[Congressional Bills 111th Congress]
[From the U.S. Government Publishing Office]
[S. 139 Reported in Senate (RS)]

                                                       Calendar No. 563
111th CONGRESS
  2d Session
                                 S. 139

                          [Report No. 111-290]

    To require Federal agencies, and persons engaged in interstate 
    commerce, in possession of data containing sensitive personally 
 identifiable information, to disclose any breach of such information.


_______________________________________________________________________


                   IN THE SENATE OF THE UNITED STATES

                            January 6, 2009

Mrs. Feinstein introduced the following bill; which was read twice and 
               referred to the Committee on the Judiciary

                           September 15, 2010

                 Reported by Mr. Leahy without amendment

_______________________________________________________________________

                                 A BILL


 
    To require Federal agencies, and persons engaged in interstate 
    commerce, in possession of data containing sensitive personally 
 identifiable information, to disclose any breach of such information.

    Be it enacted by the Senate and House of Representatives of the 
United States of America in Congress assembled,

SECTION 1. SHORT TITLE.

    This Act may be cited as the ``Data Breach Notification Act''.

SEC. 2. NOTICE TO INDIVIDUALS.

    (a) In General.--Any agency, or business entity engaged in 
interstate commerce, that uses, accesses, transmits, stores, disposes 
of or collects sensitive personally identifiable information shall, 
following the discovery of a security breach of such information notify 
any resident of the United States whose sensitive personally 
identifiable information has been, or is reasonably believed to have 
been, accessed, or acquired.
    (b) Obligation of Owner or Licensee.--
            (1) Notice to owner or licensee.--Any agency, or business 
        entity engaged in interstate commerce, that uses, accesses, 
        transmits, stores, disposes of, or collects sensitive 
        personally identifiable information that the agency or business 
        entity does not own or license shall notify the owner or 
        licensee of the information following the discovery of a 
        security breach involving such information.
            (2) Notice by owner, licensee or other designated third 
        party.--Nothing in this Act shall prevent or abrogate an 
        agreement between an agency or business entity required to give 
        notice under this section and a designated third party, 
        including an owner or licensee of the sensitive personally 
        identifiable information subject to the security breach, to 
        provide the notifications required under subsection (a).
            (3) Business entity relieved from giving notice.--A 
        business entity obligated to give notice under subsection (a) 
        shall be relieved of such obligation if an owner or licensee of 
        the sensitive personally identifiable information subject to 
        the security breach, or other designated third party, provides 
        such notification.
    (c) Timeliness of Notification.--
            (1) In general.--All notifications required under this 
        section shall be made without unreasonable delay following the 
        discovery by the agency or business entity of a security 
        breach.
            (2) Reasonable delay.--Reasonable delay under this 
        subsection may include any time necessary to determine the 
        scope of the security breach, prevent further disclosures, and 
        restore the reasonable integrity of the data system and provide 
        notice to law enforcement when required.
            (3) Burden of proof.--The agency, business entity, owner, 
        or licensee required to provide notification under this section 
        shall have the burden of demonstrating that all notifications 
        were made as required under this Act, including evidence 
        demonstrating the reasons for any delay.
    (d) Delay of Notification Authorized for Law Enforcement 
Purposes.--
            (1) In general.--If a Federal law enforcement agency 
        determines that the notification required under this section 
        would impede a criminal investigation, such notification shall 
        be delayed upon written notice from such Federal law 
        enforcement agency to the agency or business entity that 
        experienced the breach.
            (2) Extended delay of notification.--If the notification 
        required under subsection (a) is delayed pursuant to paragraph 
        (1), an agency or business entity shall give notice 30 days 
        after the day such law enforcement delay was invoked unless a 
        Federal law enforcement agency provides written notification 
        that further delay is necessary.
            (3) Law enforcement immunity.--No cause of action shall lie 
        in any court against any law enforcement agency for acts 
        relating to the delay of notification for law enforcement 
        purposes under this Act.

SEC. 3. EXEMPTIONS.

    (a) Exemption for National Security and Law Enforcement.--
            (1) In general.--Section 2 shall not apply to an agency or 
        business entity if the agency or business entity certifies, in 
        writing, that notification of the security breach as required 
        by section 2 reasonably could be expected to--
                    (A) cause damage to the national security; or
                    (B) hinder a law enforcement investigation or the 
                ability of the agency to conduct law enforcement 
                investigations.
            (2) Limits on certifications.--An agency or business entity 
        may not execute a certification under paragraph (1) to--
                    (A) conceal violations of law, inefficiency, or 
                administrative error;
                    (B) prevent embarrassment to a business entity, 
                organization, or agency; or
                    (C) restrain competition.
            (3) Notice.--In every case in which an agency or business 
        entity issues a certification under paragraph (1), the 
        certification, accompanied by a description of the factual 
        basis for the certification, shall be immediately provided to 
        the United States Secret Service.
            (4) Secret service review of certifications.--
                    (A) In general.--The United States Secret Service 
                may review a certification provided by an agency under 
                paragraph (3), and shall review a certification 
                provided by a business entity under paragraph (3), to 
                determine whether an exemption under paragraph (1) is 
                merited. Such review shall be completed not later than 
                10 business days after the date of receipt of the 
                certification, except as provided in paragraph (5)(C).
                    (B) Notice.--Upon completing a review under 
                subparagraph (A) the United States Secret Service shall 
                immediately notify the agency or business entity, in 
                writing, of its determination of whether an exemption 
                under paragraph (1) is merited.
                    (C) Exemption.--The exemption under paragraph (1) 
                shall not apply if the United States Secret Service 
                determines under this paragraph that the exemption is 
                not merited.
            (5) Additional authority of the secret service.--
                    (A) In general.--In determining under paragraph (4) 
                whether an exemption under paragraph (1) is merited, 
                the United States Secret Service may request additional 
                information from the agency or business entity 
                regarding the basis for the claimed exemption, if such 
                additional information is necessary to determine 
                whether the exemption is merited.
                    (B) Required compliance.--Any agency or business 
                entity that receives a request for additional 
                information under subparagraph (A) shall cooperate with 
                any such request.
                    (C) Timing.--If the United States Secret Service 
                requests additional information under subparagraph (A), 
                the United States Secret Service shall notify the 
                agency or business entity not later than 10 business 
                days after the date of receipt of the additional 
                information whether an exemption under paragraph (1) is 
                merited.
    (b) Safe Harbor.--
            (1) In general.--An agency or business entity shall be 
        exempt from the notice requirements under section 2, if--
                    (A) a risk assessment concludes that there is no 
                significant risk that a security breach has resulted 
                in, or will result in, harm to the individual whose 
                sensitive personally identifiable information was 
                subject to the security breach;
                    (B) without unreasonable delay, but not later than 
                45 days after the discovery of a security breach 
                (unless extended by the United States Secret Service), 
                the agency or business entity notifies the United 
                States Secret Service, in writing, of--
                            (i) the results of the risk assessment; and
                            (ii) its decision to invoke the risk 
                        assessment exemption; and
                    (C) the United States Secret Service does not 
                indicate, in writing, and not later than 10 business 
                days after the date of receipt of the decision 
                described in subparagraph (B)(ii), that notice should 
                be given.
            (2) Presumptions.--There shall be a presumption that no 
        significant risk of harm to the individual whose sensitive 
        personally identifiable information was subject to a security 
        breach if such information--
                    (A) was encrypted; or
                    (B) was rendered indecipherable through the use of 
                best practices or methods, such as redaction, access 
                controls, or other such mechanisms, that are widely 
                accepted as an effective industry practice, or an 
                effective industry standard.
    (c) Financial Fraud Prevention Exemption.--
            (1) In general.--A business entity will be exempt from the 
        notice requirement under section 2 if the business entity 
        utilizes or participates in a security program that--
                    (A) is designed to block the use of the sensitive 
                personally identifiable information to initiate 
                unauthorized financial transactions before they are 
                charged to the account of the individual; and
                    (B) provides for notice to affected individuals 
                after a security breach that has resulted in fraud or 
                unauthorized transactions.
            (2) Limitation.--The exemption by this subsection does not 
        apply if--
                    (A) the information subject to the security breach 
                includes sensitive personally identifiable information, 
                other than a credit card number or credit card security 
                code, of any type; or
                    (B) the information subject to the security breach 
                includes both the individual's credit card number and 
                the individual's first and last name.

SEC. 4. METHODS OF NOTICE.

    An agency, or business entity shall be in compliance with section 2 
if it provides both:
            (1) Individual notice.--
                    (A) Written notification to the last known home 
                mailing address of the individual in the records of the 
                agency or business entity;
                    (B) telephone notice to the individual personally; 
                or
                    (C) e-mail notice, if the individual has consented 
                to receive such notice and the notice is consistent 
                with the provisions permitting electronic transmission 
                of notices under section 101 of the Electronic 
                Signatures in Global and National Commerce Act (15 
                U.S.C. 7001).
            (2) Media notice.--Notice to major media outlets serving a 
        State or jurisdiction, if the number of residents of such State 
        whose sensitive personally identifiable information was, or is 
        reasonably believed to have been, acquired by an unauthorized 
        person exceeds 5,000.

SEC. 5. CONTENT OF NOTIFICATION.

    (a) In General.--Regardless of the method by which notice is 
provided to individuals under section 4, such notice shall include, to 
the extent possible--
            (1) a description of the categories of sensitive personally 
        identifiable information that was, or is reasonably believed to 
        have been, acquired by an unauthorized person;
            (2) a toll-free number--
                    (A) that the individual may use to contact the 
                agency or business entity, or the agent of the agency 
                or business entity; and
                    (B) from which the individual may learn what types 
                of sensitive personally identifiable information the 
                agency or business entity maintained about that 
                individual; and
            (3) the toll-free contact telephone numbers and addresses 
        for the major credit reporting agencies.
    (b) Additional Content.--Notwithstanding section 10, a State may 
require that a notice under subsection (a) shall also include 
information regarding victim protection assistance provided for by that 
State.

SEC. 6. COORDINATION OF NOTIFICATION WITH CREDIT REPORTING AGENCIES.

    If an agency or business entity is required to provide notification 
to more than 5,000 individuals under section 2(a), the agency or 
business entity shall also notify all consumer reporting agencies that 
compile and maintain files on consumers on a nationwide basis (as 
defined in section 603(p) of the Fair Credit Reporting Act (15 U.S.C. 
1681a(p)) of the timing and distribution of the notices. Such notice 
shall be given to the consumer credit reporting agencies without 
unreasonable delay and, if it will not delay notice to the affected 
individuals, prior to the distribution of notices to the affected 
individuals.

SEC. 7. NOTICE TO LAW ENFORCEMENT.

    (a) Secret Service.--Any business entity or agency shall notify the 
United States Secret Service of the fact that a security breach has 
occurred if--
            (1) the number of individuals whose sensitive personally 
        identifying information was, or is reasonably believed to have 
        been acquired by an unauthorized person exceeds 10,000;
            (2) the security breach involves a database, networked or 
        integrated databases, or other data system containing the 
        sensitive personally identifiable information of more than 
        1,000,000 individuals nationwide;
            (3) the security breach involves databases owned by the 
        Federal Government; or
            (4) the security breach involves primarily sensitive 
        personally identifiable information of individuals known to the 
        agency or business entity to be employees and contractors of 
        the Federal Government involved in national security or law 
        enforcement.
    (b) Notice to Other Law Enforcement Agencies.--The United States 
Secret Service shall be responsible for notifying--
            (1) the Federal Bureau of Investigation, if the security 
        breach involves espionage, foreign counterintelligence, 
        information protected against unauthorized disclosure for 
        reasons of national defense or foreign relations, or Restricted 
        Data (as that term is defined in section 11y of the Atomic 
        Energy Act of 1954 (42 U.S.C. 2014(y)), except for offenses 
        affecting the duties of the United States Secret Service under 
        section 3056(a) of title 18, United States Code;
            (2) the United States Postal Inspection Service, if the 
        security breach involves mail fraud; and
            (3) the attorney general of each State affected by the 
        security breach.
    (c) Timing of Notices.--The notices required under this section 
shall be delivered as follows:
            (1) Notice under subsection (a) shall be delivered as 
        promptly as possible, but not later than 14 days after 
        discovery of the events requiring notice.
            (2) Notice under subsection (b) shall be delivered not 
        later than 14 days after the United States Secret Service 
        receives notice of a security breach from an agency or business 
        entity.

SEC. 8. ENFORCEMENT.

    (a) Civil Actions by the Attorney General.--The Attorney General 
may bring a civil action in the appropriate United States district 
court against any business entity that engages in conduct constituting 
a violation of this Act and, upon proof of such conduct by a 
preponderance of the evidence, such business entity shall be subject to 
a civil penalty of not more than $1,000 per day per individual whose 
sensitive personally identifiable information was, or is reasonably 
believed to have been, accessed or acquired by an unauthorized person, 
up to a maximum of $1,000,000 per violation, unless such conduct is 
found to be willful or intentional.
    (b) Injunctive Actions by the Attorney General.--
            (1) In general.--If it appears that a business entity has 
        engaged, or is engaged, in any act or practice constituting a 
        violation of this Act, the Attorney General may petition an 
        appropriate district court of the United States for an order--
                    (A) enjoining such act or practice; or
                    (B) enforcing compliance with this Act.
            (2) Issuance of order.--A court may issue an order under 
        paragraph (1), if the court finds that the conduct in question 
        constitutes a violation of this Act.
    (c) Other Rights and Remedies.--The rights and remedies available 
under this Act are cumulative and shall not affect any other rights and 
remedies available under law.
    (d) Fraud Alert.--Section 605A(b)(1) of the Fair Credit Reporting 
Act (15 U.S.C. 1681c-1(b)(1)) is amended by inserting ``, or evidence 
that the consumer has received notice that the consumer's financial 
information has or may have been compromised,'' after ``identity theft 
report''.

SEC. 9. ENFORCEMENT BY STATE ATTORNEYS GENERAL.

    (a) In General.--
            (1) Civil actions.--In any case in which the attorney 
        general of a State or any State or local law enforcement agency 
        authorized by the State attorney general or by State statute to 
        prosecute violations of consumer protection law, has reason to 
        believe that an interest of the residents of that State has 
        been or is threatened or adversely affected by the engagement 
        of a business entity in a practice that is prohibited under 
        this Act, the State or the State or local law enforcement 
        agency on behalf of the residents of the agency's jurisdiction, 
        may bring a civil action on behalf of the residents of the 
        State or jurisdiction in a district court of the United States 
        of appropriate jurisdiction or any other court of competent 
        jurisdiction, including a State court, to--
                    (A) enjoin that practice;
                    (B) enforce compliance with this Act; or
                    (C) obtain civil penalties of not more than $1,000 
                per day per individual whose sensitive personally 
                identifiable information was, or is reasonably believed 
                to have been, accessed or acquired by an unauthorized 
                person, up to a maximum of $1,000,000 per violation, 
                unless such conduct is found to be willful or 
                intentional.
            (2) Notice.--
                    (A) In general.--Before filing an action under 
                paragraph (1), the attorney general of the State 
                involved shall provide to the Attorney General of the 
                United States--
                            (i) written notice of the action; and
                            (ii) a copy of the complaint for the 
                        action.
                    (B) Exemption.--
                            (i) In general.--Subparagraph (A) shall not 
                        apply with respect to the filing of an action 
                        by an attorney general of a State under this 
                        Act, if the State attorney general determines 
                        that it is not feasible to provide the notice 
                        described in such subparagraph before the 
                        filing of the action.
                            (ii) Notification.--In an action described 
                        in clause (i), the attorney general of a State 
                        shall provide notice and a copy of the 
                        complaint to the Attorney General at the time 
                        the State attorney general files the action.
    (b) Federal Proceedings.--Upon receiving notice under subsection 
(a)(2), the Attorney General shall have the right to--
            (1) move to stay the action, pending the final disposition 
        of a pending Federal proceeding or action;
            (2) initiate an action in the appropriate United States 
        district court under section 8 and move to consolidate all 
        pending actions, including State actions, in such court;
            (3) intervene in an action brought under subsection (a)(2); 
        and
            (4) file petitions for appeal.
    (c) Pending Proceedings.--If the Attorney General has instituted a 
proceeding or action for a violation of this Act or any regulations 
thereunder, no attorney general of a State may, during the pendency of 
such proceeding or action, bring an action under this Act against any 
defendant named in such criminal proceeding or civil action for any 
violation that is alleged in that proceeding or action.
    (d) Rule of Construction.--For purposes of bringing any civil 
action under subsection (a), nothing in this Act regarding notification 
shall be construed to prevent an attorney general of a State from 
exercising the powers conferred on such attorney general by the laws of 
that State to--
            (1) conduct investigations;
            (2) administer oaths or affirmations; or
            (3) compel the attendance of witnesses or the production of 
        documentary and other evidence.
    (e) Venue; Service of Process.--
            (1) Venue.--Any action brought under subsection (a) may be 
        brought in--
                    (A) the district court of the United States that 
                meets applicable requirements relating to venue under 
                section 1391 of title 28, United States Code; or
                    (B) another court of competent jurisdiction.
            (2) Service of process.--In an action brought under 
        subsection (a), process may be served in any district in which 
        the defendant--
                    (A) is an inhabitant; or
                    (B) may be found.
    (f) No Private Cause of Action.--Nothing in this Act establishes a 
private cause of action against a business entity for violation of any 
provision of this Act.

SEC. 10. EFFECT ON FEDERAL AND STATE LAW.

    The provisions of this Act shall supersede any other provision of 
Federal law or any provision of law of any State relating to 
notification by a business entity engaged in interstate commerce or an 
agency of a security breach, except as provided in section 5(b).

SEC. 11. AUTHORIZATION OF APPROPRIATIONS.

    There are authorized to be appropriated such sums as may be 
necessary to cover the costs incurred by the United States Secret 
Service to carry out investigations and risk assessments of security 
breaches as required under this Act.

SEC. 12. REPORTING ON RISK ASSESSMENT EXEMPTIONS.

    (a) In General.--The United States Secret Service shall report to 
Congress not later than 18 months after the date of enactment of this 
Act, and upon the request by Congress thereafter, on--
            (1) the number and nature of the security breaches 
        described in the notices filed by those business entities 
        invoking the risk assessment exemption under section 3(b) of 
        this Act and the response of the United States Secret Service 
        to such notices; and
            (2) the number and nature of security breaches subject to 
        the national security and law enforcement exemptions under 
        section 3(a) of this Act.
    (b) Report.--Any report submitted under subsection (a) shall not 
disclose the contents of any risk assessment provided to the United 
States Secret Service under this Act.

SEC. 13. DEFINITIONS.

    In this Act, the following definitions shall apply:
            (1) Agency.--The term ``agency'' has the same meaning given 
        such term in section 551 of title 5, United States Code.
            (2) Affiliate.--The term ``affiliate'' means persons 
        related by common ownership or by corporate control.
            (3) Business entity.--The term ``business entity'' means 
        any organization, corporation, trust, partnership, sole 
        proprietorship, unincorporated association, venture established 
        to make a profit, or nonprofit, and any contractor, 
        subcontractor, affiliate, or licensee thereof engaged in 
        interstate commerce.
            (4) Encrypted.--The term ``encrypted''--
                    (A) means the protection of data in electronic 
                form, in storage or in transit, using an encryption 
                technology that has been adopted by an established 
                standards setting body which renders such data 
                indecipherable in the absence of associated 
                cryptographic keys necessary to enable decryption of 
                such data; and
                    (B) includes appropriate management and safeguards 
                of such cryptographic keys so as to protect the 
                integrity of the encryption.
            (5) Personally identifiable information.--The term 
        ``personally identifiable information'' means any information, 
        or compilation of information, in electronic or digital form 
        serving as a means of identification, as defined by section 
        1028(d)(7) of title 18, United State Code.
            (6) Security breach.--
                    (A) In general.--The term ``security breach'' means 
                compromise of the security, confidentiality, or 
                integrity of computerized data through 
                misrepresentation or actions that result in, or there 
                is a reasonable basis to conclude has resulted in, 
                acquisition of or access to sensitive personally 
                identifiable information that is unauthorized or in 
                excess of authorization.
                    (B) Exclusion.--The term ``security breach'' does 
                not include--
                            (i) a good faith acquisition of sensitive 
                        personally identifiable information by a 
                        business entity or agency, or an employee or 
                        agent of a business entity or agency, if the 
                        sensitive personally identifiable information 
                        is not subject to further unauthorized 
                        disclosure; or
                            (ii) the release of a public record not 
                        otherwise subject to confidentiality or 
                        nondisclosure requirements.
            (7) Sensitive personally identifiable information.--The 
        term ``sensitive personally identifiable information'' means 
        any information or compilation of information, in electronic or 
        digital form that includes--
                    (A) an individual's first and last name or first 
                initial and last name in combination with any 1 of the 
                following data elements:
                            (i) A non-truncated social security number, 
                        driver's license number, passport number, or 
                        alien registration number.
                            (ii) Any 2 of the following:
                                    (I) Home address or telephone 
                                number.
                                    (II) Mother's maiden name, if 
                                identified as such.
                                    (III) Month, day, and year of 
                                birth.
                            (iii) Unique biometric data such as a 
                        finger print, voice print, a retina or iris 
                        image, or any other unique physical 
                        representation.
                            (iv) A unique account identifier, 
                        electronic identification number, user name, or 
                        routing code in combination with any associated 
                        security code, access code, or password that is 
                        required for an individual to obtain money, 
                        goods, services or any other thing of value; or
                    (B) a financial account number or credit or debit 
                card number in combination with any security code, 
                access code or password that is required for an 
                individual to obtain credit, withdraw funds, or engage 
                in a financial transaction.

SEC. 14. EFFECTIVE DATE.

    This Act shall take effect on the expiration of the date which is 
90 days after the date of enactment of this Act.
                                                       Calendar No. 563

111th CONGRESS

  2d Session

                                 S. 139

                          [Report No. 111-290]

_______________________________________________________________________

                                 A BILL

    To require Federal agencies, and persons engaged in interstate 
    commerce, in possession of data containing sensitive personally 
 identifiable information, to disclose any breach of such information.

_______________________________________________________________________

                           September 15, 2010

                       Reported without amendment