entities; and |
29 | (ix) Whether the covered entity collects personal information through offline practices |
30 | when the individual does not interact directly with the covered entity. |
31 | (6) A list of the third parties referenced in subsection (b)(5)(viii) of this section must be |
32 | provided either in the short-form privacy notice or in an easily accessible online form. If the policy |
33 | is delivered verbally, the person communicating the policy must offer to read the list of third parties. |
34 | If provided in the short-form privacy notice, such list must be offset by at least two (2) line breaks |
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1 | from the rest of the short-form privacy notice. |
2 | (7) The long-form privacy policy shall contain a detailed description of the processing of |
3 | the personal information, including, but not limited to, all the elements of the short-form privacy |
4 | policy, and an explanation of how the covered entities and their affiliate data processors comply |
5 | with the provisions of this chapter, including the following: |
6 | (i) A brief explanation of the technology that mediates the relationship between the |
7 | individual and the covered entity, including automated decision systems; and |
8 | (ii) A brief explanation of the risks of harm that arises from the possible misuse of personal |
9 | information processing. |
10 | (8) The commission shall: |
11 | (i) Establish a standardized short-form privacy notice that complies with this section; |
12 | (ii) Determine whether a more concise presentation of a short-form privacy notice is |
13 | appropriate where the policy is being communicated verbally, and if so, shall establish a |
14 | standardized short-form verbal privacy notice; |
15 | (iii) Develop a recognizable and uniform logo or button to promote individual awareness |
16 | of the short-form privacy notice; and |
17 | (iv) Promulgate regulations specifying additional requirements for the format and |
18 | substance of short-form privacy notices. |
19 | 42-162-6. Right to consent. |
20 | (a) Individuals shall have the right to consent in accordance with this section before their |
21 | personal information is collected and processed. |
22 | (b) Consent given by an individual authorizes a covered entity to collect, cause to collect, |
23 | process, or cause to process personal information from such individual in accordance with the |
24 | following: |
25 | (1) A covered entity must obtain consent: |
26 | (i) Before collecting or causing to collect personal information for purposes of processing |
27 | an individual's personal information for the first time; and |
28 | (ii) After the acceptance of the short-form privacy policy described in § 42-162-5. |
29 | (2) For continuing covered interactions, the consent required by this section must be |
30 | renewed annually, and if not so renewed, shall be deemed to have been withdrawn. |
31 | (3) A covered entity must provide new meaningful notice and obtain consent from an |
32 | individual two (2) weeks before changing the nature of the processing of personal information to |
33 | which the individual previously consented. |
34 | (i) The two (2) week period in the previous subsection shall not apply if the change in |
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1 | processing is necessary to enable a new functionality requested by the individual; provided that, |
2 | such individual was given notice and provided consent when making such request. |
3 | (4) A covered entity requesting consent shall: |
4 | (i) Ensure that the option to refuse consent is presented as clearly and prominently as the |
5 | option to provide consent; |
6 | (ii) Provide a mechanism for an individual to withdraw previously given consent at any |
7 | time; and |
8 | (iii) Once a year, provide a notice explaining how the personal information was used, |
9 | including two (2) examples of such use. |
10 | (5) A covered entity requesting consent shall not coerce consent through the use of |
11 | interfaces that: |
12 | (i) Threaten or mandate an individual's compliance; |
13 | (ii) Ask questions or provide information in a way individuals cannot reasonably |
14 | understand; |
15 | (iii) Attract the individual's attention away from their current task by exploiting perception, |
16 | particularly pre-attentive processing; |
17 | (iv) Take advantage of individuals’ errors to facilitate the interface designer’s goals; |
18 | (v) Deliberately increase work for the individual; |
19 | (vi) Interrupt the individual's task flow; |
20 | (vii) Use information architectures and navigation mechanisms that guide the individual |
21 | toward not having a real option to consent; |
22 | (viii) Hide desired content or interface elements; |
23 | (ix) Limit or omit controls that would facilitate task accomplishment by the individual; |
24 | (x) Present disturbing content to the individual; or |
25 | (xi) Generally mislead or deceive the individual. |
26 | (6) Once an individual refuses to provide consent in accordance with this section, and if |
27 | the individual keeps interacting with the covered entity in any way, the covered entity shall not try |
28 | to obtain consent unless a period of at least six (6) months has passed. |
29 | (7) Under no circumstances shall the mere covered interaction of an individual with a |
30 | covered entity's product or service be deemed as consent. |
31 | (8) A covered entity may collect browser personal information; provided that, the covered |
32 | entity: |
33 | (i) Processes only the personal information necessary to request consent; |
34 | (ii) Processes such information solely to request consent; and |
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1 | (iii) Immediately deletes all the personal information if consent is refused. |
2 | (9) A covered entity shall not: |
3 | (i) Refuse to serve an individual who does not approve the processing of the individual's |
4 | personal information under this section unless the processing is necessary for the primary purpose |
5 | of the transaction that the individual has requested; |
6 | (ii) Offer a program that relates the price or quality of a product or service to the degree of |
7 | acceptance of personal information processing. This includes the provision of discounts or other |
8 | incentives in exchange for the consent; |
9 | (A) Notwithstanding the above, a covered entity may, with the individual's consent given |
10 | in compliance with this section, operate a program in which information, products, or services sold |
11 | to the individual are discounted based on that individual's prior purchases from the covered entity; |
12 | provided that, the personal information shall be processed solely to operate such program. |
13 | (iii) State or imply that the quality of a product or service will be diminished and shall not |
14 | actually diminish the quality of a product or service if the individual declines to give consent. |
15 | 42-162-7. Right to control disclosure of personal information. |
16 | (a) Individuals shall have the right to know the names of third parties to which the covered |
17 | entities or data processors will disclose their personal information, and refuse consent for such |
18 | disclosure. |
19 | (b) Disclosure of personal information and relationships with third parties. |
20 | (1) No covered entity or data processor in possession of personal information may disclose, |
21 | cause to disclose, or otherwise disseminate to third parties, including government agencies, |
22 | personal information unless such disclosure is included in the meaningful notice pursuant to this |
23 | chapter, and consent from the individual is obtained in the manners and ways prescribed in this |
24 | chapter. |
25 | (2) Covered entity shall not process or cause to process an individual's personal information |
26 | acquired from a third party, unless it has first obtained the individual's consent. |
27 | (i) Notwithstanding § 42-162-7(b)(2)(i), if the processing is necessary to obtain consent, |
28 | the covered entity shall: |
29 | (A) Process only the personal information required to request consent; |
30 | (B) Process the personal information solely to request consent; and |
31 | (C) Immediately delete the personal information if consent is not given. |
32 | (3) A covered entity shall not disclose personal information to a data processor or another |
33 | third party without a contractual agreement that: |
34 | (i) Requires the data processor or third party to meet the same privacy and security |
| LC003582 - Page 13 of 35 |
1 | obligations as the covered entity; |
2 | (ii) Prohibits the data processor or third party from processing the personal information for |
3 | any purpose other than the purposes for which the individual provided consent; and |
4 | (iii) Prohibits the data processor or third party from further disclosing or processing the |
5 | personal information except as explicitly authorized by the contract and consistent with this |
6 | chapter. |
7 | (4) If a covered entity learns that a data processor or third party to whom it has provided |
8 | access to personal information is using such personal information in violation of this chapter, the |
9 | covered entity shall immediately; |
10 | (i) Limit the violator’s access to personal information; |
11 | (ii) Seek proof of destruction of personal information previously accessed by the violating |
12 | data processor or third party; and |
13 | (iii) Notify the commission about the violation. |
14 | 42-162-8. Prohibition of surreptitious surveillance. |
15 | A covered entity shall not activate the microphone, camera, or any other sensor on a device |
16 | in the lawful possession of an individual that is capable of collecting or transmitting audio, video, |
17 | or image data or data that can be used to measure biological or biometric information, human |
18 | movement, location, chemicals, light, radiation, air pressure, speed, weight or mass, positional or |
19 | physical orientation, magnetic fields, temperature, or sound without providing notice and obtaining |
20 | consent pursuant to this chapter for the specific type of measurement to be activated; provided that, |
21 | such consent shall be effective for not more than one hundred eighty (180) days, after which it shall |
22 | expire unless renewed. |
23 | 42-162-9. Age of responsibility. |
24 | (a) For the purposes of this chapter, individuals age thirteen (13) and older are deemed |
25 | competent to exercise all rights granted to individuals under this chapter. |
26 | (b) Rights and obligations relating to individuals under the age of thirteen (13) shall be |
27 | governed by the children's online privacy protection act (15 U.S.C. Sec. 6501 et seq.) and its |
28 | regulations. |
29 | 42-162-10. Protection of biometric and location information. |
30 | (a) In addition to all provisions of this chapter generally applicable to personal information, |
31 | the following provisions shall apply to the processing and collection of biometric and location |
32 | information, regardless of how such biometric and location information is processed or collected: |
33 | (1) Processing. No covered entity or data processor may collect or process an individual's |
34 | biometric or location information unless it first: |
| LC003582 - Page 14 of 35 |
1 | (i) Informs the individual in writing that biometric or location information is being |
2 | processed and the specific purpose or purposes and length of time for which the information is |
3 | being processed; and |
4 | (ii) Obtains consent from the individual for the specific purpose of collecting and |
5 | processing biometric or location information before any such information is collected or processed: |
6 | (A) For biometric information, the consent shall be handwritten and executed by the |
7 | individual, explicitly authorize such processing, and be sent to the covered entity by postal mail, |
8 | facsimile, or electronic scan; |
9 | (B) Consent shall be for a period specified in the written consent of not more than one year |
10 | and shall automatically expire at the end of such period unless renewed pursuant to the same |
11 | procedures. Upon expiration of consent, any biometric or location information possessed by a |
12 | covered entity must be destroyed; |
13 | (2) Retention and destruction. A covered entity in possession of biometric or location |
14 | information must develop a specific written policy, made available to the public, establishing a |
15 | retention schedule and guidelines for permanently destroying biometric or location information |
16 | when the initial purpose for processing such information has been satisfied or within one year of |
17 | the individual's consent, unless renewed, whichever occurs first: |
18 | (i) Absent a valid warrant issued by a court of competent jurisdiction, a covered entity in |
19 | possession of biometric or location information must comply with its established retention schedule |
20 | and destruction guidelines; |
21 | (3) Disclosure. No covered entity or data processor in possession of biometric or location |
22 | information may disclose, cause to disclose, sell, or otherwise disseminate or cause to disseminate |
23 | to third parties, including government agencies, an individual's biometric or location information |
24 | unless: |
25 | (i) The individual gives consent in writing to the disclosure; or |
26 | (ii) The disclosure completes a financial transaction requested or authorized by the subject |
27 | of the biometric or location information; or |
28 | (iii) The disclosure is required by state or federal law, in which case the individual must be |
29 | given adequate notice on the occasion of obtaining the consent; or |
30 | (iv) The disclosure is required pursuant to a valid warrant issued by a court of competent |
31 | jurisdiction, in which case the individual must be given adequate notice in accordance with § 42- |
32 | 162-17; |
33 | (4) Monetizing. No covered entity in possession of biometric or location information may |
34 | monetize or otherwise profit from an individual's biometric or location information; |
| LC003582 - Page 15 of 35 |
1 | (i) A covered entity may process an individual's biometric or location information to |
2 | recommend actions, services, goods, or products provided that: |
3 | (A) There is full disclosure to the individual about the biometric or location information |
4 | processed; |
5 | (B) Consent was given in a manner consistent with this section; and |
6 | (C) There is full disclosure that such recommendation is based on the biometric or location |
7 | information processed. |
8 | 42-162-11. Prohibition of discrimination. |
9 | (a) Individual's shall have the right not to be subject to processing of their personal |
10 | information that results in unlawful discriminatory actions. |
11 | (b) Covered entities that process personal information shall not engage in unlawful |
12 | discriminatory practices connected with the use of personal information and the provision of |
13 | services, products, or goods. |
14 | (c) Unlawful discriminatory practices are acts or practices that: |
15 | (1) Process personal information in the course of advertising, marketing, soliciting, |
16 | offering, selling, leasing, licensing, renting, or otherwise commercially contracting for |
17 | employment, finance, health care, credit, insurance, housing, or education opportunities in a |
18 | manner that directly results in discrimination against or otherwise makes an opportunity |
19 | unavailable on the basis of an individual's or group of individual's actual or perceived belonging to |
20 | a protected class; |
21 | (2) Process personal information in a manner that discriminates in, or otherwise makes |
22 | unavailable, whether in a commercial transaction or otherwise, any place of public accommodation, |
23 | resort, or amusement, on the basis of an individual's or group of individual's actual or perceived |
24 | belonging to a protected class; or |
25 | (3) Enable the use of covered entities' services or products to place targeted advertisements |
26 | for employment, finance, health care, credit, insurance, housing, or education opportunities in such |
27 | a way that enables the advertiser to determine whether to serve an advertisement to an individual |
28 | or group of individual's on the basis of actual or perceived belonging to a protected class. |
29 | (d) Nothing in this section shall limit covered entities from processing personal information |
30 | for: |
31 | (1) Legitimate testing to prevent unlawful discrimination or otherwise determine the extent |
32 | or effectiveness of the covered entity's compliance with this section; and |
33 | (2) The purpose of advertising, marketing, soliciting, or offering education or employment |
34 | opportunities to members of a protected class so long as such opportunities are within an affirmative |
| LC003582 - Page 16 of 35 |
1 | action, diversity program, or similar initiative that intends to provide opportunities to the protected |
2 | classes. |
3 | 42-162-12. Prohibition of unfair and deceptive trade practices. |
4 | (a) Unfair and deceptive trade practices relating to information privacy are hereby declared |
5 | unlawful. |
6 | (b) Unfair and deceptive trade practices are acts or practices that: |
7 | (1) Materially interfere with the ability of an individual to understand the way the covered |
8 | entity processes personal information; or |
9 | (2) Take unreasonable advantage of: |
10 | (i) A lack of understanding on the part of the individual of the material risks, costs, or |
11 | conditions of the processing of personal information; or |
12 | (ii) The inability of the individual to protect the interests of the individual in selecting or |
13 | using a product, good, or service provided by the covered entity; or |
14 | (iii) The reasonable reliance by the individual on a covered entity to act in the interests of |
15 | the consumer. |
16 | 42-162-13. The Rhode Island information privacy commission. |
17 | (a) The commission shall have all the powers necessary or convenient to carry out and |
18 | effectuate its purposes including, but not limited to, the power to: |
19 | (1) Appoint officers and hire employees; |
20 | (2) Establish and amend a plan of organization that it considers expedient; |
21 | (3) Execute all instruments necessary or convenient for accomplishing the purposes of this |
22 | chapter and its regulation; |
23 | (4) Adopt, amend, or repeal regulations for the implementation, administration, and |
24 | enforcement of this chapter; |
25 | (5) Enter into agreements or other transactions with a person, including, but not limited to, |
26 | a governmental entity or other governmental instrumentality or authority in connection with its |
27 | powers and duties under this chapter; |
28 | (6) Appear on its own behalf before boards, commissions, departments, or other agencies |
29 | of municipal, state, or federal government; |
30 | (7) Apply for and accept subventions, grants, loans, advances, and contributions of money, |
31 | property, labor, or other things of value from any source, to be held, used, and applied for its |
32 | purposes; |
33 | (8) Provide and pay for advisory services and technical assistance as may be necessary for |
34 | its judgment to carry out this chapter and fix the compensation of persons providing such services |
| LC003582 - Page 17 of 35 |
1 | or assistance; |
2 | (9) Prepare, publish and distribute, with or without charge as the commission may |
3 | determine, such studies, reports, bulletins, and other materials as the commission considers |
4 | appropriate; |
5 | (10) Gather facts and information applicable to the commission's obligation to enforce this |
6 | chapter and ensure its compliance; |
7 | (11) Conduct investigations for possible violations of this chapter; |
8 | (12) Conduct administrative proceedings and promulgate regulations; |
9 | (13) Refer cases for criminal prosecution to the appropriate federal, state, or local |
10 | authorities; |
11 | (14) Maintain an official Internet website for the commission; |
12 | (15) Conduct a study to determine the most effective way for covered entities to obtain |
13 | individuals’ consent. |
14 | The commission may request data and information from covered entities conducting |
15 | business in Rhode Island, Rhode Island government entities administering notice and consent |
16 | regimes, consumer protection experts, privacy advocates, and researchers, Internet standards- |
17 | setting bodies such as the Internet Engineering Taskforce and Institute of Electrical and Electronics |
18 | Engineers, and other relevant sources to meet the purpose of the study; |
19 | (16) Assess and impose civil administrative penalties on covered entities, data processors, |
20 | and third parties who fail to comply with or violate any provision of this chapter or regulation |
21 | enacted pursuant to this chapter, and create an administrative procedure for such purpose; and |
22 | (17) Create and disseminate information to the public about their rights in relation to |
23 | personal information privacy and what to do if they believe their rights have been violated. |
24 | 42-162-14. Enforcement -- Civil administrative penalties. |
25 | (a) Any individual or group of individual's alleging a violation of this chapter or a |
26 | regulation promulgated under this chapter may bring an administrative complaint before the |
27 | commission. |
28 | (1) The commission shall promulgate a form of complaint for use under this section, which |
29 | shall be in such form and language to permit an individual to prepare and file such complaint pro |
30 | se. |
31 | (2) An individual shall not be required to accept mandatory arbitration of a claim under |
32 | this chapter as a condition of bringing an administrative complaint. |
33 | (3) The administrative complaint shall be directed against the covered entity, data |
34 | processor, and the third parties alleged to have committed the violation. |
| LC003582 - Page 18 of 35 |
1 | (4) The commission shall investigate the allegations and decide whether it amounts to the |
2 | imposition of a civil administrative penalty. |
3 | (b) The commission shall also open investigations without any particular alleged violation |
4 | to assess the compliance of covered entities, data processors, and third parties with this chapter and |
5 | shall impose civil administrative penalties if necessary. |
6 | (c) Whenever the commission seeks to assess a civil administrative penalty on any covered |
7 | entities, data processors, and third parties, the commission shall cause to be served upon such |
8 | person, either by service, in hand, or by certified mail, return receipt requested, a written notice of |
9 | its intent to assess a civil administrative penalty which shall include: a concise statement of the |
10 | alleged act or omission for which such civil administrative penalty is sought to be assessed, each |
11 | law, regulation, or order violated as a result of such alleged act or omission; the amount which the |
12 | commission seeks to assess as a civil administrative penalty for each such alleged act or omission; |
13 | a statement of such person's right to an administrative hearing on the proposed assessment; the |
14 | requirements such person must comply with to avoid being deemed to have waived the right to an |
15 | administrative hearing; and the manner of payment thereof if such person elects to pay the penalty |
16 | and waive an administrative hearing. After such notice of intent to assess a civil administrative |
17 | penalty has been given, each such day thereafter during which such noncompliance or violation |
18 | occurs or continues shall constitute a separate offense and shall be subject to a separate civil |
19 | administrative penalty if reasonable efforts have not been made to promptly come into compliance. |
20 | (d) Whenever the commission seeks to assess a civil administrative penalty on any person, |
21 | such person shall have the right to an administrative hearing under the provisions of chapter 35 of |
22 | title 42. Such person shall be deemed to have waived such right to an administrative hearing unless, |
23 | within twenty-one (21) days of the date of the commission's notice of intent to assess a civil |
24 | administrative penalty, such person files with the commission a written statement denying the |
25 | occurrence of any of the acts or omissions alleged by the commission in such notice, or asserting |
26 | that the money amount of the proposed civil administrative penalty is excessive. In any |
27 | administrative hearing authorized pursuant to chapter 35 of title 42, the commission shall, by a |
28 | preponderance of the evidence, prove the occurrence of each act or omission alleged by the |
29 | commission. |
30 | (e) If a person waives his/her right to an administrative hearing, the proposed civil |
31 | administrative penalty shall be final immediately upon such waiver. |
32 | (f) If a civil administrative penalty is assessed at the conclusion of an administrative |
33 | hearing, said civil administrative penalty shall be final upon the expiration of thirty (30) days if no |
34 | action for judicial review of such decision is commenced pursuant to chapter 35 of title 42. |
| LC003582 - Page 19 of 35 |
1 | (g) Any person who institutes proceedings for judicial review of the final assessment of a |
2 | civil administrative penalty shall place the full amount of the final assessment in an interest-bearing |
3 | escrow account in the custody of the clerk of the reviewing court. The establishment of such an |
4 | interest-bearing escrow account shall be a condition precedent to the jurisdiction of the reviewing |
5 | court unless the party seeking judicial review demonstrates in a preliminary hearing held within |
6 | twenty (20) days of the filing of the complaint either the presence of a substantial question for |
7 | review by the court or an inability to pay. Upon such a demonstration, the court may grant an |
8 | extension or waiver of the interest-bearing escrow account or may require, in lieu of such interest- |
9 | bearing escrow account, the posting of a bond payable directly to the state in the amount of one |
10 | hundred twenty-five percent (125%) of the assessed penalty. If, after judicial review, in a case |
11 | where the requirement for an escrow account has been waived, and in cases where a bond has been |
12 | posted in lieu of such requirement, the court affirms, in whole or in part, the assessment of a civil |
13 | administrative penalty the commission shall be paid the amount thereof. If, after such review in a |
14 | case where an interest-bearing escrow account has been established, the court affirms the |
15 | assessment of such penalty, in whole or in part, the commission shall be paid the amount thereof |
16 | together with the accumulated interest thereon in such interest-bearing escrow account. If the court |
17 | sets aside the assessment of a civil administrative penalty in a case where the amount of such |
18 | penalty has been deposited in an interest-bearing escrow account, the person on whom the civil |
19 | administrative penalty was assessed shall be repaid the amount so set aside, together with the |
20 | accumulated interest thereon. |
21 | (h) Each person who fails to pay a civil administrative penalty on time, and each person |
22 | who issues a bond pursuant to this section and who fails to pay to the state on time the amount |
23 | required hereunder, shall be liable to the state for up to three (3) times the amount of the civil |
24 | administrative penalty, together with costs, plus interest from the time the civil administrative |
25 | penalty became final and attorneys' fees, including all costs and attorneys' fees incurred directly in |
26 | the collection thereof. |
27 | (i) No civil administrative penalty assessed hereunder shall be: |
28 | (1) Less than fifteen hundredths percent (0.15%) of the annual global revenue of the |
29 | covered entity, data processor, or third party or fifteen thousand dollars ($15,000), whichever is |
30 | greater, per individual violation; or |
31 | (2) More than four percent (4%) of the covered entity's annual global revenue, data |
32 | processor, or third party or twenty million dollars ($20,000,000), whichever is greater, if the |
33 | commission assesses a civil administrative penalty for multiple violations that affect multiple |
34 | individuals. |
| LC003582 - Page 20 of 35 |
1 | (j) In determining the amount of each civil administrative penalty, the commission shall |
2 | include, but not be limited to, the following in its consideration: |
3 | (1) The number of affected individuals; |
4 | (2) The severity of the violation or noncompliance; |
5 | (3) The risks caused by the violation or noncompliance; |
6 | (4) Whether the violation or noncompliance was part of a pattern of noncompliance and |
7 | violations and not an isolated instance; |
8 | (5) Whether the violation or noncompliance was willful and not the result of error; |
9 | (6) The precautions taken by the defendant to prevent a violation; |
10 | (7) The number of administrative actions, lawsuits, settlements, and consent decrees under |
11 | this chapter involving the defendant; |
12 | (8) The number of administrative actions, lawsuits, settlements, and consent-decrees |
13 | involving the defendant in other states and at the federal level in issues involving information |
14 | privacy; and |
15 | (9) The international record of the defendant when it comes to information privacy issues; |
16 | (k) Notwithstanding any general or special law to the contrary, including the limitations |
17 | and considerations set forth in this section, the commission may require that the amount of a civil |
18 | administrative penalty imposed pursuant to this section exceeds the economic benefit realized by a |
19 | person for noncompliance. |
20 | (l) When imposing civil administrative penalties, the commission shall consider the |
21 | following: |
22 | (1) Each individual whose personal information was unlawfully processed and each |
23 | instance of processing counts as a separate violation; |
24 | (2) Each subsection of this chapter that was violated counts as a separate violation; |
25 | (3) If a series of steps or transactions were component parts of a single transaction to avoid |
26 | the reach of this chapter, the commission shall disregard the intermediate steps or transactions and |
27 | consider everything one transaction. |
28 | (m) All civil administrative penalties assessed shall be paid to the state. Once the payment |
29 | is received, the state shall: |
30 | (1) Earmark ten percent (10%) of the civil administrative penalties collected to fund the |
31 | commission's budget; and |
32 | (2) Identify the individuals affected by the violation and use the remaining proceeds |
33 | collected to redress and mitigate harms caused by the violation. |
34 | 42-162-15. Enforcement -- Judicial remedies. |
| LC003582 - Page 21 of 35 |
1 | (a) Private right of action. Any individual alleging a violation of this chapter or a regulation |
2 | promulgated under this chapter may bring a civil action in any court of competent jurisdiction. |
3 | (1) An individual protected by this chapter may not be required, as a condition of service |
4 | or otherwise, to file an administrative complaint with the commission or to accept mandatory |
5 | arbitration of a claim under this chapter. |
6 | (2) The civil action shall be directed to the covered entity, data processor, and the third |
7 | parties alleged to have committed the violation. |
8 | (3) A violation of this chapter or a regulation promulgated under this chapter regarding an |
9 | individual's personal information constitutes a rebuttable presumption of harm to that individual. |
10 | (4) In a civil action in which the plaintiff prevails, the court may award: |
11 | (i) Liquidated damages of not less than fifteen hundredths percent (0.15%) of the annual |
12 | global revenue of the covered entity or fifteen thousand dollars ($15,000) per violation, whichever |
13 | is greater; |
14 | (ii) Punitive damages; and |
15 | (iii) Any other relief, including, but not limited to, an injunction that the court deems to be |
16 | appropriate. |
17 | (5) In addition to any relief awarded pursuant to the previous subsection, the court shall |
18 | award reasonable attorneys’ fees and costs to any prevailing plaintiff. |
19 | (6) The court may request the opinion of the commission on the matters discussed. |
20 | (b) The attorney general may bring an action pursuant to chapter 13.1 of title 6 against a |
21 | covered entity, data processor, or third party to remedy violations of this chapter and for other relief |
22 | that may be appropriate. |
23 | (1) If the court finds that the defendant has employed any method, act, or practice which |
24 | they knew or should have known to be in violation of this chapter, the court may require such |
25 | person to pay to the state a civil penalty of: |
26 | (i) Not less than fifteen hundredths percent (0.15%) of the annual global revenue or fifteen |
27 | thousand dollars ($15,000), whichever is greater, per violation; and |
28 | (ii) Not more than four percent (4%) of the annual global revenue of the covered entity, |
29 | data processor, or third party or twenty million dollars ($20,000,000), whichever is greater, per |
30 | action if such action includes multiple violations to multiple individuals; |
31 | (2) During the proceedings, the court may also request the opinion of the commission on |
32 | the matters discussed. |
33 | (3) All money awards shall be paid to the state. The state shall identify the individuals |
34 | affected by the violation and earmark such money awards, penalties, or assessments collected for |
| LC003582 - Page 22 of 35 |
1 | purposes of paying for the damages they suffered as a consequence of the violation. |
2 | (c) When calculating awards and civil penalties in all the actions in this section, a court |
3 | shall consider the factors mentioned in § 42-162-14(j). |
4 | (d) When assessing the defendant’s behavior in judicial proceedings, the court shall |
5 | consider the factors mentioned in § 42-162-14(l). |
6 | (e) It is a violation of this chapter for a covered entity or anyone else acting on behalf of a |
7 | covered entity to retaliate against an individual who makes a good-faith complaint that there has |
8 | been a failure to comply with any part of this chapter. |
9 | (1) An injured individual by a violation of the previous subsection may bring a civil action |
10 | for monetary damages and injunctive relief in any court of competent jurisdiction. |
11 | 42-162- 16. Enforcement -- Miscellaneous. |
12 | (a) Non-waivable rights. Any provision of a contract or agreement of any kind, including |
13 | a covered entity's terms of service or a privacy policy, including the short-form privacy notice |
14 | required under § 42-162-5 that purports to waive or limit in any way an individual's rights under |
15 | this chapter, including, but not limited to, any right to a remedy or means of enforcement shall be |
16 | deemed contrary to public policy and shall be void and unenforceable. |
17 | (b) No covered entity that is a provider of an interactive computer service, as defined in 47 |
18 | U.S.C. § 230, shall be treated as the publisher or speaker of any personal information provided by |
19 | another information content provider, as defined in 47 U.S.C. § 230 and allowing posting of |
20 | information by a user without other action by the interactive computer service shall not be deemed |
21 | processing of the personal information by the interactive computer service. |
22 | (c) No private or government action brought pursuant to this chapter shall preclude any |
23 | other action under this chapter. |
24 | 42-162-17. Exceptions. |
25 | (a) A covered entity shall not be required to provide meaningful notice or obtain consent |
26 | for processing personal information in accordance with §§ 42-162-5 and 42-162-6: |
27 | (1) The processing is necessary to execute the specific transaction for which the individual |
28 | is providing personal information, such as the provision of financial information to complete a |
29 | purchase or the provision of a mailing address to deliver a package; |
30 | (i) Notwithstanding the previous subsection, personal information shall not be processed |
31 | for any other purpose beyond that clear primary purpose without providing meaningful notice to |
32 | and obtaining consent from the individual to whom the personal information pertains. |
33 | (2) The covered entity believes that an emergency involving immediate danger of death or |
34 | serious physical injury to any individual requires obtaining without delay personal information so |
| LC003582 - Page 23 of 35 |
1 | that it can be used to respond to the emergency, and the request is narrowly tailored to address the |
2 | emergency, subject to the following limitations. |
3 | (i) The request shall document the factual basis for believing that an emergency involving |
4 | immediate danger of death or serious physical injury to an individual requires obtaining without |
5 | delay personal information relating to the emergency; and |
6 | (ii) Simultaneous with the covered entity obtaining personal information under this |
7 | subsection, the covered entity shall use reasonable efforts to inform the individual of the personal |
8 | information obtained; the details of the emergency; and the reasons why the covered entity needed |
9 | to obtain the personal information and shall continue such efforts to inform until receipt of |
10 | information is confirmed; or |
11 | (3) The processing involves only de-identified information; provided that, a covered entity |
12 | that processes de-identified information must: |
13 | (i) Have a privacy policy that details how the de-identified information is processed; |
14 | (ii) Implement technical safeguards that prohibit indirect re-identification of the |
15 | information; |
16 | (iii) Implement business processes that expressly prohibit indirect re-identification of the |
17 | information; |
18 | (iv) Implement business processes that prevent inadvertent release of de-identified |
19 | information; and |
20 | (v) Not attempt to re-identify the information. |
21 | (b) A covered entity, its affiliated data processors, or the third parties they contracted with |
22 | shall not be required to obtain consent for disclosing or sharing personal information in accordance |
23 | with this chapter if: |
24 | (1) Disclosure is required to respond to a legal request; provided that: |
25 | (i) A covered entity receiving such legal request shall serve or deliver the following |
26 | information to the individual to which the legal request for personal information refers by registered |
27 | or first-class mail, electronic mail, or other means reasonably calculated to be effective: |
28 | (A) A copy of the legal request and a notice that informs the individual of the nature of the |
29 | inquiry with reasonable specificity; |
30 | (B) That personal information related to the individual was supplied to, or requested by, a |
31 | requesting entity and the date on which the supplying or request took place; |
32 | (C) An inventory of the personal information requested or supplied; |
33 | (D) Whether the information was in possession of the covered entity, an affiliate data |
34 | processor, or a third party they contracted with; and |
| LC003582 - Page 24 of 35 |
1 | (E) The identity of the person that sought the legal request from the court, if known. |
2 | (ii) The covered entity shall serve or deliver such notification immediately upon receiving |
3 | a legal request asking for or compelling the disclosure of personal information; provided that, a |
4 | covered entity may apply to the court for an order delaying notification. The court may issue the |
5 | order if notification of the existence of the legal request will result in danger to the life or physical |
6 | safety of an individual, flight from prosecution, destruction of or tampering with evidence, or |
7 | intimidation of potential witnesses, or otherwise seriously jeopardize an investigation or unduly |
8 | delay a trial. |
9 | (A) If granted, such an order shall not exceed thirty (30) days, but may be renewed up to |
10 | thirty (30) days at a time while grounds for the delay persist. |
11 | (B) The disclosure is a routine disclosure required by state or federal law; provided that, |
12 | the individual received notice of such requirement in accordance with §§ 42-162-4 and 42-162-6. |
13 | 42-162-18. Transparency. |
14 | (a) Covered entities that receive any form of a legal request for disclosure of personal |
15 | information pursuant to this chapter shall: |
16 | (1) Provide the commission and the general public a bi-monthly report containing the |
17 | following aggregate information related to legal requests received by the covered entity, their |
18 | affiliated data processors, and any third parties they contracted with: |
19 | (i) The total number of legal requests, disaggregated by type of requests such as warrants, |
20 | court orders, and subpoenas; |
21 | (ii) The number of legal requests that resulted in the covered entity disclosing personal |
22 | information; |
23 | (iii) The number of legal requests that did not result in the covered entity disclosing |
24 | personal information, including the reasons why the information was not disclosed; |
25 | (iv) The type of personal information sought in the legal requests received by the covered |
26 | entity; |
27 | (v) The total number of legal requests seeking the disclosure of location or biometric |
28 | information; |
29 | (vi) The number of legal requests that resulted in the covered entity disclosing location or |
30 | biometric information; |
31 | (vii) The number of legal requests that did not result in the covered entity disclosing |
32 | location or biometric information, including the reasons for such disclosure; and |
33 | (viii) The nature of the proceedings from which the requests were ordered and whether it |
34 | was a government entity or a private person seeking the legal request; |
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1 | (2) Take all reasonable measures and engage in all legal actions available to ensure that the |
2 | legal request is valid under applicable laws and statutes; and |
3 | (3) Require their affiliate data processors and third parties they contracted with to have |
4 | similar practices and standards. |
5 | (b) Covered entities that are required to disclose personal information as a matter of law |
6 | pursuant to § 42-162-17(b) shall provide the commission and the general public a bi-monthly report |
7 | containing the following aggregate information: |
8 | (1) The total number of times that they share information, disaggregated by: |
9 | (i) Applicable law or statute that mandates such disclosure; |
10 | (ii) Government entity or private party that received the information; and |
11 | (iii) The type of personal information disclosed. |
12 | (2) The total number of individuals affected by such disclosures, disaggregated by race, |
13 | ethnicity, gender, and age, if such demographics are known. |
14 | (c) The commission shall: |
15 | (1) Establish a standardized reporting form to comply with this section; |
16 | (2) Determine whether a more concise presentation of the reporting is appropriate and, if |
17 | so, shall establish a standardized version of such form; |
18 | (3) Dedicate a section of its website to making the reports available to the general public; |
19 | and |
20 | (4) Promulgate regulations specifying additional requirements for purposes of advancing |
21 | information related to the sharing of information with the government. |
22 | 42-162-19. Non-applicability. |
23 | This chapter shall not apply to: |
24 | (1) Personal information captured from a patient by a health care provider or health care |
25 | facility or biometric information collected, processed, used, or stored exclusively for medical |
26 | education or research, public health or epidemiological purposes, health care treatment, insurance, |
27 | payment, or operations under the federal Health Insurance Portability and Accountability Act of |
28 | 1996, or to X-ray, roentgen process, computed tomography, MRI, PET scan, mammography, or |
29 | other image or film of the human anatomy used exclusively to diagnose, prognose, or treat an illness |
30 | or other medical condition or to further validate scientific testing or screening; |
31 | (2) Individuals sharing their personal contact information such as email addresses with |
32 | other individuals in the workplace, or other social, political, or similar settings where the purpose |
33 | of the information is to facilitate communication among such individuals; provided that, this |
34 | chapter shall cover any processing of such contact information beyond interpersonal |
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1 | communication. |
2 | (3) Covered entities' publication of entity-based member or employee contact information |
3 | where such publication is intended to allow members of the public to contact such member or |
4 | employee in the ordinary course of the entity's operations. |
5 | 42-162-20. Relationship with other laws. |
6 | (a) The provisions of this chapter shall supersede local or state laws, regulations, and |
7 | ordinances, except when such local or state laws, regulations, or ordinances provide stronger |
8 | privacy protections for individuals. |
9 | (b) This chapter covers businesses that are subject to federal laws concerning the |
10 | processing of individuals' personal information to the extent that this chapter provides stronger |
11 | privacy protections for individuals than those federal laws; and those federal laws do not explicitly |
12 | preempt state laws. |
13 | (c) Nothing in this chapter shall diminish any individual's rights or obligations under any |
14 | other applicable law. |
15 | 42-162-21. The Rhode Island information privacy commission. |
16 | (a) There shall be a Rhode Island information privacy commission to have general |
17 | supervision and sole regulatory and enforcement authority over chapter 162 of title 42. |
18 | (b) The commission shall consist of five (5) commissioners: one of whom shall be |
19 | appointed by the governor; one of whom shall be appointed by the attorney general; one of whom |
20 | shall be appointed by the secretary of state; and two (2) of whom shall be appointed by a majority |
21 | vote of the governor, attorney general and secretary of state, with the advice and consent of the |
22 | senate. The secretary of state shall designate the chair of the commission. The chair shall serve in |
23 | that capacity throughout the term of appointment and until a successor shall be appointed. |
24 | (c) All commissioners must have a background in one or more of the following: |
25 | (1) Information privacy, technology, and the law; |
26 | (2) Social implications of artificial intelligence and digital equity; |
27 | (3) Data science and data surveillance; or |
28 | (4) Digital services, digital markets, and consumer protection of digital data. |
29 | (d) Prior to appointment to the commission, a background investigation shall be conducted |
30 | into the financial stability, integrity, and responsibility of a candidate, including the candidate’s |
31 | reputation for good character and honesty. |
32 | (e) Each commissioner shall be a resident of the state within ninety (90) days of |
33 | appointment and, while serving on the commission, shall not: |
34 | (1) Hold, or be a candidate for, federal, state, or local elected office; |
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1 | (2) Hold an appointed office in a federal, state or local government; or |
2 | (3) Serve as an official in a political party. Not more than three (3) commissioners shall be |
3 | from the same political party. |
4 | (f) Each commissioner shall serve for a term of five (5) years or until a successor is |
5 | appointed and shall be eligible for reappointment; provided, however, that no commissioner shall |
6 | serve more than ten (10) years. A person appointed to fill a vacancy in the office of a commissioner |
7 | shall be appointed in a like manner and shall serve for only the unexpired term of that |
8 | commissioner. |
9 | (g) The secretary of state, the governor or the attorney general may remove a commissioner |
10 | who was appointed by that appointing authority if the commissioner: |
11 | (1) Is guilty of malfeasance in office; |
12 | (2) Substantially neglects the duties of a commissioner; |
13 | (3) Is unable to discharge the powers and duties of the office; |
14 | (iv) Commits gross misconduct; or |
15 | (v) Is convicted of a felony. |
16 | (h) The secretary of state, the governor and the attorney general may, by majority vote, |
17 | remove a commissioner who was appointed by a majority vote of the secretary of state, the governor |
18 | and the attorney general if the commissioner: |
19 | (1) Is guilty of malfeasance in office; |
20 | (2) Substantially neglects the duties of a commissioner; |
21 | (3) Is unable to discharge the powers and duties of the commissioner’s office; |
22 | (4) Commits gross misconduct; or |
23 | (5) Is convicted of a felony. |
24 | (i) Before removal, the commissioner shall be provided with a written statement of the |
25 | reason for removal and an opportunity to be heard. |
26 | (j) Three (3) commissioners shall constitute a quorum, and the affirmative vote of three (3) |
27 | commissioners shall be required for an action of the commission. The chair or three (3) members |
28 | of the commission may call a meeting; provided, however, that notice of all meetings shall be given |
29 | to each commissioner and to other persons who request such notice. The commission shall adopt |
30 | regulations establishing procedures, which may include electronic communications, by which a |
31 | request to receive notice shall be made and the method by which timely notice may be given. |
32 | (k) Commissioners shall receive reasonable salaries. Commissioners shall devote their full |
33 | time and attention to the duties of their office. |
34 | (l) The commission shall annually elect one of its members to serve as secretary and one |
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1 | of its members to serve as treasurer. The secretary shall keep a record of the proceedings of the |
2 | commission and shall be the custodian and keeper of the records of all books, documents, and |
3 | papers filed by the commission and of its minute book. The secretary shall cause copies to be made |
4 | of all minutes and other records and documents of the commission and shall certify that such copies |
5 | are true copies, and all persons dealing with the commission may rely upon such certification. |
6 | (m) The chair shall have and exercise supervision and control over all the affairs of the |
7 | commission. The chair shall preside at all hearings at which the chair is present and shall designate |
8 | a commissioner to act as chair in the chair's absence. To promote efficiency in administration, the |
9 | chair shall make such division or re-division of the work of the commission among the |
10 | commissioners as the chair deems expedient. |
11 | (n) The commissioners shall, if so directed by the chair, participate in the hearing and |
12 | decision of any matter before the commission; provided, however, that at least two (2) |
13 | commissioners shall participate in the hearing and decision of matters other than those of formal or |
14 | administrative character coming before the commission; and provided further, that any such matter |
15 | may be heard, examined and investigated by an employee of the commission designated and |
16 | assigned by the chair, with the concurrence of one other commissioner. Such employee shall make |
17 | a report in writing relative to the hearing, examination, and investigation of every such matter to |
18 | the commission for its decision. For the purposes of hearing, examining, and investigating any such |
19 | matter, such employee shall have all of the powers conferred upon a commissioner by this section. |
20 | For each hearing, the concurrence of a majority of the commissioners participating in the decision |
21 | shall be necessary. |
22 | (o) The commission shall appoint an executive director. The executive director shall serve |
23 | at the pleasure of the commission, shall receive such salary as may be determined by the |
24 | commission, and shall devote full-time and attention to the duties of the office. The executive |
25 | director shall be a person with skill and experience in management, shall be the executive and |
26 | administrative head of the commission, and shall be responsible for administering and enforcing |
27 | the law relative to the commission and each administrative unit thereof. The executive director shall |
28 | appoint and employ a chief financial and accounting officer and may, subject to the approval of the |
29 | commission, employ other employees, consultants, agents, and advisors, including legal counsel, |
30 | and shall attend meetings of the commission. The chief financial and accounting officer of the |
31 | commission shall be in charge of its funds, books of account, and accounting records. No funds |
32 | shall be transferred by the commission without the approval of the commission and the signatures |
33 | of the chief financial and accounting officer and the treasurer of the commission. In the case of an |
34 | absence or vacancy in the office of the executive director or in the case of disability, as determined |
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1 | by the commission, the commission may designate an acting executive director to serve as |
2 | executive director until the vacancy is filled or the absence or disability ceases. The acting executive |
3 | director shall have all of the powers and duties of the executive director and shall have similar |
4 | qualifications as the executive director. |
5 | (p) Chapter 14 of title 36 shall apply to the commissioners and to employees of the |
6 | commission; provided, however, that the commission shall establish a code of ethics for all |
7 | members and employees that shall be more restrictive than chapter 14 of title 36. A copy of the |
8 | code shall be filed with the state ethics commission. The code shall include provisions reasonably |
9 | necessary to carry out the purposes of this section and any other laws subject to the jurisdiction of |
10 | the commission including, but not limited to: |
11 | (1) Prohibiting the receipt of gifts by commissioners and employees from any entity subject |
12 | to the jurisdiction of the commission; |
13 | (2) Prohibiting the participation by commissioners and employees in a particular matter as |
14 | defined in § 36-14-5 that affects the financial interest of a relative within the third degree of |
15 | consanguinity or a person with whom such commissioner or employee has a significant relationship |
16 | as defined in the code; and |
17 | (3) Providing for recusal of a commissioner in a decision due to a potential conflict of |
18 | interest. |
19 | (q) The commission shall, for the purposes of compliance with state finance law, operate |
20 | as a state agency and shall be subject to the laws applicable to agencies under the control of the |
21 | governor; provided, however, that the comptroller may identify any additional instructions or |
22 | actions necessary for the commission to manage fiscal operations in the state accounting system |
23 | and meet statewide and other governmental accounting and audit standards. The commission shall |
24 | properly classify the commission's operating and capital expenditures and shall not include any |
25 | salaries of employees in the commission's capital expenditures. Unless otherwise exempted by law |
26 | or the applicable central service agency, the commission shall participate in any other available |
27 | state central services including, but not limited to, the state payroll system pursuant to chapter 13.1 |
28 | of title 6, and may purchase other goods and services provided by state agencies in accordance with |
29 | comptroller provisions. The comptroller may chargeback the commission for the transition and |
30 | ongoing costs for participation in the state accounting and payroll systems and may retain and |
31 | expend such costs without further appropriation for the purposes of this section. |
32 | 42-162-22. Funding. |
33 | It is hereby appropriated, out of any money in the treasury not otherwise appropriated for |
34 | the fiscal year 2022-2023, the sum of seven hundred fifty thousand dollars ($750,000) for the Rhode |
| LC003582 - Page 30 of 35 |
1 | Island information privacy commission for the supervision, regulation and enforcement over |
2 | chapter 162 of title 42. The state controller is hereby authorized and directed to draw his/her orders |
3 | upon the general treasurer for the payment of said sum, or so much thereof as may be from time to |
4 | time required, upon receipt by him/her of properly authenticated vouchers. |
5 | 42-162-23. Workplace surveillance. |
6 | (a) For the purposes of this section, the following words shall have the following meanings |
7 | unless the context clearly requires otherwise: |
8 | (1) "Electronic monitoring" means the collection of information concerning employee |
9 | activities, communications, actions, biometrics, or behaviors by electronic means. |
10 | (2) "Employment-related decision" means any decision made by the employer that affects |
11 | wages, benefits, hours, work schedule, performance evaluation, hiring, discipline, promotion, |
12 | termination, job content, productivity requirements, workplace health and safety, or any other terms |
13 | and conditions of employment. |
14 | (3) "Facial recognition technology" shall have the meaning an automated or semi- |
15 | automated process that assists in identifying or verifying an individual or capturing information |
16 | about an individual based on the physical characteristics of an individual's face, head or body, that |
17 | uses characteristics of an individual's face, head or body to infer emotion, associations, activities |
18 | or the location of an individual. |
19 | (4) "Information" also referred to as "employee information," or "data" means information |
20 | that identifies, relates to, describes, is reasonably capable of being associated with, or could |
21 | reasonably be linked, directly or indirectly, with a particular employee, regardless of how the |
22 | information is collected, inferred, or obtained. |
23 | (5) "Vendor" means a business engaged in a contract with an employer to provide services, |
24 | software, or technology that collects, stores, analyzes, or interprets employee information. |
25 | (b) An employer, or vendor acting on behalf of an employer, shall not electronically |
26 | monitor an employee unless: |
27 | (1) The electronic monitoring only purpose is to; |
28 | (i) Enable tasks that are necessary to accomplish essential job functions; |
29 | (ii) Monitor production processes or quality; |
30 | (iii) Comply with employment, labor, or other relevant laws; |
31 | (iv) Protect the safety and security of employees; or |
32 | (v) Carry on other purposes as determined by the department of labor standards; and |
33 | (2) The specific form of electronic monitoring is: |
34 | (i) Necessary to accomplish the allowable purpose; |
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1 | (ii) The least invasive means that could reasonably be used to accomplish the allowable |
2 | purpose; |
3 | (iii) Limited to the smallest number of employees; and |
4 | (iv) Collecting the least amount of information necessary to accomplish the purposes |
5 | mentioned in subsection (b)(1) of this section. |
6 | (c) Notwithstanding § 42-162-23(b), the following practices shall be prohibited: |
7 | (1) Use of electronic monitoring that either directly or indirectly harms an employee's |
8 | physical health, mental health, personal safety or wellbeing; |
9 | (2) Monitoring of employees who are off-duty and not performing work-related tasks; |
10 | (3) Audio-visual monitoring of bathrooms or other similarly private areas including locker |
11 | rooms and changing areas; |
12 | (4) Audio-visual monitoring of break rooms, lounges, and other social spaces, except to |
13 | investigate specific illegal activity; |
14 | (5) Use of facial recognition technology other than for the purpose of verifying the identity |
15 | of an employee for security purposes; and |
16 | (6) Any other forms of electronic monitoring such as may be prohibited by the department |
17 | of labor standards. |
18 | (d) Employers shall not require employees to install applications on personal or mobile |
19 | devices that collect employee information or require employees to wear data-collecting devices, |
20 | including those that are incorporated into items of clothing or personal accessories, unless the |
21 | electronic monitoring is necessary to accomplish essential job functions and is narrowly limited to |
22 | only the activities and times necessary to accomplish essential job functions. |
23 | (e) Information resulting from electronic monitoring shall be accessed only by authorized |
24 | agents and used only for the purpose and duration for which notice was given in accordance with |
25 | subsection (f) of this section. |
26 | (f) Employers shall provide employees with notice that electronic monitoring will occur |
27 | prior to conducting each specific form of electronic monitoring. The notice must, at a minimum, |
28 | include a description of; |
29 | (1) The purpose that the specific form of electronic monitoring is intended to accomplish, |
30 | as specified in § 42-162-23(b); |
31 | (2) The specific activities, locations, communications, and job roles that will be |
32 | electronically monitored; |
33 | (3) The technologies used to conduct the specific form of electronic monitoring; |
34 | (4) The vendors or other third parties that the information collected through electronic |
| LC003582 - Page 32 of 35 |
1 | monitoring will be disclosed or transferred to, including the name of the vendor and the purpose |
2 | for the data transfer; |
3 | (5) The organizational positions that are authorized to access the information collected |
4 | through the specific form of electronic monitoring, and under what conditions; and |
5 | (6) The dates, times, and frequency that electronic monitoring will occur. |
6 | (g) Employers shall provide employees with notice that electronic monitoring will occur |
7 | prior to conducting each specific form of electronic monitoring and the notice must, at a minimum, |
8 | include the names of any vendors conducting electronic monitoring on the employer’s behalf. |
9 | (h) Employers shall provide employees with notice that electronic monitoring will occur |
10 | prior to conducting each specific form of electronic monitoring and the notice must, at a minimum, |
11 | include an explanation of: |
12 | (1) The reasons why the specific form of electronic monitoring is necessary to accomplish |
13 | the purpose; and |
14 | (2) How the specific monitoring practice is the least invasive means available to |
15 | accomplish the allowable monitoring purpose. |
16 | (i) The notice provided for in § 42-162-23(f) shall be clear and conspicuous and provide |
17 | the employee with actual notice of electronic monitoring activities. |
18 | (1) A notice that provides electronic monitoring "may" take place or that the employer |
19 | "reserves the right" to monitor shall not suffice. |
20 | (j) An employer who engages in random or periodic electronic monitoring of employees |
21 | will inform the affected employees of the specific events which are being monitored at the time the |
22 | monitoring takes place with a notice that shall be clear and conspicuous. |
23 | (1) Notwithstanding the previous subsection, notice of random or periodic electronic |
24 | monitoring may be given after electronic monitoring has occurred only if necessary to preserve the |
25 | integrity of an investigation of wrongdoing or protect the immediate safety of employees, |
26 | customers, or the public. |
27 | (k) An employer shall only use employee information collected through electronic |
28 | monitoring to accomplish its purpose, unless the information documents illegal activity. |
29 | (l) When making a hiring or employment-related decision using information collected |
30 | through electronic monitoring, an employer shall: |
31 | (1) Not make the decision based solely on such information; |
32 | (2) Give the affected employee access to the data and provide an opportunity to correct or |
33 | explain it; |
34 | (3) Corroborate such information by other means, such as independent documentation by |
| LC003582 - Page 33 of 35 |
1 | supervisors or managers, or by consultation with other employees; and |
2 | (4) Document and communicate to affected employees the basis for the corroboration prior |
3 | to the decision going into effect. |
4 | (m) Section 42-162-23(k) shall not apply to those cases when electronic monitoring data |
5 | provides evidence of illegal activity. |
6 | 42-162-24. Severability. |
7 | Should any provision of this chapter or part hereof be held under any circumstances in any |
8 | jurisdiction to be invalid or unenforceable, such invalidity or unenforceability shall not affect the |
9 | validity or enforceability of any other provision of this or other parts of this chapter. |
10 | SECTION 2. This act shall take effect on January 1, 2023, except for the appropriation |
11 | contained in § 42-162-22 which shall take effect upon passage. |
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EXPLANATION | |
BY THE LEGISLATIVE COUNCIL | |
OF | |
A N A C T | |
RELATING TO STATE AFFAIRS AND GOVERNMENT – RHODE ISLAND | |
INFORMATION PRIVACY ACT | |
*** | |
1 | This act would create the Rhode Island information privacy act. This act would allow an |
2 | individual to access and learn what personal information about the individual has been gathered |
3 | and stored by covered entities that conduct business in Rhode Island. The act would also establish |
4 | the Rhode Island information privacy commission to oversee and enforce the provisions of the |
5 | Rhode Island information privacy act. |
6 | This act would take effect on January 1, 2023, except for the appropriation contained in § |
7 | 42-162-22, which would take effect upon passage. |
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LC003582 | |
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