Visiting Nurse v. Bullen ( 1996 )


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    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 95-1849

    VISITING NURSE ASSOCIATION OF NORTH SHORE, INC., ET AL.,

    Plaintiffs, Appellees,

    v.

    BRUCE M. BULLEN, ET AL.,

    Defendants, Appellants.

    ____________________

    No. 95-1999

    VISITING NURSE ASSOCIATION OF NORTH SHORE, INC., ET AL.,

    Plaintiffs, Appellants,

    v.

    BRUCE M. BULLEN, ET AL.,

    Defendants, Appellees.

    ____________________


    APPEALS FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Nancy Gertner, U.S. District Judge] ___________________

    ____________________

    Cyr, Boudin and Stahl,

    Circuit Judges. ______________

    ____________________























    Douglas H. Wilkins, Assistant Attorney General, with whom Scott __________________ _____
    Harshbarger, Attorney General, and William L. Pardee, Assistant ___________ ___________________
    Attorney General, were on brief for appellants Bullen, et al.
    Richard P. Ward, with whom John H. Mason, Susan T. Nicholson and _______________ _____________ __________________
    Ropes & Gray were on brief for appellees Visiting Nurse Association of ____________
    North Shore, Inc., et al.


    ____________________

    August 22, 1996
    ____________________






































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    CYR, Circuit Judge. Nine Massachusetts health care CYR, Circuit Judge. _____________

    providers initiated this civil rights action under 42 U.S.C.

    1983, alleging substantive and procedural violations of the

    Medicaid Act, see 42 U.S.C. 1396a(a)(30) ("Act"), by the named ___

    defendants, various officials of the Massachusetts Medicaid

    program. The district court granted partial summary judgment for

    plaintiffs, declaring defendants in noncompliance with certain

    procedural requirements relating to the establishment of

    reimbursement rates for health care services provided to Medicaid

    recipients. Defendants appealed. Plaintiffs cross-appealed a

    district court ruling dismissing their remaining claims. We

    reverse the district court judgment against defendants and

    dismiss the cross-appeal.

    I I

    BACKGROUND BACKGROUND __________

    Medicaid is a joint federal-state program designed to

    afford medical benefits to low-income individuals. See 42 U.S.C. ___

    1396 et seq.; Wilder v. Virginia Hosp. Ass'n, 496 U.S. 498, 502 __ ___ ______ ____________________

    (1990). A State which elects to participate in Medicaid is

    eligible to receive federal funds only if its State Plan is

    approved by the Federal Health Care Financing Administration

    ("HCFA").1 Among the sixty-two criteria for HCFA approval, see ___
    ____________________

    1Authority to administer the Medicaid program and promulgate
    implementing regulations has been delegated to HCFA, a
    constituent agency of the Department of Health and Human
    Services. See 42 U.S.C. 1302; 49 Fed. Reg. 35,247, 35,249 ___
    (1984); see also Elizabeth Blackwell Health Ctr. for Women v. ___ ____ ___________________________________________
    Knoll, 61 F.3d 170, 174 (3d Cir. 1995), cert. denied, 116 S. Ct. _____ _____ ______
    816 (1996).

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    42 U.S.C. 1396a(a)(1)-(62), is the so-called "equal access"

    clause:

    [A State plan for medical assistance must]
    provide such methods and procedures relating _______ ___ __________
    to the utilization of, and the payment for,
    care and services available under the plan
    (including but not limited to utilization re-
    view plans as provided for in section 1396b
    (i)(4) of this title) as may be necessary to
    safeguard against unnecessary utilization of
    such care and services and to assure that __ ______ ____
    payments are consistent with efficiency, ________
    economy, and quality of care and are suffi- ___ ______
    cient to enlist enough providers so that care _____ __ ______ ______ _________ __ ____ ____
    and services are available under the plan at ___ ________ ___ _________ _____ ___ ____ __
    least to the extent that such care and ser- _____ __ ___ ______ ____ ____ ____ ___ ____
    vices are available to the general population _____ ___ _________ __ ___ _______ __________
    in the geographic area. __ ___ __________ ____

    Id. 1396a(a)(30) (emphasis added); 42 C.F.R. 447.201(b) ("The ___

    plan must describe the policy and the methods to be used in

    setting payment rates for each type of service . . . .").

    Massachusetts establishes its reimbursement rates

    through the Massachusetts Rate Setting Commission, with the

    approval of the Division of Medical Assistance of the Massachu-

    setts Executive Office of Health and Human Services ("DMA"). See ___

    Mass. Gen. L. ch. 6A, 32, 36. Before 1991, Massachusetts

    used a "cost-based" methodology for setting reimbursement rates,

    laconically described in its approved plan as "fixed negotiated

    fee schedules." Ostensibly, the term "negotiated" connoted an

    intent to calculate a different rate for each individual health ____

    care provider, based on its reported costs for delivering five

    different categories of medical services (skilled nursing,

    occupational, physical and speech therapy, and home-health-aide

    services) during the preceding fiscal year, adjusted for such

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    uniform factors as inflation and allowing for incentive caps

    (e.g., to promote efficiency). See Mass. Regs. Code tit. 114.3, ___

    3.00.

    In 1991, however, Massachusetts decided to convert its

    rate-setting methodology to a so-called "class rate" system.

    Rather than basing reimbursement rates on the individual health

    care provider's idiosyncratic costs for the previous year, DMA

    decided to propose a single, fixed reimbursement rate for each of

    the five medical services categories, supra, which would be _____

    applied across-the-board to all in-state health care providers,

    without regard to their individual costs. During the transition

    to the new "class rate" system, a series of "interim" and "phase-

    in" rates were to be utilized.

    Under the Medicaid Act and regulations, a State must

    meet two conditions before instituting "material" or "signifi-

    cant" changes in its Medicaid program:2 i.e., (1) submit a Plan

    amendment to HCFA for approval, "describ[ing]" the methods used ____________

    to set rates under 42 U.S.C. 1396a(a)(30), see 42 C.F.R. ___

    447.201(b) (emphasis added), and (2) provide public notice

    "describing the proposed change[s]" and "[e]xplain[ing] why [it] __________

    is changing its methods and standards," see id. 447.205(c)(1), ___ ___

    (3) (emphasis added).

    During a thirty-month period beginning in June 1991,

    Massachusetts issued public notices relating to the proposed
    ____________________

    2We accept, arguendo, defendants' concession that the ________
    conversion to a "class rate" system constituted a "significant"
    and "material" change.

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    change, and published a series of regulations, setting forth the

    interim, phase-in, and final class rates in "bottom-line" dollar

    figures for each of the five medical service categories, without

    detailing the particular formula and factors used to arrive at

    the proposed "bottom-line" rate figures. Thereafter, DMA

    conducted a series of public meetings to explain the proposed

    changes to health care providers, including appellees, and other

    interested parties. On January 1, 1994, the final class rates

    took effect, superseding the interim and phase-in rates.

    Plaintiffs soon filed this section 1983 action,

    alleging that the DMA commissioner and its members had violated

    various substantive and procedural requirements prescribed by 42

    U.S.C. 1396a(a)(30).3 By way of procedural violations, the

    complaint alleged that the pre-January 1994 public notices issued

    by defendants contained legally deficient "descriptions" of the

    proposed new methods and procedures, by failing to disclose the

    formula defendants used to arrive at either the interim, phase- _______

    in, or final class rates. The complaint further alleged that

    ____________________

    3As substantive violations, plaintiffs first alleged that
    the State had adopted its new methodology solely for the
    impermissible purpose of limiting its financial outlays under the
    Medicaid program, contrary to 42 U.S.C. 1396a. See Amisub ___ ______
    (PSL), Inc. v. Colorado Dep't of Social Servs., 879 F.2d 789, ___________ _________________________________
    800-01 (10th Cir. 1989), cert. denied, 496 U.S. 935 (1990). _____ ______
    Second, plaintiffs alleged that the class rates arrived at under
    the new fixed-rate methodology were so arbitrary and unreasonably
    low that many health care providers would have no financial
    incentive to participate in the Massachusetts Medicaid program,
    thereby ensuring that "equal access" to needed medical services
    could not be provided to all low-income individuals in all
    geographical areas at the same level as the general population.
    See 42 U.S.C. 1396a(a)(30). ___

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    defendants failed to file an appropriate amendment to the

    Massachusetts Plan, "describing" the "material" changes in its

    reimbursement rate methodology. Plaintiffs moved for partial

    summary judgment on their two procedural claims.

    Massachusetts filed a Plan amendment ("Amendment 003")

    with the HCFA regional office in March 1994.4 The amendment

    indicated the proposed change from a cost-based to a "class rate"

    system by deleting a single word from the original Plan descrip-

    tion: "fixed negotiated fee schedules" now became simply "fixed

    fee schedules." Although a Plan amendment is deemed approved

    unless HCFA acts within ninety days of its filing, see 42 C.F.R. ___

    430.16(a), HCFA tolled the ninety-day period by advising

    defendants that additional information was needed i.e., "the ____

    methodology or formula for the calculation of the fixed rate"

    to enable a final approval determination. See id. ___ ___

    430.16(a)(ii).

    Prior to the time DMA responded to the HCFA request for

    information, and before any final HCFA decision on Amendment 003,

    the district court granted partial summary judgment for

    plaintiffs on their procedural claims, ruling that neither

    Amendment 003 nor defendants' pre-January 1994 public notices

    provided adequate detail on the proposed "methods and procedures"

    for calculating final class rates. See Visiting Nurse Ass'n of ___ ________________________

    ____________________

    4Retroactive effect to "the first day of the quarter,"
    viz., January 1, 1994 is accorded any "approvable plan [amend- ___ __________
    ment] . . . submitted to [the HCFA] regional office." 42 C.F.R.
    430.20(b) (emphasis added); see also id. 447.256(c). ___ ____ ___

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    N. Shore, Inc. v. Bullen, 866 F. Supp. 1444, 1459-62 (D. Mass. _______________ ______

    1994). The court concluded that these procedural lapses rendered

    the final class rates invalid, thus obviating any need to

    determine whether the proposed new methodology or rates

    reasonably ensured compliance with the substantive requirement

    "equal access" to medical care imposed by section 1396(a)(30).

    Id. at 1462. ___

    Without conceding any procedural lapse, defendants

    issued another public notice on September 23, 1994, containing a

    detailed description of the methodology used to calculate the

    "new" final class rates, which were to take effect on November 1,

    1994. In December 1994, defendants filed a second Plan amendment

    with HCFA ("Amendment 023"), which provided the same level of

    detail as the September 24, 1994 public notice. Defendants then

    asked the district court to declare them in compliance with the

    procedural requirements of section 1396a(a)(30). Then, in April

    1995, while Amendments 003 and 023 remained pending, HCFA was

    notified that defendants wished to revise and update Amendment

    003 to include the detailed information contained in Amendment

    023. Defendants thus sought to make any HCFA Plan-amendment

    approval fully retroactive to January 1, 1994, rather than

    October 1994. See supra note 4. Three days later, HCFA approved ___ _____

    Amendment 003, as revised, retroactive to January 1, 1994.

    The district court entered final judgment, based on

    four essential holdings. Visiting Nurse Ass'n of N. Shore, Inc. _______________________________________

    v. Bullen, No. 94-10123-NG (D. Mass. June 30, 1995). First, the ______


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    court reaffirmed its August 1994 declaratory ruling that defen-

    dants' initial implementation of the final class rates on January

    1, 1994 was invalid for failure to comply with the public notice

    and Plan amendment requirements of section 1396a(a)(30), and

    directed entry of its declaratory judgment nunc pro tunc (i.e., ____ ___ ____

    effective September 30, 1994), the date on which its initial stay

    of the judgment expired. Id., slip op. at 2. Second, defendants ___

    were found to have been in compliance with the section

    1396a(a)(30) procedural requirements as of November 1, 1994,

    after providing detailed descriptions of the new rate-setting

    methodology in their September 1994 public notice and in

    Amendment 023. Id. Third, the district court ruled that ___

    defendants had never violated the section 1396a(a)(30) public

    notice and Plan amendment requirements relating to their pre-

    January 1994 imposition of the interim and phase-in rates,

    presumably because these transitional rates, unlike the final

    class rates, did not effect a "material" or "significant" change

    from pre-1991 "cost-based" methods and procedures. Id. at 2-3. ___

    Finally, the district court dismissed plaintiffs' remaining

    claims alleging that the new final class rates violated the

    substantive requirements of the section 1396a(a)(30) "equal

    access" clause since its decision invalidating the rates due

    to procedural defects rendered further decision on the alleged

    substantive violations unnecessary. Id. at 3. ___

    II II

    DISCUSSION DISCUSSION __________


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    A. Standards of Review A. Standards of Review ___________________

    We review the grant of summary judgment de novo, to __ ____

    determine whether the pleadings, depositions, answers to

    interrogatories, admissions on file, and affidavits, as well as

    any reasonable inferences therefrom, when viewed in the light

    most favorable to the nonmoving party, demonstrate that there is

    no genuine issue as to any material fact and that the moving

    party is entitled to judgment as a matter of law. See McCabe v. ___ ______

    Life-Line Ambulance Serv., Inc., 77 F.3d 540, 544 (1st Cir.), _________________________________

    petition for cert. filed, 64 U.S.L.W. 3808 (U.S. May 29, 1996) ________ ___ _____ _____

    (No. 95-1929).

    Normally, we accord plenary review to the district

    court's statutory and regulatory interpretations. See Nowd v. ___ ____

    Rubin, 76 F.3d 25, 26 n.1 (1st Cir. 1996). When a federal agency _____

    charged with administering a particular program interprets its

    own enabling statute, however, we engage in a two-tiered review:

    "First, always, is the question whether Con-
    gress has directly spoken to the precise
    question at issue. If the intent of Congress
    is clear, that is the end of the matter; for
    the court, as well as the agency, must give
    effect to the unambiguously expressed intent
    of Congress. If, however, the court deter-
    mines Congress has not directly addressed the
    precise question at issue, the court does not
    simply impose its own construction on the
    statute, as would be necessary in the absence __ _____ __ _________ __ ___ _______
    of an administrative interpretation. Rather, __ __ ______________ ______________
    if the statute is silent or ambiguous with
    respect to a specific issue, the question for
    the court is whether the agency's answer is
    based on a permissible construction of the
    statute."

    Heno v. FDIC, 20 F.3d 1204, 1208-09 (1st Cir. 1994) (quoting ____ ____


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    Chevron U.S.A., Inc. v. Natural Resources Defense Council, Inc., _____________________ _______________________________________

    467 U.S. 837, 842-43 (1984)) (emphasis added) ("Chevron"). _______

    As a federal agency charged with administering the

    Medicaid program, see supra note 1, HCFA plainly is entitled to ___ _____

    Chevron deference in its interpretations of the Act and the _______

    implementing regulations. See North Carolina v. United States ___ ______________ _____________

    Dep't of Health and Human Servs., 999 F.2d 767, 769-70 (4th Cir. _________________________________

    1993) (noting that an HCFA interpretation of its own regulations

    is entitled to "considerable deference"); Folden v. Washington ______ __________

    State Dep't of Social and Health Servs., 981 F.2d 1054, 1058 (9th _______________________________________

    Cir. 1992); Missouri Dep't of Social Servs. v. Sullivan, 957 F.2d _______________________________ ________

    542, 544 (8th Cir. 1992). Indeed, when a federal agency has

    promulgated and published a regulation pursuant to its own

    enabling statute, we review its interpretation of that regulation __________

    under a standard even "more deferential . . . than that afforded

    under Chevron" to the agency's interpretation of the Statute. _______

    National Med. Enters. v. Shalala, 43 F.3d 691, 697 (D.C. Cir. ______________________ _______

    1995); e.g. Indiana Ass'n of Homes for the Aging, Inc. v. Indiana ___ __________________________________________ _______

    Office of Medicaid Policy and Planning, 60 F.3d 262, 266 (7th ________________________________________

    Cir. 1995) (applying heightened deference to HCFA regulations);

    see Thomas Jefferson Univ. v. Shalala, 114 S. Ct. 2381, 2386 ___ _______________________ _______

    (1994) (deferring to HHS interpretation of Medicare regulation);

    Stinson v. United States, 508 U.S. 36, 44 (1993); Johnson v. _______ ______________ _______

    Watts Regulator Co., 63 F.3d 1129, 1134-35 (1st Cir. 1995); see ___________________ ___

    also Consarc Corp. v. United States Treasury Dep't, 71 F.3d 909, ____ _____________ _____________________________

    915 (D.C. Cir. 1995). "[P]rovided an agency's interpretation of


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    its own regulation does not violate the Constitution or a federal

    statute, it must be given `controlling weight unless it is

    plainly erroneous or inconsistent with the regulation.'" _______ _________

    Stinson, 508 U.S. at 44 (citation omitted) (emphasis added); see _______ ___

    Loma Linda Univ. v. Schweiker, 705 F.2d 1123, 1126 (9th Cir. _________________ _________

    1983) (noting that an HCFA interpretation of its own regulation

    is entitled to deference "if it is within the range of reasonable

    meanings the words permit").

    B. Defendants' Appeal B. Defendants' Appeal __________________

    Defendants appeal from that portion of the final

    judgment declaring them in violation of the section 1396a(a)(30)

    procedural requirements during the period January 1 through

    October 31, 1994. Defendants claim, alternatively, that (1) the

    procedural requirements imposed by section 1396a(a)(30) are not

    enforceable by health care providers, (2) even if enforceable,

    however, defendants violated neither procedural requirement cited

    by plaintiffs, (3) the district court abused its discretion in

    August 1994 by ruling that defendants had violated section

    1396a(a)(30), rather than staying the district court proceedings

    while Amendment 003 remained pending before HCFA, or (4) the

    declaratory judgment entered by the district court granted retro-

    spective relief barred by the Eleventh Amendment, see U.S. Const. ___

    amend. XI.

    1. Standing: Enforceable Rights 1. Standing: Enforceable Rights ____________________________

    Section 1983 enables a private action against a State

    official to vindicate federal statutory rights enforceable by the


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    plaintiff. See 42 U.S.C. 1983; Albiston v. Maine Comm'r of ___ ________ _______________

    Human Servs., 7 F.3d 258, 261 (1st Cir. 1993). Whether section ____________

    1396a(a)(30) creates "enforceable" procedural and substantive

    rights

    turns on "whether [it] was intend[ed] to
    benefit the putative plaintiff[s]." If so,
    the provision creates an enforceable right
    unless it reflects merely a "congressional
    preference" for a certain kind of conduct
    rather than a binding obligation on the
    governmental unit, or unless the interest the
    plaintiff asserts is "'too vague and
    amorphous'" such that it is "'beyond the
    competence of the judiciary to enforce.'"

    Wilder, 496 U.S. at 509 (citations omitted).5 ______

    a) Substantive Rights6 a) Substantive Rights __________________

    Section 1396a(a)(30) arguably describes two distinct

    substantive "equal access" rights: the right to require a State

    medicaid program to use reimbursement "methods and procedures"

    ____________________

    5In January 1996, Congress enacted 42 U.S.C. 1320a-2 (a
    Medicaid Act provision will "not [] be deemed unenforceable
    because of its inclusion in a section . . . requiring a State
    plan or specifying the required contents of a State plan"), which
    overturned, in part, the Supreme Court decision in Suter v. _____
    Artist M., 503 U.S. 347 (1992). Before 1320a-2 was enacted, __________
    some commentators had suggested that Suter's rationale supplanted _____
    the traditional Wilder test. But see, e.g., Albiston, 7 F.3d at ______ ___ ___ ____ ________
    262-63 (holding that Suter did not overturn Wilder, but merely _____ ______
    superimposed an additional threshold test). Consequently, we
    assume that Congress intended that 1320a-2 serve to resurrect
    the Wilder test, with no Suter overlay. ______ _____

    6We address the enforceability of the 1396a(a)(30)
    substantive requirements as a threshold issue because the
    district court judgment dismissed plaintiffs' substantive claims,
    albeit on other grounds. See infra Section II.B.2(b). Even ___ _____
    though we find those other grounds infirm, we may uphold the
    district court ruling on any ground supported by the record. See ___
    Four Corners Serv. Station, Inc. v. Mobil Oil Corp., 51 F.3d 306, ________________________________ _______________
    314 (1st Cir. 1995).

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    which (1) will "safeguard against unnecessary utilization of such

    [medical] care and services and [] assure that payments are

    consistent with efficiency, economy, and quality of care," and

    (2) are "sufficient to enlist enough providers so that care and

    services are available under the plan at least to the extent that

    such care and services are available to the general population in

    the geographic area." 42 U.S.C. 1396a(a)(30).

    In Wilder, the Supreme Court held that comparable ______

    provisions of section 1396a(a)(13) ("the Boren Amendment") did

    create enforceable substantive rights for institutional health

    care providers. See Wilder, 496 U.S. at 520. Section ___ ______

    1396a(a)(13) mandates that the State Plan provide:

    (A) for payment . . . of the hospital servic- ________
    es, nursing facility services, and services _________________
    in an intermediate care facility for the ____________ ____ ________
    mentally retarded provided under the plan
    through the use of rates (determined in ___ __ _____
    accordance with methods and standards
    developed by the State . . .) which the State
    finds, and makes assurances satisfactory to _____ _____ __________
    the Secretary, are reasonable and adequate to __________ ________
    meet the costs which must be incurred by
    efficiently and economically operated
    facilities in order to provide care and
    services in conformity with applicable State
    and Federal laws, regulations, and quality
    and safety standards and to assure that
    individuals eligible for medical assistance
    have reasonable access . . . to inpatient __________ ______
    hospital services of adequate quality.

    42 U.S.C. 1396a(a)(13) (emphasis added).

    Every court that has considered whether the Wilder ______

    rationale likewise applies to the second "equal access" right

    described in section 1396(a)(30) has determined that health care

    providers were intended beneficiaries under both the Boren

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    Amendment and section 1396(a)(30), since health care providers,

    as payees, obviously are affected by substantive changes in State

    reimbursement schemes under Medicaid. See, e.g., Arkansas Med. ___ ____ _____________

    Soc'y, Inc. v. Reynolds, 6 F.3d 519, 528 (8th Cir. 1993); Sobky ___________ ________ _____

    v. Smoley, 855 F. Supp. 1123, 1137-38 (E.D. Cal. 1994); Oklahoma ______ ________

    Nursing Home Ass'n v. Demps, 792 F. Supp. 721, 727 (W.D. Okla. __________________ _____

    1992); Illinois Hosp. Ass'n v. Edgar, 765 F. Supp. 1343, 1348-49 ____________________ _____

    (N.D. Ill. 1991). Without citation to supporting authority,

    defendants nonetheless insist that section 1396(a)(30) and the

    Boren Amendment are distinguishable.

    i) Intended Beneficiaries i) Intended Beneficiaries ______________________

    The Wilder Court reasoned that because the Boren ______

    Amendment "establishes a system for reimbursement of providers

    and is phrased in terms benefiting health care providers . . .

    [in that] [i]t requires a state plan to provide for `payment . .

    . of the hospital services, nursing facility services, and

    services in an intermediate care facility for the mentally

    retarded provided under the plan,'" "[t]here can be little doubt

    that health care providers are the intended beneficiaries."

    Wilder, 496 U.S. at 510.7 Defendants argue, however, that unlike ______

    the Boren Amendment, section 1396a(a)(30) does not list specific

    ____________________

    7Although Medicaid recipients also are intended
    beneficiaries under the "equal access" requirement as it affects
    the availability of their medical care, it is well settled that
    Congress may create more than one class of intended beneficiary.
    See Freestone v. Cowan, 68 F.3d 1141, 1150 n.10 (9th Cir. 1995) ___ _________ _____
    (citing Golden State Transit Corp. v. City of Los Angeles, 493 ___________________________ ____________________
    U.S. 103, 110 (1989); Carelli v. Howser, 923 F.2d 1208, 1211 (6th _______ ______
    Cir. 1991)).

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    categories of health care providers (e.g., hospitals, nursing

    facilit[ies], and intermediate care facilit[ies]), hence it

    cannot be said that Congress focused on providers as section _______

    1396a(a)(30) beneficiaries. We are not persuaded.

    The Wilder Court first observed that the statute "is ______

    phrased in terms benefiting health care providers," and leaves _________

    "little doubt that health care providers are the intended benefi- _________

    ciaries," then proceeded to illustrate how the plain language of __________

    the Boren Amendment "establishes a system for reimbursement of

    providers" through its listing of specific types of health care

    providers. Nowhere did the Court indicate that the more general

    term "providers" would not suffice, however, or that a listing of

    specific types of providers is a sine qua non without which a ____ ___ ___

    congressional intent to benefit health care providers could not

    be inferred. As long as the two statutory provisions evince a

    congressional concern for preserving financial incentives to

    providers by ensuring adequate reimbursement payment levels

    providers are appropriately considered intended beneficiaries.

    See Arkansas Med. Soc'y, Inc., 6 F.3d at 526. ___ _________________________

    (ii) "Preference" or "Binding Obligation" (ii) "Preference" or "Binding Obligation" __________________________________

    Defendants argue that section 1396a(a)(30) articulates

    a more discretionary "access" standard than that in the Boren

    Amendment, and that the additional discretion thus conferred

    belies a congressional intendment to lay down any "binding

    obligations" on the State in section 1396(a)(30). See Wilder, ___ ______

    496 U.S. at 509. As defendants see it, the Boren Amendment (1)


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    requires the State not only to meet the ultimate benchmark of

    providing comparable "access" to medical care, but also the

    preliminary obligation to make "findings" and "assurances,"

    satisfactory to the Secretary, that State reimbursement rates can

    ensure reasonable and adequate access, as well as comply with

    "State and Federal laws, regulations, and quality and safety

    standards," and (2) limits the potential reimbursement methods

    and procedures that the State can employ to the institution of

    "rates," rather than permitting more innovative or ad hoc __ ___

    reimbursement systems that might be less rate-dependent. We find

    no indication that the Wilder holding turned on these consider- ______

    ations.

    First and foremost, the Boren Amendment and section

    1396a(a)(30) are prefaced with the same mandatory language

    "[a] State plan for medical assistance must . . . [p]rovide," 42 ____

    U.S.C. 1396a(a); see Edgar, 765 F. Supp. at 1349 and the ___ _____

    "reasonable" and "equal" access requirements upon which federal

    Medicaid funding depends, see 42 U.S.C. 1396c, are conditions ___

    precedent to an approvable State Plan. See Wilder, 496 U.S. at ___ ______

    511 (contrasting with statute in Pennhurst State Sch. & Hosp. v. ____________________________

    Halderman, 451 U.S. 1, 24 (1981), where hortatory language did _________

    not make "compliance with the provision a condition of receipt of

    federal funding"); Arkansas Med. Soc'y, Inc., 6 F.3d at 526; see __________________________ ___

    also supra note 5 (discussing newly enacted 42 U.S.C. 1320a-2). ____ _____

    Thus, the mandatory language in section 1396a(a) defies fair

    characterization as a mere "congressional preference."


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    Second, the majority opinion in Wilder mentioned the ______

    Boren Amendment requirement that there be "findings" and

    "assurances" merely to rebut a suggestion in the Wilder dissent ______

    that Congress had intended to accord plaintiffs standing to

    assert a judicial challenge to a State's default on these two

    procedural obligations, but not to challenge a substantive

    default (i.e., a State's adoption of rates that do not ensure

    "reasonable access," or that are not "adequate" to compensate

    "efficient[]" provider costs). See Wilder, 496 U.S. at 514 ("We ___ ______

    reject that argument because it would render the statutory

    requirements of findings and assurances, and thus the entire

    reimbursement provision, essentially meaningless [since] . . .

    [i]t would make little sense for Congress to require a State to

    make findings without requiring those findings to be correct.").

    The premise that procedural rights normally exist only as aids to

    the enforcement of substantive rights is not interchangeable with

    the proposition that substantive rights cannot exist absent an

    express provision of attendant procedural rights. Thus, the

    majority opinion in Wilder in no sense suggests that the Boren ______

    Amendment's substantive "access" requirement would have been

    found any less mandatory if, like section 1396(a)(30), it had

    contained no explicit procedural requirement of "findings" and

    "assurances."

    iii) Judicial Enforceability iii) Judicial Enforceability _______________________

    Defendants intimate, however, that absent any

    requirement of "findings" and "assurances," section 1396a(a)(30)


    18












    is less amenable to effective judicial enforcement than the Boren

    Amendment. As we have explained, however, substantive

    requirements are not "impermissibly vague simply because [they]

    require[] judicial inquiry into `reasonableness,'" or "adequate

    rates," as long as "the action or purpose whose `reasonableness'

    [or `adequacy'] is commanded has been clearly delineated and is

    susceptible of judicial ascertainment." Albiston, 7 F.3d at 267 ________

    (collecting cases).

    The Boren Amendment and section 1396a(a)(30) contain

    nearly identical substantive requirements that the rates, or

    methods and procedures, used to determine reimbursements to

    health care providers ultimately ensure reasonable, adequate or

    equal "access" to medical care, which the Supreme Court in Wilder ______

    decided did not constitute a standard too vague or amorphous for ___

    judicial enforcement. See Wilder, 496 U.S. at 515 ("[T]he ___ ______

    statute imposes the concomitant obligation to adopt reasonable

    and adequate rates."). Indeed, the term "equal access," as

    employed in section 1396a(a)(30), arguably provides a more

    concrete standard, objectively measurable against the health care

    access afforded among the general population, whereas the Boren

    Amendment employs the somewhat less objective benchmark:

    "reasonable" access.

    Nor do we discern a material distinction between the

    focus on "methods and procedures" required by section 1396(a)(30)

    and the focus on "rates" required by the Boren Amendment. In

    either instance, the required determination as to whether the


    19












    State methods or procedures, or the resultant rates of reimburse-

    ment, are adequate to ensure "access" is neither more nor less

    daunting a judicial task. See id. at 519 (noting that although ___ __

    States have great flexibility in choosing among a broad "range of

    reasonable rates," "the statute and regulation[s] set out factors

    which a State must consider in adopting its rates," so that

    "there certainly are some rates outside that range that no State

    could ever find to be reasonable and adequate under the Act.").8

    For the foregoing reasons, therefore, we conclude that

    plaintiffs possess standing to enforce the substantive section

    1396a(a)(30) requirement that the State adopt "methods and

    procedures" which will afford "equal access" to medical care as

    defined in section 1396a(a)(30).

    b) Procedural Rights b) Procedural Rights _________________

    Plaintiffs further contend that section 1396a(a)(30),

    as interpreted and applied through the HCFA implementing regula-

    tions, establishes two coincident procedural requirements

    designed to ensure that health care providers may enforce the

    ____________________

    8We reject the implicit suggestion by defendants that the
    absence of a "findings" and "assurances" requirement under
    1396a(a)(30) makes meaningful judicial review wholly
    impracticable in that the courts have no factual bases for
    ascertaining whether the State's chosen "methods and procedures"
    satisfy the substantive "equal access" requirement. Setting
    aside the question whether the 1396a(a)(30) implementing
    regulations afford any procedural rights that ensure disclosure,
    see infra Section II.B.2(a), plaintiffs may adduce evidence ___ _____
    concerning the inadequacy of the State's selected methods and
    procedures, or flaws in the State's substantive decisionmaking
    processes, in any number of ways; for example, with information
    acquired by or from the State during public hearings, in proposed
    Plan changes, or in the published State regulations.

    20












    substantive right of "equal access": the requirements that the

    State file a Plan amendment and a public notice "describing" its

    proposed new "methods and procedures" in some detail. Since we

    conclude that defendants have not violated these procedural

    requirements, see infra Section II.B.2(a), we need not reach the ___ _____

    enforceability issue.9

    2. Claimed Violations of Enforceable Rights 2. Claimed Violations of Enforceable Rights ________________________________________

    a) Procedural Rights a) Procedural Rights _________________






























    ____________________

    9We likewise reserve judgment as to whether, and what
    extent, procedural rights prescribed only in the implementing
    regulations, rather than directly by statute, may be enforced in
    a 1983 action. See, e.g., Oklahoma Nursing Home Ass'n, 792 F. ___ ____ ___________________________
    Supp. at 725-26.

    21












    i) Plan Amendment 003 i) Plan Amendment 003 __________________

    Prior to the time Amendment 003 was submitted to HCFA

    in March 1994, the approved Massachusetts Plan described its

    "methods and procedures" for reimbursing providers as "fixed

    negotiated fee schedules." Amendment 003 purportedly altered the

    "methods and procedures" to be employed under the new class rate

    system simply by deleting the word "negotiated," with the result

    that the new rates were to be based on "fixed fee schedules."

    Plaintiffs argue that the cryptic phrase "fixed fee

    schedules" is patently deficient to describe the proposed change

    in the Massachusetts reimbursement "methods and procedures," and

    that under whatever conceivable definition the phrase might be

    given, it utterly failed to notify HCFA or plaintiffs that

    defendants planned to change from a cost-based system to a class

    rate system, or to explain with any precision the methodology or

    formula defendants used to arrive at the bottom-line

    reimbursement figures announced in the DMA regulation. See Mass. ___

    Regs. Code tit. 114.3, 3.04(4). We do not agree.

    First, HCFA itself implicitly determined that the

    phrase "fixed fee schedules" met the section 1396a(a)(30)

    mandate, otherwise it could not have approved Amendment 003

    retroactive to January 1, 1994. See supra note 4. In order to ___________ __ _______ _ ____ ___ _____

    be entitled to retroactive effect to January 1, 1994, Plan

    amendment 003 had to have been "approvable" as submitted in March __ _________ __ _____

    1994, when it contained merely the three-word description ____

    presently challenged by plaintiffs as insufficient to satisfy


    22












    section 1396a(a)(30).10 We must therefore review the implicit

    interpretation given section 1396a(a)(30) by HCFA in this case.

    At its initial stage, Chevron review accords no _______

    deference to the interpretation an agency gives to its enabling

    statute. See supra Section II.A. If the reviewing court indepen- ___ _____

    dently determines that the intent of the statute is clear, as

    disclosed in its plain language and design, the statutory

    language is to be given full effect. See Grunbeck v. Dime Sav. ___ ________ __________

    Bank of N.Y., FSB, 74 F.3d 331, 340-41 (1st Cir. 1996); ____________________

    Strickland v. Commissioner of Me. Dep't of Human Servs., 48 F.3d __________ __________________________________________

    12, 16-17 (1st Cir.), cert. denied, 116 S. Ct. 145 (1995). _____ ______

    Section 1396a(a)(30) mandates that a State Plan provide

    "methods and procedures relating to . . . the payment for []

    [medical] care and services." Plaintiffs argue that "methods"

    has a plain or acquired meaning that necessitates disclosure of

    the formula the State used to arrive at its proposed bottom-line

    reimbursement figures. Thus, plaintiffs suggest that the

    solitary statutory term "rates" might permit a Plan amendment to

    list only bottom-line figures, cf. 42 U.S.C. 1396a(a)(13), but ___

    that the presence of the term "methods" forecloses such an

    approach. Once again, we are unable to agree.

    ____________________

    10Thus viewed, the HCFA interpretation comports with 42
    C.F.R. 430.16(a)(ii), which empowers HCFA to ask the State for
    any "additional information" the agency needs to conduct its
    "final [approval] determination." On the other hand, if the
    requested "additional information" were a necessary part of the
    initial submission by the State, and hence of its Plan, Amendment
    003 would only have been retroactive to January 1995. See supra ____ ___ _____
    p. 9.

    23












    Even if the distinction suggested by plaintiffs were

    deemed sound, the question would remain: with what degree of

    specificity or detail must a State describe the methodology used

    in its Plan amendment? In this case, for example, although non-

    exhaustive, the terms "cost-based" and "class rates" assuredly

    are to some degree descriptive of the proposed change in

    methodology, particularly among the initiated, viz., health care ___

    providers. Yet we are unable to say that section 1396a(a)(30)

    defines, in plain language, the term "methods and procedures,"

    nor, more importantly, that it prescribes the level of detail

    with which a Plan must describe "methods and procedures." Unlike

    the Boren Amendment, moreover, section 1396a(a)(30) does not

    require the State to make "findings" and "assurances," a require-

    ment that arguably might be thought to anticipate a somewhat

    greater degree of detail and specificity from a Plan's

    description. As we are unable to discern either a "plain

    language" meaning or design in section 1396a(a)(30) relating to

    "the precise question at issue," Chevron, 467 U.S. at 842 _______

    i.e., the degree of specificity required in a Plan amendment

    description of proposed new "methods and procedures" we next

    turn to defendants' contention that Congress meant to leave this

    matter for determination by HCFA, the administering agency.11

    The second stage in the Chevron analysis counsels "a _______
    ____________________

    11Plaintiffs do not claim that the available legislative
    history provides useful guidance. See Strickland, 48 F.3d at 17 ___ __________
    (stating that reviewing court may "examine the legislative
    history, albeit skeptically, in search of an unmistakable expres-
    sion of congressional intent").

    24












    high degree of respect for the agency's role" in administering

    its enabling statute. See Strickland, 48 F.3d at 17 ("The agency ___ __________

    need not write a rule that serves the statute in the best or most

    logical manner; it need only write a rule that flows rationally

    from a permissible construction of the statute.") see Lamore v. ___ ______

    Ives, 977 F.2d 713, 718 (1st Cir. 1992); accord Caribbean ____ ______ _________

    Petroleum Corp. v. United States EPA, 28 F.3d 232, 234 (1st Cir. _______________ __________________

    1994); Cabral v. INS, 15 F.3d 193, 194 (1st Cir. 1994) (agency ______ ___

    interpretation "is entitled to deference unless arbitrary,

    capricious, or manifestly contrary to the statute"). As a

    general rule, longstanding agency interpretations are entitled to

    greater deference than more recent ones. See Bowen v. American ___ _____ ________

    Hosp. Ass'n, 476 U.S. 610, 646 n. 34 (1986); Mayburg v. Secretary ___________ _______ _________

    of Health and Human Servs., 740 F.2d 100, 106 (1st Cir. 1984). ___________________________

    Further, the more persuasive the rationale for an agency

    interpretation, the more deference it is due, especially if the

    statute administered by the agency involves complex questions

    peculiarly within the agency's acquired, technical, or

    institutional expertise. Bowen, 476 U.S. at 646. _____

    Plaintiffs stress that these HCFA regulations describe

    a State Plan as a "comprehensive written statement," 42 C.F.R. _____________

    430.10 (emphasis added), which must (i) "contain[] all informa-

    tion necessary for HCFA to determine whether the plan [or plan

    amendment] can be approved to serve as a basis for Federal

    financial participation (FFP) in the State program," id., and ___

    (ii) "describe the policy and the methods to be used in setting


    25












    payment rates for each type of service included in the State's

    Medicaid program," id. 447.201. Although these HCFA ___

    regulations are not facially inconsistent with section

    1396a(a)(30), neither do they expressly resolve the ambiguity

    inherent in the statute.

    Contrary to plaintiffs' assertion, the section 430.10

    reference to comprehensiveness accurately describes the State

    Plan, even under the minimalist interpretation given the term

    "description" by defendants and HCFA, since we think one cannot

    rationally contend that a State Plan itself, which must cover no

    less than sixty-two different criteria, see 42 U.S.C. _________ ___

    1396a(a)(1)-(62), is not a "comprehensive" document. For this

    reason and because HCFA's regulations do not prescribe the level

    of specificity and comprehensiveness with which "methods and

    procedures" must be described in a Plan, we must consider the

    implicit interpretation HCFA has given its own regulations.

    Plaintiffs concede that the initial Massachusetts Plan

    approved by HCFA had been in existence for years, yet it

    contained only a bare-bones, four-word description of its

    "methods and procedures." When Massachusetts decided in 1991 to

    effect a material change in its rate-setting system, from a cost-

    based to a class-rate system, it reasonably understood that HCFA

    had interpreted its own implementing regulations to require no

    greater degree of specificity in the Amended Plan's description _______

    of reimbursement rates than that provided in the initial

    Massachusetts Plan, which had gone unchallenged for many years.


    26












    See Bowen, 476 U.S. at 646 n. 34; Lynch v. Dawson, 820 F.2d 1014, ___ _____ _____ ______

    1020 (9th Cir. 1987) (agency's interpretation of regulation is

    accorded various degrees of deference based on duration and

    consistency of agency position).

    Plaintiffs correctly contend, of course, that this

    longstanding HCFA interpretation does not foreclose a federal

    court from determining whether the interpretation an agency has

    given its own regulations rationally comports with the statutory

    and regulatory language. Nevertheless, their argument seriously

    devalues the heightened Chevron judicial deference reaffirmed in _______

    Stinson, which requires the reviewing court to decide whether the _______

    agency's interpretation of its own regulation is "plainly _______

    erroneous or inconsistent with the regulation." Stinson, 508 _________ _______

    U.S. at 45 (emphasis added).

    Since sections 430.10 and 447.201, like section

    1396a(a)(30) itself, do not preclude the interpretation

    implicitly given them by HCFA, we may not second-guess its

    reasonable policy judgment. See Bowen, 476 U.S. at 646; ___ _____

    Massachusetts Fed'n of Nursing Homes v. Commonwealth of Mass., ______________________________________ ______________________

    772 F. Supp. 31, 39 (D. Mass. 1991) ("The HCFA certainly has more

    expertise in this complicated area of the law than the courts.").

    And because plaintiffs have not chosen to join HCFA as a party

    defendant, see 42 U.S.C. 1396c, we can only infer the rationale ___

    for HCFA's longstanding practice from its prior approval of

    Amendment 003 and its predecessor. Moreover, we find readily

    apparent a sound policy reason for the HCFA's action.


    27












    The Medicaid Act designedly affords States considerable

    flexibility in administering their respective Medicaid programs,

    allowing each to devise and modify its Plan in response to

    prevailing local medical and financial conditions. Once the

    sixty-two statutory minima in section 1396a(a) are met, each

    participating State has "wide discretion in administering its

    local program." See, e.g., Erie County Geriatric Ctr. v. ___ ____ _____________________________

    Sullivan, 952 F.2d 71, 73-74 (3d Cir. 1991); Lewis v. Hegstrom, ________ _____ ________

    767 F.2d 1371, 1373 (9th Cir. 1985). HCFA's regulatory

    interpretation permitting terse descriptions of "methods and

    procedures," such as "cost-based" or "class rate" arguably

    serves this salutary goal as well. Mandating the inclusion of a

    detailed formula in the State Plan itself could require a State

    to file a new Plan amendment each time it needed to alter any ___

    significant integer in its formula, thereby imposing a cumbersome

    administrative burden on the State as well as HCFA. Thus,

    whatever one might think of its wisdom, we cannot say that the

    implicit policy choice made by HCFA was precluded, either by the

    statute or HCFA regulations. See Massachusetts Fed'n of Nursing ___ ______________________________

    Homes, 772 F. Supp. at 39 (noting that HCFA approval of Plan, _____

    unless inconsistent with the statute or regulation, implicitly

    establishes definition of comprehensiveness of the term "methods

    and procedures" as a matter of law).

    Nor do we think the agency decision approving

    defendants' description of the new class rate system as one

    utilizing "fixed fee schedules" was impermissible, given the


    28












    original Massachusetts Plan's longstanding description of its

    provider-cost-based system as a "negotiated fixed fee schedule."

    HCFA fairly and sensibly reasoned that deletion of the term

    "negotiated" signified clearly enough that individual providers

    no longer would be entitled to reimbursement rates set according

    to their idiosyncratic cost experiences, but would be confined

    for the most part to across-the-board "fixed" rates established

    for services rendered in each of the five covered health service

    classifications. Accordingly, as the longstanding interpretation

    reflected in the HCFA regulations was not plainly erroneous,

    defendants were entitled to place reasonable reliance on HCFA's

    interpretation in preparing and submitting their March 1994 Plan

    Amendment 003. Cf. Sekula v. FDIC, 39 F.3d 448, 457 (3d Cir. ___ ______ ____

    1994) ("[A] person `proceeding in good faith should not be

    subjected to a trap brought about by an interpretation of a

    regulation hidden in the bosom of the agency' . . . . [b]ut there

    is no `trap' when the agency's interpretation of a regulation is

    public and long-standing.") (citation omitted).

    ii) Public Notice Under Section 447.205 ii) Public Notice Under Section 447.205 ___________________________________

    Plaintiffs next contend that the HCFA regulations

    mandate that the public notices issued by the State relating to

    reimbursement rate changes likewise contain a complete

    description of the proposed change in methodology. Section

    447.205 provides, in pertinent part:

    (a) When notice is required. Except as
    specified in paragraph (b) of this section,
    the agency must provide public notice of any
    significant proposed change in its methods

    29












    and standards for setting payment rates for
    services. . . .

    . . . .

    (c) Content of notice. The notice must--

    (1) Describe the proposed change
    in methods and standards;
    (2) Give an estimate of any expected
    increase or decrease in annual ag-
    gregate expenditures;
    (3) Explain why the agency is changing
    its methods and standards;
    (4) Identify a local agency in each
    county (such as the social services
    agency or health department) where
    copies of the proposed changes are
    available for public review;
    (5) Give an address where written com-
    ments may be sent and reviewed by
    the public; and
    (6) If there are public hearings, give
    the location, date and time for
    hearings or tell how this informa-
    tion may be obtained.

    42 C.F.R. 447.205.

    Defendants respond that section 447.205 was complied

    with because the representative public notice hereinafter quoted

    explained "why DMA is changing its methods and standards," i.e.,

    "to implement a class rate system by eliminating many of the

    idiosyncratic adjustments that existed previously [under the

    cost-based rate setting system]":

    The proposed amendments do not change
    the existing methodology from July 1, 1992 -
    December 31, 1992 except for a provision to
    allow some eligible providers to request rate
    reviews based on their cost report, with
    inflation equal to 1.0. Effective January 1,
    1992, the proposed amendments change the
    structure of the reimbursement methodology to
    a class rate system: establishing new _____ ____ ______
    criteria for administrative adjustments;
    eliminating, among other things, costs beyond

    30












    agency control, management initiatives,
    program innovation rate adjustments, and
    appeals sections of the regulation. It is
    estimated that the proposed amendments will
    increase program expenditures by the
    Department of Public Welfare by approximately
    $335,000. (Emphasis added.)

    For the reasons discussed in Section II.B.2.(a)(i),

    supra, we believe the public notices issued by defendants need _____

    not have "describ[ed]" the proposed changes in greater detail

    than that provided in Plan Amendment 003. Absent a reliable

    indication to the contrary, we must assume that HCFA construes

    the term "describe" in section 447.205(c)(1) as it interprets the

    same term in 42 C.F.R. 447.201 (providing that Plan amendment

    "must describe the policy and methods to be used in setting

    payment rates for each type of service included in the state's

    Medicaid program"). Cf. Gustafson v. Alloyd Co., 115 S. Ct. ___ _________ ___________

    1061, 1067 (1995) (noting presumption that a word or phrase used

    more than once in a statute is intended to have the same

    meaning); United States v. Rhode Island Insurers' Insolvency _____________ ___________________________________

    Fund, 80 F.3d 616, 622 n.4 (1st Cir. 1996).12 ____

    Plaintiffs complain that interested parties cannot know

    whether proposed changes in methodology threaten their

    substantive rights under section 1396a(a)(30) unless the public

    ____________________

    12The only case remotely on point, see Methodist Hosps. v. ___ ________________
    Indiana Family and Social Servs., 860 F. Supp. 1309, 1326-28 __________________________________
    (N.D. Ind. 1994), does not undercut HCFA's interpretation.
    Although the notice involved in that case contained greater
    detail than these notices, the court found the notice adequate,
    not inadequate. Consequently, the case is not particularly
    instructive as to how much less detail might have been considered
    permissible.

    31












    notice is sufficiently informative. As their name suggests,

    however, "notice" provisions are neither invariably nor primarily

    designed to afford exhaustive disclosure, but to alert interested

    parties that their substantive rights may be affected in a

    forthcoming public proceeding. See Mississippi Hosp. Ass'n v. ___ ________________________

    Heckler, 701 F.2d 511, 520 (5th Cir. 1983) (noting that notice is _______

    designed to "outline[] the substance of the plan in sufficient

    detail to allow interested parties to decide how and whether to

    seek more information on the plan's particular aspects"); see ___

    also 42 C.F.R. 447.205(c)(4), (6) (mandating the provision of ____

    information to allow interested parties to initiate follow-up

    after 447.205 notice). Accordingly, HCFA might reasonably

    anticipate that the State would provide more detailed

    information, relating to its methodology, at the public hearings,

    especially since it is in the State's interest to respond to

    reasonable requests for further information at the public

    hearings, if for no other reason than to forfend a future section

    1983 action by disgruntled health care providers. See supra note ___ _____

    8 (describing potential discovery burdens facing the State in

    1983 action). Thus, HCFA's interpretation cannot be

    characterized as either plainly erroneous or inconsistent with

    the Medicaid statute.13
    ____________________

    13Since the public notices complied with 447.205, we need
    not determine whether plaintiffs acquired actual notice during ______
    the two and a half years of public consultative hearings and
    meetings, or whether any such actual notice might excuse the
    alleged procedural default under 447.205. See North Carolina ___ ______________
    Dep't of Human Resources, 999 F.2d at 771 (finding that actual _________________________
    notice did not cure procedural default).

    32












    Since defendants violated neither procedural

    requirement established in section 1396a(a)(30), we do not reach

    defendants' two remaining arguments i.e., whether the district

    court erred in refusing to stay its partial summary judgment

    while Amendment 003 remained pending before HCFA, and whether the

    district court's declaratory judgment constituted retrospective

    relief barred by the Eleventh Amendment.14
    ____________________

    14Plaintiffs urge us to affirm the district court on another
    ground. See Four Corners Serv. Station, Inc., 51 F.3d at 314. ___ _________________________________
    Before implementing the final class rates in January 1994,
    defendants failed to consult with the medical care advisory
    committee (MCAC), appointed by the Massachusetts Medicaid
    director to represent, inter alios, consumer groups, Medicaid _____ _____
    recipients, and health care providers specializing in low-income
    medical services. See 42 U.S.C. 1396a(a)(4); 42 C.F.R. ___
    431.12(e). We decline plaintiffs' request.
    The alleged MCAC violation was first raised in the amended
    complaint filed in September 1994. The State subsequently recon-
    vened a MCAC, with which it consulted regarding the final rates.
    The 431.12(e) case law suggests that States should undertake
    their MCAC consultations as early in the Plan amendment process
    as practicable, preferably before any final decision on proposed
    changes to their reimbursement methodologies. See Morabito v. ___ ________
    Blum, 528 F. Supp. 252, 264 (S.D.N.Y. 1981) (collecting cases). ____
    Nonetheless, the Medicaid Act contains no express requirement
    that a State establish a MCAC, see 42 U.S.C. 1396a(a)(4), an ___
    entity entirely the creature of the HCFA implementing
    regulations. See Morabito, 528 F. Supp. at 264. Further, the ___ ________
    HCFA regulations prescribe no time bar for the recommended MCAC
    consultation. Thus, HCFA might reasonably conclude that (1) a
    State's failure to consult an MCAC, while not the preferred
    practice, does not constitute a sufficient ground for
    disapproving a Plan amendment in all circumstances, or (2) MCAC
    consultation is sufficient as along as it occurs before final
    HCFA approval of the Plan amendment. Given that the MCAC is a
    purely advisory body, with no veto power over the State's
    decisions, see Burgess v. Affleck, 683 F.2d 596, 600 (1st Cir. ___ _______ _______
    1982) (upholding district court's refusal to enjoin
    implementation of rates for alleged MCAC violation which was not
    "egregious"); cf. Mississippi Hosp. Ass'n, Inc., 701 F.2d at 523 ___ _____________________________
    (noting court's reluctance to "read more into [ 431.12(e)] than
    is clearly expressed," where "the federal agency whose own
    regulation is in question has approved the state's actions"),
    this interpretation is neither plainly erroneous nor inconsistent

    33












    b) Substantive Right to "Equal Access" b) Substantive Right to "Equal Access" ___________________________________

    The district court first dismissed plaintiffs' substan-

    tive claims on the mistaken ground that plaintiffs had stipulated

    to their dismissal. Upon reconsideration, the court again

    dismissed the substantive claims, apparently because its decision

    on the procedural claims had rendered their resolution

    unnecessary. Insofar as the district court meant to suggest that

    defendants' procedural violations from January to October, 1994,

    were sufficient in themselves to invalidate the final class rates

    during the January-October 1994 period, without regard to whether

    the rates violated plaintiffs' substantive "equal access" rights,

    its dismissal order cannot stand. See supra Section II.B.2(a). ___ _____

    Since we have concluded that the State was in full procedural

    compliance, plaintiffs must now adduce evidence that (1) the

    methods and procedures adopted by the State were inadequate to

    ensure "equal access," or (2) the bottom-line reimbursement

    figures derived under that methodology were too low to retain

    health care providers in the Massachusetts Medicaid program. See ___

    supra note 8. Conversely, if the district court meant to _____

    suggest that judicial resolution of plaintiffs' substantive

    claims was unnecessary because HCFA has already approved

    Amendment 003 retroactive to January 1, 1994, we cannot agree.

    HCFA's approval of the State's proposed methods and procedures

    (i.e., "class rates"), though arguably entitled to the customary

    level of Chevron deference, are not automatically conclusive at _______
    ____________________

    with 1396a(a)(4).

    34












    the summary judgment stage. Further, the as-yet undeveloped

    factual record relating to plaintiffs' substantive claims does

    not reveal HCFA's rationale for approving the substantive terms

    of defendants' Plan amendment, or whether the final class rates

    have the actual effect of creating "unequal access" to medical

    services.










































    35












    C. Plaintiffs' Cross-Appeal C. Plaintiffs' Cross-Appeal ________________________

    Plaintiffs cross-appeal from the district court rulings

    that (1) defendants were in compliance with the section

    1396a(a)(30) procedural requirements as of November 1, 1994, and

    (2) defendants did not violate the procedural requirements by

    instituting their interim and phase-in rates. Although the

    district court did not reveal the rationale for the latter

    holding, we presume that it found that the transitional rate

    methodologies had not effected a "material" or "significant"

    change from the pre-1991 methodologies. In light of our previous

    holding, see supra Section II.B., we deny plaintiffs' cross- ___ _____

    appeal on both fronts.

    First, if defendants complied with the putative proce-

    dural requirements in filing Amendment 003 and publishing their

    pre-January 1994 notices, it necessarily follows that their

    filing of the more detailed Amendment 023 and their post-October

    1994 notices likewise would comply with the procedural thresholds

    prescribed by the HCFA regulations. Second, since we conclude,

    on the specific facts of this case, that deference is due HCFA's

    conclusion that a "description" of "methods and procedures" is

    adequate as long as it differentiates between a cost-based rate

    and a class rate system, we affirm the district court's finding

    that the interim and phase-in rates, which retained some aspects

    of the pre-1991 "cost-based" or "negotiated" rate systems, did

    not represent a cognizable change in the methods and procedures

    such as necessitated a Plan amendment or public notice.


    36












    III III

    CONCLUSION CONCLUSION __________

    To the extent section 1396a(a)(30) might create the

    purported procedural rights advocated by plaintiffs, Chevron _______

    deference is due HCFA's longstanding statutory and regulative

    interpretation that a State sufficiently describes its cost-based

    system as a "fixed negotiated fee schedule," and its proposed

    class rate system as "fixed fee schedules." We therefore reverse

    the district court ruling that defendants were in violation of

    section 1396a(a)(30)'s procedural requirements from January 1 to

    October 31, 1994. We likewise affirm the two district court

    rulings challenged in plaintiffs' cross-appeal. Finally, because

    summary judgment was improvidently granted on plaintiff's

    procedural claims, the district court ruling that no disposition

    was necessary on plaintiffs' substantive claims was in error.

    Accordingly, the district court judgment for plaintiffs

    on their procedural claims is vacated and the case is remanded to

    the district court for further proceedings on plaintiffs'

    substantive claims, consistent with this opinion.

    SO ORDERED. The parties shall bear their own costs.5 SO ORDERED. The parties shall bear their own costs. __________ ______________________________________














    37






Document Info

Docket Number: 95-1849

Filed Date: 8/22/1996

Precedential Status: Precedential

Modified Date: 9/21/2015

Authorities (41)

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Caribbean Petroleum Corporation v. United States ... , 28 F.3d 232 ( 1994 )

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Robert and Jennifer Grunbeck v. The Dime Savings Bank of ... , 74 F.3d 331 ( 1996 )

Floyd v. Heno v. Federal Deposit Insurance Corporation , 20 F.3d 1204 ( 1994 )

Four Corners Service Station, Inc. v. Mobil Oil Corp. , 51 F.3d 306 ( 1995 )

Cabral v. Immigration & Naturalization Service , 15 F.3d 193 ( 1994 )

Albiston v. Maine Commissioner of Human Services , 7 F.3d 258 ( 1993 )

Pens. Plan Guide P 23912p James Johnson v. Watts Regulator ... , 63 F.3d 1129 ( 1995 )

angelina-burgess-therese-kirouac-ian-dowell-janet-ducharme-annie-foote , 683 F.2d 596 ( 1982 )

39-socsecrepser-153-medicare-medicaid-guide-p-40867-athalie-lamore , 977 F.2d 713 ( 1992 )

26-socsecrepser-271-medicaremedicaid-gu-37968-amisub-psl-inc , 879 F.2d 789 ( 1989 )

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Raymond Sekula and L. Kathleen Sekula v. Federal Deposit ... , 39 F.3d 448 ( 1994 )

mississippi-hospital-association-inc-cross-appellees-v-margaret-m , 701 F.2d 511 ( 1983 )

elizabeth-blackwell-health-center-for-women-greater-philadelphia-womens , 61 F.3d 170 ( 1995 )

erie-county-geriatric-center-a-pennsylvania-non-profit-corporation-county , 952 F.2d 71 ( 1991 )

41-socsecrepser-582-medicare-medicaid-guide-p-41538-state-of-north , 999 F.2d 767 ( 1993 )

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