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District of Columbia False
Claims Act
§ 2-308.03.
Claims by District government against contractor
(a)
(1) All claims
by the District government against a contractor
arising under or relating to a contract shall be
decided by the contracting officer who shall
issue a decision in writing, and furnish a copy
of the decision to the contractor.
(2) The decision
shall be supported by reasons and shall inform
the contractor of his or her rights as provided
in this subchapter. Specific findings of fact are
not required, but, if made, shall not be binding
in any subsequent proceeding.
(3) The
authority of this subsection shall not apply to a
claim or dispute for penalties or forfeitures
prescribed by statute or regulation which another
District government agency is specifically
authorized to administer, settle, or determine.
(4) This
subsection shall not authorize the contracting
officer to settle, compromise, pay, or otherwise
adjust any claim involving fraud.
(b) The decision
of the contracting officer shall be final and not
subject to review unless an administrative appeal
or action for judicial review is timely commenced
as authorized by § 2-309.04.
(c) Nothing in
this subchapter shall prohibit the contracting
officer from including a clause in District
government contracts requiring that pending final
decision of an appeal, action, or final
settlement, a contractor shall proceed diligently
with performance of the contract in accordance
with the decision of the contracting officer.
(Feb. 21, 1986, D.C. Law 6-85, § 803, 32 DCR
7396; Apr. 12, 1997, D.C. Law 11-259, § 101(w),
44 DCR 1423.)
§ 2-308.13.
Definitions.
For the purposes
of this subpart, the term:
(1)
"Claim" means any request or demand for
money, property, or services made to any
employee, officer, or agent of the District, or
to any contractor, grantee, or other recipient,
whether under contract or not, if any portion of
the money, property, or services requested or
demanded issued from, or was provided by, the
District, or if the District will reimburse such
contractor, grantee, or other recipient for any
portion of the money or property which is
requested or demanded.
(2) "Fixed
obligation" means an amount due the District
by contract or by law. The term "fixed
obligation" does not include a fine to be
imposed by law until the fine has been assessed.
(3)
(A)
"Knowing" or "knowingly"
means that a person, with respect to information,
does any of the following: (i) Has actual
knowledge of the falsity of the information; (ii)
Acts in deliberate ignorance of the truth or
falsity of the information; or (iii) Acts in
reckless disregard of the truth or falsity of the
information.
(B) Proof of
specific intent to defraud is not required for an
act to be knowing.
(4)
"Person" includes any natural person,
corporation, firm, association, organization,
partnership, business, or trust.
(5)
"Proceeds" means civil penalties as
well as double or treble damages as provided in
§ 1- 1188.14, and criminal fines pursuant to §
1-1181.21. (Feb. 21, 1996, D.C. Law 6-85, § 813,
32 DCR 7396, as added May 8, 1998, D.C. Law
12-104, § 2(g); Apr. 20, 1999, D.C. Law 12-264,
§ 10(a), 46 DCR 2118.)
§ 2-308.14.
False claims liability, treble damages, costs,
and civil penalties; exceptions.
(a) Any person
who commits any of the following acts shall be
liable to the District for 3 times the amount of
damages which the District sustains because of
the act of that person. A person who commits any
of the following acts shall also be liable to the
District for the costs of a civil action brought
to recover penalties or damages, and may be
liable to the District for a civil penalty of not
less than $5,000, and not more than $10,000, for
each false claim for which the person:
(1) Knowingly
presents, or causes to be presented, to an
officer or employee of the District a false claim
for payment or approval;
(2) Knowingly
makes, uses, or causes to be made or used, a
false record or statement to get a false claim
paid or approved by the District;
(3) Conspires to
defraud the District by getting a false claim
allowed or paid by the District;
(4) Has
possession, custody, or control of public
property or money used, or to be used, by the
District and knowingly delivers, or causes to be
delivered, less property than the amount for
which the person receives a certificate or
receipt;
(5) Is
authorized to make or deliver a document
certifying receipt of property used, or to be
used, by the District and knowingly makes or
delivers a document that falsely represents the
property used or to be used;
(6) Knowingly
buys, or receives as a pledge of an obligation or
debt, public property from any person who
lawfully may not sell or pledge the property;
(7) Knowingly
makes or uses, or causes to be made or used, a
false record or statement to conceal, avoid, or
decrease an obligation to pay or transmit money
or property to the District;
(8) Is a
beneficiary of an inadvertent submission of a
false claim to the District, subsequently
discovers the falsity of the claim, and fails to
disclose the false claim to the District; or
(9) Is the
beneficiary of an inadvertent payment or
overpayment by the District of monies not due and
knowingly fails to repay the inadvertent payment
or overpayment to the District.
(b)
Notwithstanding subsection (a) of this section,
the court may assess not more than two times the
amount of damages which the District sustains
because of the act of the person, and there shall
be no civil penalty, if the court finds all of
the following:
(1) The person
committing the violation furnished officials of
the District responsible for investigating false
claims violations with all information known to
that person about the violation within 30 days
after the date on which the person first obtained
the information;
(2) The person
fully cooperated with any investigation by the
District; and
(3) At the time
the person furnished the District with
information about the violation, no criminal
prosecution, civil action, or administrative
action had commenced with respect to the
violation, and the person did not have actual
knowledge of the existence of an investigation
into the violation.
(c) Liability
pursuant to this section shall be joint and
several for any act committed by 2 or more
persons.
(d) This section
shall not apply to the following:
(1) Workers'
compensation claims filed pursuant to Chapter 3
of Title 36;
(2) Unemployment
compensation claims filed pursuant to Chapter 1
of Title 46; and
(3) Claims,
records, or statements made pursuant to those
portions of Title 47 of the District of Columbia
Code that refer or relate to taxation. (Feb. 21,
1986, D.C. Law 6-85, § 814, 32 DCR 7396, as
added May 8, 1998, D.C. Law 12-104, § 2(g), 45
DCR 1687.)
§ 2-308.15.
Corporation counsel investigations and
prosecutions; powers of prosecuting authority;
civil actions by individuals as qui tam
plaintiffs; jurisdiction of courts.
(a) The
Corporation Counsel shall investigate, with such
assistance from other District agencies as may be
required, violations pursuant to § 1-1188.14
involving District funds. If the Corporation
Counsel finds that a person has violated or is
violating the provisions of § 1- 1188.14, the
Corporation Counsel may bring a civil action
against that person in the Superior Court of the
District of Columbia.
(b)
(1) A person may
bring a civil action for a violation of §
1-1188.14 for the person and either for the
District or in the name of the District. The
person bringing the action shall be referred to
as the qui tam plaintiff. Once filed, the action
brought by the qui tam plaintiff may be dismissed
only with the written consent of the court,
taking into account the best interest of the
parties involved and the public disclosure
purposes of this subpart. The Corporation Counsel
shall be served with the notice of proposed
dismissal and shall have the opportunity to be
heard.
(2) A complaint
filed by a qui tam plaintiff pursuant to this
subsection shall be filed in the Superior Court
in camera and may remain under seal for up to 180
days, unless the seal is extended by the court.
No service shall be made on the defendant until
after the complaint is unsealed.
(3) On the same
day as the complaint is filed pursuant to
paragraph (2) of this subsection, the qui tam
plaintiff shall serve the Corporation Counsel by
mail, return receipt requested, with a copy of
the complaint and a written disclosure of
substantially all material evidence and
information the person possesses.
(4) Within 180
days after receiving a complaint alleging
violations involving District funds, the
Corporation Counsel shall do either of the
following:
(A) Notify the
court that he or she intends to proceed with the
action, in which case the seal may be lifted
unless, for good cause shown, the court continues
the seal; or
(B) Notify the
court that he or she declines to take over the
action, in which case the seal shall be lifted
and the qui tam plaintiff shall have the right to
conduct the action.
(5) Upon a
showing of good cause, the Corporation Counsel
may move the court for extensions of the time
during which the complaint remains under seal.
(6) When a qui
tam plaintiff brings an action pursuant to this
subsection, no other person may bring an action
pursuant to this section based on the facts
underlying the pending action.
(c)
(1) No person
may bring an action pursuant to subsection (b) of
this section against a member of the Council of
the District of Columbia ("Council"), a
member of the District judiciary, or an elected
official in the executive branch of the District,
if the action is based on any official act
occurring during his or her term of office.
(2)
(A) No person
may bring an action pursuant to subsection (b) of
this section based upon allegations or
transactions in a criminal, civil, or
administrative proceeding, investigation, or
report, or audit conducted by or at the request
of the Council, the Auditor, the Inspector
General, or other District or federal agency; or
upon allegations or transactions disclosed by the
news media, unless the person bringing the action
is an original source of the information.
(B) For purposes
of subparagraph (A) of this paragraph, the term
"original source" means an individual
who has direct and independent knowledge of the
information on which the allegations are based,
who voluntarily provided the information to the
District before filing an action based on that
information, and whose information provided the
basis or catalyst for the investigation, report,
hearing, audit, or media disclosure which led to
the public disclosure as described in
subparagraph (A) of this paragraph.
(3) No person
may bring an action pursuant to subsection (b) of
this section based upon information learned by
the person in the course of an internal
investigation in preparation for, or in
conjunction with, a voluntary disclosure to the
District or federal government.
(4) No present
or former employee of the District, or any person
who is acting on behalf of or relying on
information provided by that employee, may bring
an action pursuant to subsection (b) of this
section if the employee discovered or obtained
the information on which the action is based
during the course of his or her employment,
unless that employee first in good faith
exhausted internal procedures for reporting and
seeking recovery of such falsely claimed sums
through official channels, including notice to
the Corporation Counsel, and unless the District
failed to act on the information provided within
a reasonable time.
(5) No member or
employee of the Council of the District of
Columbia, the Corporation Counsel's Office, the
Office of the Inspector General, the Office of
the Auditor, the Office of the Chief Financial
Officer, or the Metropolitan Police Department
may bring an action pursuant to subsection (b) of
this section based upon information discovered
during the term of his or her employment.
(6) No person
may bring an action pursuant to this section if
the person has been convicted of a criminal
offense in connection with any false claim that
is the subject of the action.
(7) No person
may sell or otherwise transfer any cause of
action, or interest in any present or future
benefit provided, pursuant to this section.
(d)
(1) If the
District proceeds with the action, it shall have
the primary responsibility for prosecuting the
action. The qui tam plaintiff shall have the
right to continue as a party to the action and to
participate in the action to the extent that the
qui tam plaintiff is able to demonstrate to the
court that such participation would neither be
duplicative of nor interfere with the prosecution
of the action by the Corporation Counsel;
provided, that the qui tam action was proper
pursuant to subsection (c) of this section.
(2)
(A) The District
may dismiss the action for good cause shown.
(B) The District
may settle the action with the defendant,
notwithstanding the objections of the qui tam
plaintiff, if the court determines, after a
hearing providing the qui tam plaintiff an
opportunity to be heard, that the proposed
settlement fairly, adequately, and reasonably
protects the interests of the District under all
of the circumstances.
(e)
(1) If the
District elects not to proceed and the qui tam
action was proper pursuant to subsection (c) of
this section, the qui tam plaintiff shall have
the same right to conduct the action as the
Corporation Counsel would have had if he or she
had chosen to proceed pursuant to subsection (b)
of this section. If the District so requests, the
District shall be served with copies of all
pleadings filed in the action.
(2) Upon timely
application, the court shall permit the District
to intervene in an action with which it had
initially declined to proceed. In the event that
the District is permitted to intervene, it shall
have the primary responsibility for prosecuting
the action as provided in subsection (d)(1) of
this section.
(f)
(1) If the
District proceeds with an action brought by a qui
tam plaintiff pursuant to subsection (b) of this
section, and the qui tam action was proper
pursuant to subsection (c) of this section, the
qui tam plaintiff, subject to paragraphs (3) and
(4) of this subsection, shall receive at least
10%, but not more than 20%, of the proceeds of
the judgment or settlement of the claim, taking
into account the significance of the information,
the role of the qui tam plaintiff in advancing
the litigation, the qui tam plaintiff's attempts
to avoid or resist such activity, and all other
circumstances surrounding the activity, except,
that if the qui tam plaintiff was substantially
involved in the fraudulent activity on which the
action is based, the court may direct that the
plaintiff receive less than 10%. When the
Corporation Counsel conducts the action, 25% of
the proceeds of the judgment or settlement of the
claim shall be paid into the Antifraud Fund
established by § 1-1188.20.
(2) If the
District does not proceed with the action, the
court may award the qui tam plaintiff those sums
from the proceeds it considers appropriate, which
shall be at least 25% but not more than 40%,
taking into account the significance of the
information, the role of the qui tam plaintiff in
advancing the case to litigation, and the scope
of, and response to, the employee's attempts to
report and gain recovery of such falsely claimed
funds through official channels; provided, that
if the qui tam plaintiff was substantially
involved in the fraudulent activity on which the
action is based, the court may award the qui tam
plaintiff less than 25%.
(3) The portion
of the recovery not distributed pursuant to
paragraphs (1) and (2) of this subsection shall
be paid to the District treasury.
(4) If the
District or the qui tam plaintiff prevails in or
settles any action pursuant to subsection (c) of
this section, the qui tam plaintiff shall receive
an amount for reasonable expenses which the court
finds to have been necessarily incurred, plus
reasonable costs and attorneys fees. All
expenses, costs, and fees shall be awarded
against the defendant and under no circumstances
shall they be the responsibility of the District.
(5) If the
District does not proceed with the action and the
qui tam plaintiff conducts the action, the court
may award to the defendant reasonable attorneys
fees and expenses necessarily incurred if the
defendant prevails in the action and the court
finds that the claim of the qui tam plaintiff was
frivolous, vexatious, or brought solely for
purposes of harassment.
(g) In any
action brought pursuant to this section, the
court may stay discovery if the Corporation
Counsel or the United States Attorney's Office
shows that discovery would interfere with an
investigation or a prosecution of a criminal
matter arising out of the same facts, regardless
of whether the Corporation Counsel or the United
States Attorney's Office has pursued the criminal
or civil investigation or proceedings with
reasonable diligence, and any proposed discovery
in the civil action will interfere with the
ongoing criminal or civil investigation or
proceedings. (Feb. 21, 1986, D.C. Law 6-85, §
815, 32 DCR 7396, as added May 8, 1998, D.C. Law
12-104, § 2(g), 45 DCR 1687; Apr. 20, 1999, D.C.
Law 12-264, § 10(b), 46 DCR 2118.)
§ 2-308.16.
Employer interference with employee disclosures;
liability of employer; remedies of employee.
(a) No employer,
including the District of Columbia, shall make,
adopt, or enforce any rule, regulation, or policy
preventing an employee from disclosing
information to a government or law enforcement
agency concerning, or from acting in furtherance
of, a false claims action, including
investigating, initiating, testifying, or
assisting in an action filed or to be filed
pursuant to § 1- 1188.15.
(b) No employer,
including the District of Columbia, shall
discharge, demote, suspend, threaten, harass,
deny promotion to, or in any other manner
discriminate against an employee in the terms and
conditions of employment because of lawful acts
done by the employee on behalf of the employee or
others in disclosing information to a government
or law enforcement agency relating to, or in
furtherance of, a false claims action, including
investigation of, initiation of, or testimony or
assistance in, an action filed or to be filed
pursuant to § 2-308.15.
(c) Any
employer, including the District of Columbia, who
violates subsection (b) of this section shall be
liable for the relief necessary to make the
employee whole, including reinstatement with the
same seniority status that the employee would
have had but for the discrimination, two times
the amount of back pay, interest on the back pay,
compensation for any special damage sustained as
a result of the discrimination, and, where
appropriate (except in the case of the District),
punitive damages. In addition, the defendant
shall be required to pay litigation costs and
reasonable attorneys fees, necessarily incurred.
An employee may bring an action in the Superior
Court for the relief provided in this subsection.
(d) An employee
who is discharged, demoted, suspended, harassed,
denied promotion, or in any other manner
discriminated against in the terms and conditions
of employment by his or her employer, including
the District of Columbia, because of
participation in conduct which directly or
indirectly results in submission of a false claim
being submitted to the District shall be entitled
to the remedies pursuant to subsection (c) of
this section, only if the following is true:
(1) The employee
voluntarily disclosed all relevant information to
a government or law enforcement agency; and
(2) The employee
had been harassed, threatened with termination or
demotion, or otherwise coerced by the employer or
its management into engaging in the activity
giving rise to the false claim. (Feb. 21, 1986,
D.C. Law 2-85, § 816, 32 DCR 7396, as added May
8, 1998, D.C. Law 12-104, § 2(g), 45 DCR 1687;
Apr. 20, 1999, D.C. Law 12-264, § 10(c), 46 DCR
2118.)
§
2-308.17. Limitation of actions; burden of proof.
(a) A civil
action brought pursuant to § 2-308.15 may not be
filed more than 6 years after the date on which
the violation of § 2-308.14 is committed or more
than 3 years after the date when facts material
to the right of action are known or reasonably
should have been known by an official of the
Office of Corporation Counsel, but in no event
more than 9 years after the date on which the
violation is committed, whichever occurs last.
(b) A civil
action brought pursuant to § 2-308.15 may not be
brought for activity prior to April 12, 1997.
(c) In any
action brought pursuant to § 2-308.15, the
District or the qui tam plaintiff shall be
required to prove all essential elements of the
cause of action, including damages, by a
preponderance of the evidence.
(d)
Notwithstanding any other provision of law, a
judgment of guilt in a criminal proceeding
charging false statements or fraud, upon a
verdict after trial or upon a plea of guilty or
nolo contendere, shall estop the defendant from
denying the essential elements of the offense in
any action brought pursuant to § 2-308.15 which
involves the same transaction as in the criminal
proceeding. (Feb. 21, 1986, D.C. Law 6-85, §
817, 32 DCR 7396, as added May 8, 1998, D.C. Law
12-104, § 2(g), 45 DCR 1687; Apr. 20, 1999, D.C.
Law 12-264, § 10(d), 46 DCR 2118.)
§
2-308.18. Remedies pursuant to other laws;
severability of provisions; liberality of article
construction.
The provisions
of this chapter are not exclusive, and the
remedies provided for shall be in addition to any
other remedies provided for in any other law or
available pursuant to common law. (Feb. 21, 1986,
D.C. Law 6-85, § 818, 32 DCR 7396, as added May
8, 1998, D.C. Law 12-104, § 2(g), 45 DCR 1687.)
§ 2-308.19.
Civil investigative demands
(a)
(1) Whenever the
Corporation Counsel has reason to believe that
any person may be in possession, custody, or
control of any documentary material or
information relevant to a false claims law
investigation, the Corporation Counsel may, in
order to determine whether to commence a civil
proceeding pursuant to this chapter, issue in
writing and cause to be served upon such person a
civil investigative demand requiring that such
person do the following:
(A) Produce
documentary material relevant to the false claims
law investigation for inspection and copying;
(B) Answer in
writing written interrogatories with respect to
any documentary material or information relevant
to the false claims law investigation;
(C) Provide oral
testimony concerning any documentary material or
information relevant to the false claims law
investigation; or
(D) Furnish any
combination of such material, answers, or
testimony.
(2) The
Corporation Counsel may delegate to the Principal
Deputy Corporation Counsel the authority, in his
or her absence, to issue civil investigative
demands pursuant to paragraph (1) of this
subsection. The Corporation Counsel may not issue
a civil investigative demand in order to conduct,
or assist in the conducting of, a criminal
investigation.
(b)
(1) Each civil
investigative demand issued pursuant to
subsection (a)(1) of this section shall state the
nature of the conduct constituting the alleged
violation of a false claims law which is under
investigation, and the applicable provision of
law alleged to have been violated.
(2) If such
demand is for the production of documentary
material, the demand shall do the following:
(A) Describe
each class of documentary material to be produced
with such definiteness and certainty as to permit
such material to be fairly identified;
(B) Prescribe a
return date for each such class that will provide
a reasonable period of time within which the
material so demanded may be assembled and made
available for inspection and copying; and
(C) Identify the
false claims law investigator to whom such
material shall be made available.
(3) If such
demand is for answers to written interrogatories,
the demand shall do the following:
(A) Set forth
with specificity the written interrogatories to
be answered;
(B) Prescribe
dates at which time answers to written
interrogatories shall be submitted; and
(C) Identify the
false claims law investigator to whom such
answers shall be submitted.
(4) If such
demand is for the giving of oral testimony, the
demand shall do the following:
(A) Prescribe
the date, time, and place at which oral testimony
shall commence;
(B) Identify a
false claims law investigator who shall conduct
the examination and the custodian to whom the
transcript of such examination shall be
submitted;
(C) Specify that
such attendance and testimony are necessary to
conduct the investigation;
(D) Notify the
person receiving the demand of the right to be
accompanied by an attorney and any other
representative; and
(E) Describe the
general purpose for which the demand is being
issued and the general nature of the testimony,
including the primary areas of inquiry, which
will be taken pursuant to the demand.
(5) The date
prescribed for the commencement of oral testimony
pursuant to a civil investigative demand shall be
a date that is not less than 7 days after the
date on which the demand is received, unless the
Corporation Counsel determines that exceptional
circumstances are present that warrant the
commencement of such testimony within a shorter
period of time.
(6) The
Corporation Counsel shall not authorize, pursuant
to subsection (a)(1) of this section, issuance of
more than one civil investigative demand for oral
testimony by the same person unless the person
requests otherwise or unless the Corporation
Counsel, after investigation, notifies that
person in writing that an additional demand for
oral testimony is necessary.
(c) A civil
investigative demand may not require the
production of any documentary material, the
submission of any answers to written
interrogatories, or the giving of any oral
testimony if such material, answers, or testimony
would be protected from disclosure under:
(1) The
standards applicable to subpoenas or subpoenas
duces tecum issued by a court of the District of
Columbia to aid in a grand jury investigation; or
(2) The
standards applicable to discovery requests
pursuant to the Superior Court Civil Rules to the
extent that the application of such standards to
any such demand is appropriate and consistent
with the provisions and purposes of this section.
(d)
(1) Any civil
investigative demand issued pursuant to
subsection (a) of this section may be served by a
false claims law investigator or his or her
agent, or by a United States marshal or a deputy
marshal, at any place within the territorial
jurisdiction of any court of the United States;
provided, that the Superior Court of the District
of Columbia could exercise jurisdiction over the
recipient of the demand consistent with the due
process clause of the Constitution of the United
States.
(2) Any such
demand or any petition filed pursuant to
subsection (a) of this section may be served upon
any person who is not found within the
territorial jurisdiction of any court of the
United States in such manner as the Superior
Court Civil Rules prescribe for service in a
foreign country; provided, that the Superior
Court of the District of Columbia could exercise
jurisdiction over the recipient of the demand
consistent with the due process clause of the
Constitution of the United States.
(e)
(1) Service of
any civil investigative demand issued pursuant to
subsection (a) of this section, or of any
petition filed pursuant to subsection (a) of this
section, may be made upon a partnership,
corporation, association, or other legal entity
by the following methods:
(A) Delivering
an executed copy of such demand or petition to
any partner, executive officer, managing agent,
or general agent of the partnership, corporation,
association, or entity, or to any agent
authorized by appointment or by law to receive
service of process on behalf of such partnership,
corporation, association, or entity;
(B) Delivering
an executed copy of such demand or petition to
the principal office or place of business of the
partnership, corporation, association, or entity;
or
(C) Depositing
an executed copy of such demand or petition in
the United States mail by registered or certified
mail, with a return receipt requested, addressed
to such partnership, corporation, association, or
entity at its principal office or place of
business.
(2) Service of
any such demand or petition may be made upon any
natural person by the following methods:
(A) Delivering
an executed copy of such demand or petition to
the person; or
(B) Depositing
an executed copy of such demand or petition in
the United States mail by registered or certified
mail, with a return receipt requested, addressed
to the person at the person's residence or
principal office or place of business.
(f) A verified
return by the individual serving any civil
investigative demand or any petition filed
pursuant to subsection (a) of this section
setting forth the manner of such service shall be
proof of such service. In the case of service by
registered or certified mail, such return shall
be accompanied by the return post office receipt
of delivery of such demand.
(g)
(1) The
production of documentary material in response to
a civil investigative demand shall be made under
a sworn certificate, in such form as the demand
designates, by the following:
(A) In the case
of a natural person, by the person to whom the
demand is directed; or
(B) In the case
of a person other than a natural person, by a
person having knowledge of the facts and
circumstances relating to such production and
authorized to act on behalf of such person.
(2) The
certificate shall state that all of the
documentary material required by the demand and
in the possession, custody, or control of the
person to whom the demand is directed has been
produced and made available to the false claims
law investigator identified in the demand.
(3) Any person
upon whom any civil investigative demand for the
production of documentary material has been
served shall make such material available for
inspection and copying to the false claims law
investigator identified in such demand at the
principal place of business of such person, or at
such other place as the false claims law
investigator and the person thereafter may agree
and prescribe in writing, or as the court may
direct pursuant to subsection (j)(1) of this
section. Such material shall be made so available
on the return date specified in such demand, or
on such later date as the false claims law
investigator may prescribe in writing. Such
person may, upon written agreement between the
person and the false claims law investigator,
substitute copies for originals of all or any
part of such material.
(h)
(1) Each
interrogatory in a civil investigative demand
shall be answered separately and fully in writing
under oath and shall be submitted under a sworn
certificate, in such form as the demand
designates, as follows:
(A) In the case
of a natural person, by the person to whom the
demand is directed, or
(B) In the case
of a person other than a natural person, by the
person or persons responsible for answering each
interrogatory.
(2) If any
interrogatory is objected to, the reasons for the
objection shall be stated in the certificate
instead of an answer. The certificate shall state
that all information required by the demand and
in the possession, custody, control, or knowledge
of the person to whom the demand is directed has
been submitted. To the extent that any
information is not furnished, the information
shall be identified and reasons set forth with
particularity regarding the reasons why the
information was not furnished.
(i)
(1) The
examination of any person, pursuant to a civil
investigative demand for oral testimony, shall be
conducted before an officer authorized to
administer oaths and affirmations by the laws of
the United States or of the place where the
examination is held. The officer before whom the
testimony is taken shall put the witness under
oath or affirmation and shall, personally or by
someone acting under the direction of the officer
and in the officer's presence, record the
testimony of the witness. The testimony shall be
taken by any means authorized by, and in a manner
consistent with, the Superior Court Civil Rules,
and shall be transcribed.
(2) The false
claims law investigator conducting the
examination shall exclude from the place where
the examination is held all persons except the
person giving the testimony, the attorney or
other representative of the person giving the
testimony, the attorney for the District
government, any person who may be agreed upon by
the attorney for the District government and the
person giving the testimony, the officer before
whom the testimony is to be taken, and any
stenographer taking such testimony.
(3) The oral
testimony of any person taken pursuant to a civil
investigative demand shall be taken in the
judicial district of the United States within
which such person resides, is found, or transacts
business, or in such other place as may be agreed
upon by the false claims law investigator
conducting the examination and such person.
(4) When the
testimony is fully transcribed, the false claims
law investigator or the officer before whom the
testimony is taken shall afford the witness, who
may be accompanied by an attorney, a reasonable
opportunity to examine and read the transcript,
unless such examination and reading are waived by
the witness. Any changes in form or substance
that the witness desires shall be entered and
identified upon the transcript by the officer or
the false claims law investigator, with a
statement of the reasons given by the witness for
making such changes. The transcript shall then be
signed by the witness, unless the witness in
writing waives the signing, is ill, cannot be
found, or refuses to sign. If the transcript is
not signed by the witness within 30 days after
being afforded a reasonable opportunity to
examine it, the officer or the false claims law
investigator shall sign it and state on the
record the fact of the waiver, illness, absence
of the witness, or the refusal to sign, together
with the reasons, if any, given therefor.
(5) The officer
before whom the testimony is taken shall certify
on the transcript that the witness was sworn by
the officer and that the transcript is a true
record of the testimony given by the witness. The
officer or false claims law investigator shall
promptly deliver the transcript, or send the
transcript by registered or certified mail, to
the custodian.
(6) Upon payment
of reasonable charges therefor, the false claims
law investigator shall furnish a copy of the
transcript to the witness only, except that the
Corporation Counsel may, for good cause, limit
such witness to inspection of the official
transcript of the witness's testimony.
(7) Any person
compelled to appear for oral testimony pursuant
to a civil investigative demand may be
accompanied, represented, and advised by an
attorney. The attorney may advise such person, in
confidence, with respect to any question asked of
such person. Such person or attorney may object
on the record to any question, in whole or in
part, and shall briefly state for the record the
reason for the objection. An objection may be
made, received, and entered upon the record only
when it is claimed that such person is entitled
to refuse to answer the question on the grounds
of any constitutional or other legal right or
privilege, including the privilege against
self-incrimination. Such person may not otherwise
object to or refuse to answer any question, and
may not, directly or through the person's
attorney, otherwise interrupt the oral
examination. If such person refuses to answer any
question, a petition may be filed in the Superior
Court of the District of Columbia pursuant to
subsection (d)(1) of this section for an order
compelling such person to answer the question.
(8) Any person
appearing for oral testimony pursuant to a civil
investigative demand shall be entitled to the
same fees and allowances that are paid to
witnesses in the Superior Court of the District
of Columbia.
(j)
(1) The
Corporation Counsel shall designate a false
claims law investigator to serve as custodian of
documentary material, answers to interrogatories,
and transcripts of oral testimony received
pursuant to this section, and shall designate
such additional false claims law investigators as
the Corporation Counsel determines from time to
time to be necessary to serve as deputies to the
custodian.
(2)
(A) A false
claims law investigator who receives any
documentary material, answers to interrogatories,
or transcripts of oral testimony pursuant to this
section shall transmit them to the custodian. The
custodian shall take physical possession of such
material, answers, or transcripts and shall be
responsible for the use made of them and for the
return of documentary material pursuant to
paragraph (4) of this subsection.
(B) The
custodian may cause the preparation of such
copies of such documentary material, answers to
interrogatories, or transcripts of oral testimony
as may be required for official use by any false
claims law investigator, or any other officer or
employee of the Office of the Corporation Counsel
who is authorized for such use by the Corporation
Counsel. Such material, answers, and transcripts
may be used by any authorized false claims law
investigator or other officer or employee in
connection with the taking of oral testimony
pursuant to this section.
(C) Except as
otherwise provided in this subsection, no
documentary material, answers to interrogatories,
or transcripts of oral testimony, or copies
thereof, while in the possession of the
custodian, shall be available for examination by
any individual other than a false claims law
investigator or officer or employee of the Office
of the Corporation Counsel authorized pursuant to
subparagraph (B) of this paragraph. The
prohibition in the preceding sentence on the
availability of material, answers, or transcripts
shall not apply if consent is given by the person
who produced such material, answers, or
transcripts. Nothing in this subparagraph is
intended to prevent disclosure to the District of
Columbia Council, including any committee of the
Council, to the United States Attorney's Office,
or to any other agency of the United States for
use by such agency in furtherance of its
statutory responsibilities. Disclosure of
information to any agency other than the Council
or the United States Attorney's Office shall be
allowed only upon application, made by the
Corporation Counsel to the Superior Court of the
District of Columbia, showing substantial need
for the use of the information by such agency in
furtherance of its statutory responsibilities and
after giving the individuals who provided the
information an opportunity to be heard on the
release of the information.
(D) While in the
possession of the custodian and under such
reasonable terms and conditions as the
Corporation Counsel shall prescribe, the
following shall apply:
(i) Documentary
material and answers to interrogatories shall be
available for examination by the person who
produced such material or answers, or by a
representative of that person authorized by that
person to examine such material and answers; and
(ii) Transcripts
of oral testimony shall be available for
examination by the person who produced such
testimony, or by a representative of that person
authorized by that person to examine such
transcripts.
(3) Whenever any
attorney of the Office of the Corporation Counsel
is conducting any official investigation or
proceeding, the custodian of any documentary
material, answers to interrogatories, or
transcripts of oral testimony received pursuant
to this section may deliver to such attorney such
material, answers, or transcripts for official
use in connection with any such investigation or
proceeding as such attorney determines to be
required. Upon the completion of any such
investigation or proceeding, such attorney shall
return to the custodian any such material,
answers, or transcripts so delivered that have
not passed into the control of any court or
agency through introduction into the record of
any case or proceeding.
(4) If any
documentary material has been produced by any
person in the course of any false claims law
investigation pursuant to a civil investigative
demand, and any case or proceeding before a court
arising out of such investigation, or any
proceeding before any District government agency
involving such material, has been completed, or
no case or proceeding in which such material may
be used has been commenced within a reasonable
time after completion of the examination and
analysis of all documentary material and other
information assembled in the course of such
investigation, the custodian shall, upon written
request of the person who produced such material,
return to such person any such material (other
than copies furnished to the false claims law
investigator pursuant to subsection (g)(2) of
this section or made for the Office of the
Corporation Counsel pursuant to paragraph (2)(B)
of this subsection), which has not passed into
the control of any court or agency through
introduction into the record of such case or
proceeding.
(5)
(A) In the event
of the death, disability, or separation from
service in the Office of the Corporation Counsel
of the custodian of any documentary material,
answers to interrogatories, or transcripts of
oral testimony produced pursuant to a civil
investigative demand issued pursuant to this
section, or in the event of the official relief
of such custodian from responsibility for the
custody and control of such material, answers, or
transcripts, the Corporation Counsel shall
promptly do the following:
(i) Designate
another false claims law investigator to serve as
custodian of such material, answers, or
transcripts; and
(ii) Transmit in
writing to the person who produced such material,
answers, or testimony notice of the identity and
address of the successor so designated.
(B) Any person
who is designated to be a successor pursuant to
this paragraph shall have, with regard to such
material, answers, or transcripts, the same
duties and responsibilities as were imposed by
this section upon that person's predecessor in
office, except that the successor shall not be
held responsible for any default or dereliction
that occurred before that designation.
(k)
(1) Whenever any
person fails to comply with any civil
investigative demand, or whenever satisfactory
copying or reproduction of any material requested
in such demand cannot be done and such person
refuses to surrender such material, the
Corporation Counsel may file in the Superior
Court of the District of Columbia and serve upon
such person a petition for an order of such court
for the enforcement of the civil investigative
demand.
(2)
(A) Any person
who receives a civil investigative demand may
file in the Superior Court of the District of
Columbia and serve upon the false claims law
investigator identified in such demand a petition
for an order of the court to modify or set aside
such demand. Any petition issued pursuant to this
subparagraph must be filed:
(i) Within 20
days after the date of service of the civil
investigative demand, or at any time before the
return date specified in the demand, whichever
date is earlier; or
(ii) Within such
longer period as may be prescribed in writing by
any false claims law investigator identified in
the demand.
(B) The petition
shall specify each ground upon which the
petitioner relies in seeking relief pursuant to
subparagraph (A) of this paragraph, and may be
based upon any failure of the demand, or any
particular portion thereof, to comply with the
provisions of this section or upon any
constitutional or other legal right or privilege
of such person. During the pendency of the
petition in the court, the court may stay, as it
deems proper, the running of the time allowed for
compliance with the demand, in whole or in part,
except that the person filing the petition shall
comply with any portions of the demand not sought
to be modified or set aside.
(3) At any time
during which any custodian is in custody or
control of any documentary material or answers to
interrogatories produced, or transcripts of oral
testimony given, by any person in compliance with
any civil investigative demand, such person may
file in the Superior Court of the District of
Columbia and serve upon such custodian, a
petition for an order of such court to require
the performance by the custodian of any duty
imposed upon the custodian by this section.
(4) Whenever any
petition is filed in the Superior Court of the
District of Columbia, such court shall have
jurisdiction to hear and determine the matter so
presented, and to enter such order or orders as
may be required to carry out the provisions of
this section. Any final order so entered shall be
subject to appeal. Any disobedience of any final
order entered pursuant to this section by any
court shall be punished as contempt of court.
(5) The Superior
Court Civil Rules shall apply to any petition
issued pursuant to this subsection, to the extent
that such rules are not inconsistent with the
provisions of this section.
(l) Any
documentary material, answers to written
interrogatories, or oral testimony provided
pursuant to any civil investigative demand issued
pursuant to subsection (a) of this section shall
be exempt from disclosure pursuant to subchapter
2 of Chapter 15 of this title.
(m) For purposes
of this section, the term:
(1)
"Custodian" means the custodian, or any
deputy custodian, designated by the Corporation
Counsel pursuant to subsection (j)(1) of this
section.
(2)
"Documentary material" includes the
original or any copy of any book, record, report,
memorandum, paper, communication, tabulation,
chart, or other document, or data compilations
stored in or accessible through computer or other
information retrieval systems, together with
instructions and all other materials necessary to
use or interpret such data compilations, and any
product of discovery.
(3) "False
claims law" means §§ 2-301.03 and 2-308.13
through 2-308.21.
(4) "False
claims law investigation" means any inquiry
conducted by any false claims law investigator
for the purpose of ascertaining whether any
person is or has been engaged in any violation of
a false claims law;
(5) "False
claims law investigator" means any attorney
or investigator employed by the Office of the
Corporation Counsel who is charged with the duty
of enforcing or carrying into effect any false
claims law, or any officer or employee of the
District government acting under the direction
and supervision of such attorney or investigator
in connection with a false claims law
investigation;
(6)
"Person" means any natural person,
partnership, corporation, association, or other
legal entity, including any state or political
subdivision of a state. (Feb. 21, 1986, D.C. Act
6-85, § 819, 32 DCR 7396, as added May 8, 1998,
D.C. Law 12-104, § 2(g), 45 DCR 1687; Apr. 20,
1999, D.C. Law 12-264, § 10(e), 46 DCR 2118;
Apr. 12, 2000, D.C. Law 13-91, § 122, 47 DCR
520.)
§
2-308.20. Antifraud fund.
(a) There is
hereby established an Antifraud Fund
("Fund") to be operated as a
proprietary fund with assets not to exceed
$2,000,000 at any time. The Fund shall consist of
criminal fines, civil penalties, and damages
collected in cases brought pursuant to this
chapter, other than funds awarded to a cooperator
or for restitution to a particular agency in the
amount of the actual loss to that agency. Such
funds (with the exception of amounts for an award
to a cooperator or restitution to a program)
shall be deposited in the Fund upon receipt.
Monies in the Fund shall not revert to the
General Fund of the District of Columbia at the
end of any fiscal year, but shall remain
available for the purposes set forth in this
section, subject to authorization and
appropriation by Congress. Any balance in excess
of that allowed the Fund by this section shall be
deposited in the General Fund of the District of
Columbia.
(b) Amounts in
the Fund shall be available for use by the
Corporation Counsel to carry out the enforcement
of this chapter, including all costs reasonably
related to prosecuting cases and conducting
investigations pursuant to this chapter.
(c) The Fund
shall be audited annually by the Inspector
General.
(d) It is
intended that disbursements made from the Fund to
the Office of Corporation Counsel or other
appropriate agency be used to supplement and not
supplant the Corporation Counsel's appropriated
operating budget. (Feb. 21, 1986, D.C. Law 6-85,
§ 820, 32 DCR 7396, as added May 8, 1998, D.C.
Law 12-104, § 2(g), 45 DCR 1687.)
§
2-308.21. Penalties for false representations.
Whoever makes or
presents to any officer or employee of the
District of Columbia government, or to any
department or agency thereof, any claim upon or
against the District of Columbia, or any
department or agency thereof, knowing such claim
to be false, fictitious, or fraudulent, shall be
imprisoned not more than one year and assessed a
fine of not more than $100,000 for each violation
of this chapter. The Corporation Counsel shall
prosecute violations of this section. (Feb. 21,
1986, D.C. Law 6-85, § 821, 32 DCR 7396, as
added May 8, 1998, D.C. Law 12-104, § 2(g), 45
DCR 1687.)
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