Internet Poker Freedom Act of 2013 - Prohibits a person from (and requires a fine under the federal criminal code, imprisonment up to five years, or both for) operating an Internet poker facility without a license in good standing issued by a qualified regulatory authority.
Defines "qualified regulatory authority" as: (1) a state agency or regulatory body qualified by the Secretary of Commerce (in the case of a state) or the National Indian Gaming Commission (in the case of a federally recognized Indian tribe) as having met certain minimum standards prescribed by the Secretary and Commission; (2) the designated regulatory authority of a federally recognized Indian tribe authorized to game under the Indian Gaming Regulatory Act and designated as a qualified under the same minimum standards; or (3) the Office of Internet Poker Oversight to be established by this Act in the Department of Commerce.
Makes such prohibition inapplicable to facilities operated by persons located outside the United States in which bets or wagers are made by individuals located outside the United States.
Allows a licensee to accept an Internet poker bet or wager from U.S.-located individuals and offer related services so long as the license remains in good standing.
Prohibits licensees from knowingly accepting bets or wagers by persons residing where a state or Indian tribe has notified the Secretary of specific gambling prohibitions. Sets forth exceptions concerning the applicability of such state prohibitions on tribal lands.
Establishes a five-year term for initial licenses, subject to renewal and transfer requirements.
Authorizes enforcement and disciplinary actions by the Secretary and qualified regulatory authorities. Sets forth civil monetary penalties.
Requires each qualified regulatory authority to: (1) maintain a list of persons self-excluded from playing Internet poker through licensed Internet poker facilities; and (2) submit a current copy of such list each week to the Secretary, who shall maintain a master list. Requires each licensee, as a licensure condition, to implement a gambling addiction, responsible gaming, and self exclusion program.
Precludes persons prohibited from gaming with a licensee by law or by order of the Secretary, a qualified regulatory authority, or any court of competent jurisdiction, including any person on the self-exclusion list, from collecting winnings or recovering losses arising from prohibited gaming activity. Requires court-ordered child support delinquents to be included on the self-exclusion list.
Amends the Public Health Service Act to require the Substance Abuse and Mental Health Services Administration to establish and implement programs for the identification, prevention, and treatment of pathological and other problem gambling. Requires customer tracking data on player behavior (with personally identifying information removed) to be made available to the public.
Prohibits licensees, except as specified, from: (1) accepting bets or wagers on any game, event, or activity that is not Internet poker; and (2) using credit cards for Internet gambling. Establishes a violation for operating a place of public accommodation for accessing Internet poker facilities.
Requires a fine, imprisonment up to three years, or both for certain rules of play violations, including using tools, electronic devices, or software to obtain a prohibited or unfair advantage or to defraud any licensee or persons placing bets or wagers with a licensee.
Amends the Unlawful Internet Gambling Enforcement Act of 2006 to prohibit a financial transaction provider from being held liable for a financial activity or transaction, including a payments processing activity, in connection with a bet or wager permitted by this Act or the Interstate Horseracing Act of 1978 without actual knowledge of any applicable federal or state law violation. Shields such providers from liability for blocking or refusing to honor specified transactions.
Requires the Director of the Financial Crimes Enforcement Network to investigate unlicensed Internet gambling enterprises and provide the Secretary of the Treasury with a list of such enterprises updated at least every 60 days.
Deems financial transaction providers to have actual knowledge that persons or entities are unlicensed Internet gambling enterprises if they are included on such list or, under other specified circumstances, when information in addition to the list is available to such a provider demonstrating that a person or entity is such an enterprise.
[Congressional Bills 113th Congress]
[From the U.S. Government Publishing Office]
[H.R. 2666 Introduced in House (IH)]
113th CONGRESS
1st Session
H. R. 2666
To establish a program for the licensing of Internet poker by States
and federally recognized Indian tribes, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
July 11, 2013
Mr. Barton introduced the following bill; which was referred to the
Committee on Energy and Commerce, and in addition to the Committee on
Financial Services, for a period to be subsequently determined by the
Speaker, in each case for consideration of such provisions as fall
within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To establish a program for the licensing of Internet poker by States
and federally recognized Indian tribes, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE; TABLE OF CONTENTS.
(a) Short Title.--This Act may be cited as the ``Internet Poker
Freedom Act of 2013''.
(b) Table of Contents.--The table of contents for this Act is as
follows:
Sec. 1. Short title; table of contents.
Sec. 2. Findings.
TITLE I--PROHIBITION ON UNLICENSED INTERNET POKER AND PROTECTIONS FOR
INTERNET POKER CONSUMERS
Sec. 101. Definitions.
Sec. 102. Prohibition on unlicensed Internet poker.
Sec. 103. Department of Commerce qualification and oversight of
Qualified Regulatory Authorities.
Sec. 104. Licensing by Qualified Regulatory Authorities.
Sec. 105. Enforcement.
Sec. 106. Compulsive gaming, responsible gaming, and self-exclusion
program requirements.
Sec. 107. Prohibitions and restrictions.
Sec. 108. Safe harbor.
Sec. 109. Relation to subchapter IV of chapter 53 of title 31, United
States Code.
Sec. 110. Cheating and other fraud.
Sec. 111. Construction and relation to other law.
Sec. 112. Regulations.
Sec. 113. Annual reports.
Sec. 114. Effective date.
TITLE II--STRENGTHENING OF UNLAWFUL INTERNET GAMBLING ENFORCEMENT ACT
OF 2006
Sec. 201. Financial transaction providers.
Sec. 202. List of unlicensed Internet gambling enterprises.
Sec. 203. Regulations.
Sec. 204. Conforming amendments.
SEC. 2. FINDINGS.
Congress finds the following:
(1) Since the development of the Internet, online Web sites
offering Internet poker have raised numerous policy, consumer
protection, and enforcement concerns for Federal, State, and
tribal governments as such Web sites are run by operators
located in many different countries and have sought to attract
customers from the United States.
(2) The Unlawful Internet Gambling Enforcement Act of 2006
(title VIII of Public Law 109-347; 120 Stat. 1952) was intended
to aid enforcement efforts against unlawful Internet operators
and to limit unlawful Internet gaming involving United States
persons. However, that Act has only been partially successful
in doing so.
(3) There is uncertainty about the laws of the United
States governing Internet poker, though not about laws
governing Internet sports betting. In United States v.
DiCristina a Federal District Court for the Eastern District of
New York held that poker is a game in which skill is the
predominant factor in determining the outcome and that in
passing the Illegal Gambling Businesses Act, Congress only
intended to criminalize clear games of chance.
(4) Additional tools to assist law enforcement in the
prevention of unlawful Internet gaming activities would be
important and beneficial. Maintenance of a list of unlicensed
Internet poker enterprises and the owners, operators, and key
personnel of such enterprises (as well as entities and related
personnel found unsuitable) would aid those law enforcement
efforts and would make the Unlawful Internet Gambling
Enforcement Act more effective.
(5) Poker is distinct from the class of games of chance
traditionally defined as gambling in that players compete
against each other, and not the person or entity hosting the
game (sometimes called ``the house''), and that over any
significant interval the outcome of a poker game is
predominantly determined by the skill of the participants.
(6) United States consumers would benefit from a program of
Internet poker regulation which recognizes the interstate
nature of the Internet, but nevertheless preserves the
prerogatives of States and federally recognized Indian tribes.
Such a system would require strict licensing of Internet poker
providers and would require licensee operators to--
(A) have effective means to prevent minors from
playing poker on-line;
(B) identify and help treat problem gamblers;
(C) prevent minors and players in non-participating
States;
(D) allow players to self-exclude and limit losses;
and
(E) prevent money laundering.
(7) Such a program would create a new industry within the
United States creating thousands of jobs and substantial
revenue for Federal, State, and tribal governments.
TITLE I--PROHIBITION ON UNLICENSED INTERNET POKER AND PROTECTIONS FOR
INTERNET POKER CONSUMERS
SEC. 101. DEFINITIONS.
As used in this title, the following definitions apply:
(1) Applicant.--The term ``applicant'' means any person who
has applied for a license pursuant to this title.
(2) Bet or wager.--
(A) In general.--Except as provided in subparagraph
(B), the term ``bet or wager'' has the meaning given
the term in section 5362 of title 31, United States
Code.
(B) Exception.--The term ``bet or wager'' does not
include the following:
(i) Interstate horseracing.--A bet or wager
that is permissible under the Interstate
Horseracing Act of 1978 (15 U.S.C. 3001 et
seq.).
(ii) Certain intrastate transactions.--
Placing, receiving, or otherwise transmitting a
bet or wager--
(I) as described in subparagraph
(B) of section 5362(10) of title 31,
United States Code, and clarified by
subparagraph (E) of such section; and
(II) authorized under a license
that was issued by a regulatory body of
a State or federally recognized Indian
tribe on or before the date of
enactment of this Act.
(iii) Intrastate lottery transactions.--A
bet or wager that is--
(I) a chance or opportunity to win
a lottery or other prize (which
opportunity to win is predominantly
subject to chance) authorized by a
State or federally recognized Indian
tribe; and
(II) a placing, receiving, or
transmitting of a bet or wager as
described in such subparagraph (B) and
clarified by subparagraph (E) of such
section 5362(10).
(iv) Intratribal transactions.--Placing,
receiving, or otherwise transmitting a bet or
wager as described in subparagraph (C) of such
section 5362(10), as clarified by such
subparagraph (E).
(3) Casino gaming.--
(A) In general.--Except as provided in subparagraph
(B), the term ``casino gaming'' means the full range of
casino gaming activity licensed by regulatory bodies of
States or federally recognized Indian tribes that would
be qualified as class III gaming under section 4 of the
Indian Gaming Regulatory Act (25 U.S.C. 2703), if that
Act were applicable to the gaming.
(B) Exception.--The term ``casino gaming'' does not
include lotteries of States or federally recognized
Indian tribes.
(4) Casino gaming facility.--The term ``casino gaming
facility'' means a facility that provides casino gaming on a
riverboat, at a race track, or in another facility that hosts
gaming devices in one physical location pursuant to a duly
authorized license issued by a gaming regulatory authority of a
State or Indian tribe and has not fewer than 500 slot machines.
(5) Commission.--The term ``Commission'' means the National
Indian Gaming Commission.
(6) Gaming device.--
(A) In general.--Except as provided in subparagraph
(B), the term ``gaming device'' means any computer-
based gambling machine, including slot machines and
video lottery terminals that have been approved by a
gaming regulatory authority of a State or federally
recognized Indian tribe.
(B) Exceptions.--The term ``gaming device'' does
not include--
(i) machines that process bets or wagers
for parimutuel betting pools or class II gaming
devices qualified under section 4 of the Indian
Gaming Regulatory Act (25 U.S.C. 2703); or
(ii) a personal computer.
(7) Independent testing laboratory.--The term ``independent
testing laboratory'' means a testing laboratory that is
accredited by an international accreditation body approved by
the Secretary and is not owned or controlled by an Internet
gaming facility, an electronic gambling equipment vendor,
manufacturer, or retailer, or an Internet gambling operator.
(8) Indian lands and federally recognized indian tribe.--
The terms ``Indian lands'' and ``federally recognized Indian
tribe'' have the meanings given the terms ``Indian lands'' and
``Indian tribes'', respectively, in section 4 of the Indian
Gaming Regulatory Act (25 U.S.C. 2703).
(9) Internet.--The term ``Internet'' has the meaning given
the term in section 5362 of title 31, United States Code.
(10) Internet poker.--The term ``Internet poker'' means a
poker game, hand, tournament, or other contest of poker offered
through the use of an Internet poker facility.
(11) Internet poker facility.--The term ``Internet poker
facility'' means an Internet Web site, or similar
communications facility in which transmissions may cross State
boundaries, through which a bet or wager is initiated,
received, or otherwise made, solely with respect to a game,
hand, tournament, or other contest of poker, whether
transmitted by telephone, Internet, satellite, or other wire or
wireless communication facility, service, or medium.
(12) Licensee.--The term ``licensee'' means a person who
operates an Internet poker facility under a license issued by a
qualified regulatory authority pursuant to this title.
(13) Operate an internet poker facility.--The term
``operate an Internet poker facility'' means to conduct,
direct, manage, own, supervise, or control an Internet poker
facility.
(14) Poker.--The term ``poker'' means any of several card
games commonly known as poker in which players compete against
each other, and not against any person, entity, or fellow
player hosting the game (sometimes called ``the house''), the
outcome of which, over any significant interval, is
predominantly determined by the skill of the players.
(15) Qualified regulatory authority.--The term ``qualified
regulatory authority'' means--
(A) a State agency or regulatory body that has been
designated as a qualified regulatory authority under
section 103(c);
(B) the designated regulatory authority of a
federally recognized Indian tribe authorized to game
under the Indian Gaming Regulatory Act and designated
as a qualified regulatory authority under section
103(c); or
(C) the Office of Internet Poker Oversight
established under section 103(b).
(16) Qualified card room.--The term ``qualified card room''
means a facility that has been licensed by a State or federally
recognized Indian tribe to provide at least 175 tables in one
physical facility for bets or wagers on poker.
(17) Remote gaming equipment.--
(A) In general.--Except as provided in subparagraph
(B), the term ``remote gaming equipment'' means
electronic or other equipment principally used by or on
behalf of an operator of an Internet poker facility,
including by any significant vendor to such operator,
to--
(i) register a person's participation in
Internet poker and to store information
relating thereto;
(ii) present to persons who are
participating or who may participate in
Internet poker the game that is to be played;
(iii) determine all or part of, or the
effect of, a result relevant to a game, hand,
tournament, or other contest of Internet poker
and to store information relating thereto;
(iv) accept payment with respect to
Internet poker from the player; or
(v) authorize payment of any winnings in
respect of Internet poker.
(B) Exception.--The term ``remote gaming
equipment'' does not include the following:
(i) Equipment used for business continuity,
back-up, excess capacity, or other secondary
use.
(ii) A computer which is used by a person
to participate in Internet poker unless the
computer is provided by or on behalf of the
person who is conducting or providing the
facilities for the game.
(iii) Equipment operated in the ordinary
course of providing banking,
telecommunications, or payment processing
services.
(iv) Such other equipment that provides
ancillary services as the Secretary considers
appropriate.
(18) Secretary.--The term ``Secretary'' means the Secretary
of Commerce.
(19) Significant vendor.--The term ``significant vendor''
means a person who--
(A) on behalf of a licensee, knowingly manages,
administers, or controls bets or wagers that are
initiated, received, or otherwise made within the
United States;
(B) on behalf of a licensee, knowingly manages,
administers, or controls the games with which such bets
or wagers are associated;
(C) on behalf of a licensee, develops, maintains,
or operates the software or other system programs or
hardware on which the games or the bets or wagers are
managed, administered, or controlled;
(D) provides the trademarks, trade names, service
marks, or similar intellectual property under which a
licensee identifies its Internet poker facility to its
customers in the United States;
(E) sells, licenses, or otherwise receives
compensation for selling or licensing information via a
database or customer list on individuals in the United
States selected in whole or in part because they made
bets or wagers with an Internet gambling facility not
licensed either pursuant to this title or by a State or
federally recognized Indian tribe as permitted under
this title;
(F) provides any products, services, or assets to a
licensee and is paid a percentage of gaming revenue or
Internet poker commission fees by the licensee (not
including fees to financial institutions and payment
providers for facilitating a deposit by a customer); or
(G) with respect to an applicant, proposes to
provide any of the activities, services, or items
identified in subparagraphs (A) through (E).
(20) State.--The term ``State'' means each of the several
States of the United States, the District of Columbia, and any
commonwealth, territory, or possession of the United States.
SEC. 102. PROHIBITION ON UNLICENSED INTERNET POKER.
(a) Prohibition.--
(1) In general.--It shall be unlawful for a person to
operate an Internet poker facility without a license in good
standing issued to such person by a qualified regulatory
authority under this title.
(2) Exception.--Paragraph (1) shall not apply to the
operation of an Internet poker facility by a person located
outside the United States in which bets or wagers are
initiated, received, or otherwise made by individuals located
outside the United States.
(b) Criminal Penalties.--Any person who violates this section shall
be fined under title 18, United States Code, imprisoned for not more
than 5 years, or both.
SEC. 103. DEPARTMENT OF COMMERCE QUALIFICATION AND OVERSIGHT OF
QUALIFIED REGULATORY AUTHORITIES.
(a) Commerce Responsibilities and Powers.--The Secretary, in the
case of a State, and the Commission, in the case of a federally
recognized Indian tribe, shall have responsibility and authority for
the following activities:
(1) Reviewing and qualifying regulatory authorities to
issue licenses under this title.
(2) Exercising oversight over qualified regulatory
authorities to ensure that such authorities--
(A) comply with the requirements of this title; and
(B) carry out their regulatory and enforcement
functions under this title with appropriate diligence.
(3) Investigating and taking appropriate remedial action
with respect to any qualified regulatory authority.
(4) Prescribing such regulations as may be necessary to
administer and enforce the provisions of this title.
(b) Office of Internet Poker Oversight.--
(1) Establishment.--The Secretary shall establish an office
in the Department of Commerce to be known as the ``Office of
Internet Poker Oversight'' (in this subsection referred to as
the ``office'') to exercise the functions of the Secretary set
out in this title.
(2) Director and delegation of authority.--The Secretary
shall appoint a Director of the office from among individuals
who have demonstrated experience and expertise in regulating
gaming activities and may delegate to the Director any
authority, duty, or responsibility conferred upon the Secretary
by this title.
(c) Designation of Qualified Regulatory Authorities.--
(1) Qualification of regulatory authorities.--The
Secretary, in the case of a State, or the Commission, in the
case of a federally recognized Indian tribe, shall qualify any
regulatory authority that is designated to the Secretary or the
Commission by a State or federally recognized Indian tribe,
respectively, that wishes to participate in the licensing
program to carry out the licensing and other functions under
this title if the Secretary, in the case of a State, or the
Commission, in the case of a federally recognized Indian tribe,
determines that such regulatory authority meets the minimum
standards for qualification prescribed under paragraph (2).
(2) Minimum standards for qualified regulatory
authorities.--The Secretary, in consultation with the National
Indian Gaming Commission, shall prescribe minimum standards for
qualifying a qualified regulatory authority under this
subsection, including minimum standards--
(A) relating to the size and qualification of staff
of the regulatory authority to ensure a sufficient
number of enforcement agents with experience in gaming
regulatory enforcement areas to discharge its intended
functions and that the applicant have the
sophistication and resources necessary to evaluate
issues unique to the Internet environment;
(B) relating to the length of time the applicant
has regulated other forms of gaming to ensure
designations of only those applicants that have a
history of demonstrated regulatory enforcement and
oversight commensurate with the responsibilities
imposed under this title;
(C) for assessing the applicant's experience and
willingness to work with Federal authorities, including
the Financial Crimes Enforcement Network;
(D) prohibiting conflicts of interest to ensure
that qualified regulatory authorities are not
controlled, directly or indirectly, by persons that
have any significant ownership interest in entities
regulated under this title;
(E) for the capacity and experience of a qualified
regulatory authority in conducting rigorous suitability
reviews;
(F) for the enforcement and regulatory authorities
provided to the applicant under the law of the
applicable State or federally recognized Indian tribe,
including investigative authority, authority to impose
requirements on licensees, and authority to impose
civil or other penalties; and
(G) the Secretary, in consultation with the
Commission considers relevant to the ability of a
regulatory authority to serve as an effective qualified
regulatory authority.
(3) Withdrawal of qualification.--
(A) In general.--Beginning on the date that is 1
year after the date on which the Secretary prescribes
final regulations under this title, the Secretary, in
the case of a State, or the Commission, in the case of
a federally recognized Indian tribe, may, after
providing 60 days notice to a qualified regulatory
authority, withdraw the qualification of such
regulatory authority under this section if the
Secretary or Commission, respectively, determines that
the regulatory authority is not in compliance with the
minimum standards established under paragraph (2) or
other requirements of this title.
(B) Opportunity to comply.--The Secretary, in the
case of a State, or the Commission, in the case of a
federally recognized Indian tribe, may provide a
qualified regulatory authority who receives notice
under subparagraph (A) with an opportunity to come into
compliance for a period of not more than 180 days. The
Secretary, in the case of a State, or the Commission,
in the case of a federally recognized Indian tribe, may
extend such period by not more than 180 additional days
if the qualified regulatory authority has made
substantial progress toward compliance as of the
expiration of the first 180-day period.
(C) Effect of notice.--A qualified regulatory
authority that receives notice under subparagraph (A)
may not issue any new licenses under this title until
the Secretary, in the case of a State, or the
Commission, in the case of a federally recognized
Indian tribe, determines that the qualified regulatory
authority is in compliance with the requirements of
this title and regulations prescribed thereunder.
(D) Right to appeal.--A qualified regulatory
authority that has had its qualification withdrawn
under this paragraph may appeal to the United States
District Court for the District of Columbia that such
withdrawal was an abuse of discretion.
(4) Action upon withdrawal of qualification.--
(A) In general.--Except as provided in subparagraph
(B), not later than 30 days after the date on which the
Secretary, in the case of a State, or the Commission,
in the case of a federally recognized Indian tribe,
withdraws the qualification of a qualified regulatory
authority under paragraph (3), each person with a
license issued by the qualified regulatory authority
shall--
(i)(I) cease offering, accepting, and
providing services with respect to bets or
wagers from persons located in the United
States under such license; and
(II) return all customer deposits or place
those sums the return of which to United States
customers is not feasible due to change in
customer address, bank details, or similar
difficulty, in escrow in an account with a
financial institution in the United States for
safekeeping and orderly disposition by the
Secretary; or
(ii) apply for a new license from a
different qualified regulatory authority.
(B) Interim operation.--If a person applies for a
new license under clause (ii) of subparagraph (A), the
person may continue the activities described in clause
(i)(I) of such subparagraph until final action is taken
on the license application by the qualified regulatory
authority.
(C) Interim regulatory oversight.--Until final
action is taken under subparagraph (B) with respect to
a person, the Secretary, in the case of a State, or the
Commission, in the case of a federally recognized
Indian tribe, shall have enforcement and regulatory
authority over the licensed activities of such person.
(d) Oversight of Qualified Regulatory Authorities.--The Secretary,
in the case of a State, or the Commission, in the case of a federally
recognized Indian tribe, may investigate and take such action as the
Secretary considers appropriate with respect to any qualified
regulatory authority that appears, based upon the Secretary's or
Commission's own inquiry or based upon credible information provided by
other persons, including licensees or law enforcement officials, to be
deficient or substantially less rigorous than other qualified
regulatory authorities in the discharge of its responsibilities under
this title.
(e) Consultation With Federally Recognized Indian Tribes.--In
implementing this title, the Secretary and the Commission shall conduct
meaningful consultation with federally recognized Indian tribes
regarding all aspects of this title which affect federally recognized
Indian tribes.
SEC. 104. LICENSING BY QUALIFIED REGULATORY AUTHORITIES.
(a) Internet Poker Facility Licensing Program.--
(1) Authority to operate internet poker facility under
valid license.--Notwithstanding any other provision of law and
subject to the provisions of this title, a licensee may accept
a bet or wager with respect to Internet poker from an
individual located in the United States and may offer related
services so long as the license of the licensee issued under
this title remains in good standing.
(2) Significant vendors.--If a person seeks a certificate
of suitability from a qualified regulatory authority to provide
services to a licensee or applicant as a significant vendor
with respect to an Internet poker facility, such person shall
not be required to obtain a license under this title to provide
such services with respect to that Internet poker facility.
(3) Prohibitions imposed by states or federally recognized
indian tribes.--
(A) Action by a state.--No licensee may engage,
under any license issued under this title, in the
operation of an Internet poker facility that knowingly
accepts bets or wagers initiated by persons who reside
in any State which provides notice that it will
prohibit such bets or wagers, if the Governor or other
chief executive officer of such State informs the
Secretary of such prohibition in a letter that
identifies the nature and extent of such prohibition.
(B) Changes to state prohibitions.--The
establishment, repeal, or amendment by a State of any
prohibition described in subparagraph (A) shall apply,
for purposes of this title, beginning on the day that
occurs after the end of the 60-day period beginning on
the later of--
(i) the date a notice of such
establishment, repeal, or amendment is provided
by the Governor or other chief executive
officer of such State in writing to the
Secretary; or
(ii) the effective date of such
establishment, repeal, or amendment.
(C) Application of state action to tribal lands of
federally recognized indian tribes.--Any State
prohibition described in subparagraph (A) shall not
apply to the acceptance by a licensee of bets or wagers
from persons located within the tribal lands of a
federally recognized Indian tribe that--
(i) has itself not opted out pursuant to
subsection (b); or
(ii) would be entitled pursuant to other
applicable law to permit such bets or wagers to
be initiated and received within its territory
without use of the Internet.
(D) Actions by a federally recognized indian
tribe.--No Internet poker licensee knowingly may accept
a bet or wager from a person located in the tribal
lands of any federally recognized Indian tribe which
prohibits such gambling activities or other contests if
the principal chief or other chief executive officer of
such federally recognized Indian tribe informs the
Secretary of such prohibition in a letter that
identifies the nature and extent of such prohibition.
(E) Changes to state and federally recognized
indian tribe prohibitions.--The establishment, repeal,
or amendment by any federally recognized Indian tribe
of any prohibition referred to in subparagraph (D)
shall apply, for purposes of this title, beginning on
the day that occurs after the end of the 60-day period
beginning on the later of--
(i) the date a notice of such
establishment, repeal, or amendment is provided
by the principal chief or other chief executive
officer of such federally recognized Indian
tribe in writing to the Secretary; or
(ii) the effective date of such
establishment, repeal, or amendment.
(F) Notification and enforcement of state and tribe
prohibitions.--
(i) Notification and measures to ensure
compliance.--The Secretary shall notify all
licensees and applicants of all States and
federally recognized Indian tribes that have
provided notice pursuant to subparagraph
(A)(ii) or (C)(ii), as the case may be,
promptly upon receipt of such notice and in no
event fewer than 30 days before the effective
date of such notice. The Secretary shall take
effective measures to ensure that any licensee
under this subchapter, as a condition of the
license, complies with any limitation or
prohibition imposed by any State or federally
recognized Indian tribe to which the licensee
is subject.
(ii) Violations.--A violation of
subparagraph (A) or (C) shall be a violation of
this title enforceable under section 105.
(b) Application for License.--
(1) Application.--Except as provided in subparagraph (B), a
person seeking to operate an Internet poker facility under this
title shall submit to the qualified regulatory authority of the
State or federally recognized Indian tribe where servers for
such Internet poker facility are located or will be located an
application for a license at such time, in such form, and in
such manner as the qualified regulatory authority considers
appropriate, including at a minimum the following:
(A) Complete financial information about the
applicant.
(B) Documentation showing the organization of the
applicant and all related businesses and affiliates.
(C) The criminal and financial history of--
(i) the applicant;
(ii) each of the senior executives and
directors of the applicant;
(iii) any other person who is in control of
the applicant; and
(iv) such other persons as the qualified
regulatory authority considers appropriate.
(D) Such other information as may be necessary for
the suitability analysis required under subsection (c).
(E) Disclosure of all other applications for
licenses previously or simultaneously submitted under
this paragraph to other qualified regulatory
authorities and whether those applications are pending,
were granted, or were denied.
(F) A detailed description of the applicant's plan
for complying with all applicable requirements and
regulations prescribed pursuant to this title.
(G) A certification by the applicant that the
applicant agrees to be subject to--
(i) jurisdiction in Federal courts and in
the courts of the State or federally recognized
Indian tribe of the qualified regulatory
authority to which the applicant has applied;
and
(ii) all applicable provisions of Federal
law.
(2) Notice to the secretary.--Each qualified regulatory
authority shall report all applicants for licensure and the
dispositions of their applications to the Secretary promptly
upon disposition of each application or in such intervals as
the Secretary may prescribe. Such report shall include such
information or documentation as the Secretary may require.
(c) Standards for License Issuance; Suitability Qualifications and
Disqualification Standards.--
(1) Suitability for licensing.--No applicant shall be
eligible to obtain a license under this title unless a
qualified regulatory authority, with whom the applicant has
filed an application for a license, has determined, upon
completion of a background check and investigation, that the
applicant, any person deemed to be in control of the applicant,
all significant vendors of the applicant, and any other person
determined by the qualified regulatory authority as having
significant influence on the applicant are suitable for
licensing or for receiving a certificate of suitability as
applicable.
(2) Investigation.--
(A) Determination of suitability.--Prior to issuing
a license under this section, a qualified regulatory
authority shall conduct the investigation and analysis
described in paragraph (1) to determine whether the
applicant or person--
(i) is a person of good character, honesty,
and integrity;
(ii) is a person whose prior activities,
criminal record, if any, reputation, habits,
and associations do not--
(I) pose a threat to the public
interest or to the effective regulation
and control of Internet poker
facilities; or
(II) create or enhance the dangers
of unsuitable, unfair, or illegal
practices, methods, and activities in
the conduct of Internet poker
facilities or the carrying on of the
business and financial arrangements
incidental to such facilities;
(iii) is capable of and likely to conduct
the activities for which the applicant is
licensed or receives a certificate of
suitability in accordance with the provisions
of this title, any regulations prescribed under
this title, and all other applicable laws;
(iv) with respect to applicants, has or
guarantees acquisition of adequate business
competence and experience in the operation of
casino gaming facilities or Internet poker
facilities;
(v) with respect to applicants, has or will
obtain sufficient financing for the nature of
the proposed operation and from a source that
the qualified regulatory authority has not
found unsuitable under the criteria established
under subparagraph (B); and
(vi) has disclosed to the qualified
regulatory authority all known affiliations or
relationships, whether direct or indirect.
(B) Unsuitable.--An applicant or any other person
may not be determined to be suitable under this
subsection if the applicant or such person--
(i) has failed to provide information and
documentation material to a determination of
suitability for licensing under paragraph (1);
(ii) has supplied information which is
untrue or misleading as to a material fact
pertaining to any such determination;
(iii) has been convicted of an offense that
is punishable by imprisonment of more than 1
year;
(iv) is delinquent in the payment of any
applicable Federal or State tax, tax penalty,
addition to tax, or interest owed to a
jurisdiction in which the applicant or person
operates or does business, unless such payment
has been extended or is the subject of a
pending judicial or administrative dispute;
(v) has not certified in writing that the
person submits to personal jurisdiction in the
United States; or
(vi) fails to comply with such other
standard as the applicable qualified regulatory
authority considers appropriate.
(C) Ineligibility due to prior engagement in
unlawful internet poker.--
(i) No applicant nor any other person may
be eligible for a license or certificate of
suitability under this section if such
applicant or person has been convicted of
accepting bets or wagers from any other person
through an Internet poker facility in felony
violation of Federal or State law. The
ineligibility of an applicant or other person
under this subparagraph shall terminate on the
date that is 5 years after the date on which
the first license is issued under this section.
(ii) No applicant or person who has
purchased the assets of a person described in
clause (i) subsequent to the enactment of this
Act shall be eligible for a license or
certificate of suitability under this section
until the date that is 5 years after the date
on which the first license is issued.
(3) Ongoing requirement.--A licensee (and any other person
who is required to be determined to be suitable for licensing
in connection with such licensee) shall meet the standards
necessary to be suitable for licensing or to receive a
certificate of suitability, as the case may be, throughout the
term of the license.
(4) Certificate of suitability for significant vendors.--
(A) In general.--If a qualifying body determines
under paragraph (1) that a significant vendor of an
applicant is suitable under such paragraph, the
qualifying body shall issue a certificate to such
vendor that certifies the suitability of such vendor.
(B) Revocation of certificate.--A qualified
regulatory authority that issues a certificate to a
significant vendor under subparagraph (A) shall revoke
the certificate if at any time the significant vendor
no longer meets the standards necessary for a
determination of suitability.
(C) Certificates issued by other qualified
regulatory authority.--A qualified regulatory authority
may, but need not, accept a certificate issued to a
significant vendor by another qualified regulatory
authority as evidence of the suitability of the
significant vendor.
(5) Other vendors.--
(A) Notice.--A licensee shall promptly notify the
qualified regulatory authority that issued the license
to the licensee of all persons that are not significant
vendors that--
(i) direct, provide, or solicit customers
to or for the licensee's Internet poker
facility, or materially assist in any of those
tasks, in return for a commission or other fee;
(ii) hold themselves out to the public as
offering bets or wagers on licensee's behalf;
(iii) offer bets or wagers under their own
names or brands but using and relying on
licensee's Internet poker facilities;
(iv) license trademarks, trade names,
service marks, or other similar intellectual
property to the licensee; or
(v) own a substantial interest in or
control a person described in clause (i), (ii),
(iii), or (iv).
(B) Suitability of other vendors and persons.--A
qualified regulatory authority that reviews an
application of an applicant for a license or issues a
license to a licensee may, at the sole discretion of
the qualified regulatory authority and on a case-by-
case basis, require as a condition of such license that
a person meet suitability requirements under paragraph
(1) if the person--
(i) is described in subparagraph (A) with
respect to the applicant or licensee;
(ii) provides services to an applicant or
licensee and the qualified regulatory authority
determines that with respect to such services,
there is a substantial risk of circumvention of
the suitability requirements applicable to
significant vendors; or
(iii) is associated with the applicant or
licensee or one of the significant vendors of
the applicant or licensee and the qualified
regulatory authority determines such person may
pose a threat to the integrity of Internet
poker facilities operated by the applicant or
licensee.
(C) Information.--A qualified regulatory authority
may require such information from an applicant,
licensee, significant vendor or other person identified
in this paragraph as the qualified regulatory authority
considers necessary to carry out this paragraph.
(6) Enforcement actions.--
(A) In general.--If the Secretary or the qualified
regulatory authority that issued a license to a
licensee finds that the licensee, or any other person
that is subject to a required determination of
suitability in connection with such licensee, fails to
meet the suitability requirements of this subsection at
any time during the tenure of the license, the
Secretary or the qualified regulatory authority may
take action to protect the public interest, including,
if the Secretary or qualified regulatory authority
considers necessary, the suspension or termination of
the license.
(B) Imposition of conditions including removal of
parties.--Notwithstanding a determination under
subparagraph (A), the Secretary or the qualified
regulatory authority that issued a license to a
licensee may allow the licensee to continue engaging in
licensed activities by imposing conditions on the
person to which subparagraph (A) is applicable under
penalty of revocation or suspension of a license or
certificate of suitability, including--
(i) the identification of any person
determined to be unsuitable; and
(ii) the establishment of appropriate
safeguards to ensure such person is excluded
from any management or involvement in operation
of the licensed activities.
(7) Administrative provisions.--
(A) Background check and investigation.--Each
qualified regulatory authority shall establish
standards and procedures for conducting background
checks and investigations for purposes of this
subsection.
(B) Privilege.--Any written or oral statement made
in the course of an official proceeding of the
Secretary or a qualified regulatory authority, by any
member thereof, or any witness testifying under oath
which is relevant to the purpose of the proceeding and
relates to the review of an application for a license
under this title, is privileged and shall not give rise
to liability for defamation or relief in any civil
action.
(C) Additional privilege.--Notwithstanding section
552 of title 5, United States Code, or any other
Federal, State, or tribal law to the contrary, any
communication or document of an applicant, licensee,
significant vendor, or affiliate thereof, which is made
or transmitted pursuant to this title to the Secretary
or a qualified regulatory authority or any of their
agents or employees, except information that is already
public, shall be privileged and shall not be disclosed
by the Secretary or the qualified regulatory authority
without the prior written consent of the applicant,
licensee, significant vendor, or affiliate thereof (as
applicable), or pursuant to a lawful court order, grand
jury subpoena, or similar procedure. To the extent
practicable, the Secretary or qualified regulatory
authority shall provide timely notice of the
proceedings to the applicant, licensee, significant
vendor, or affiliate thereof (as applicable).
(D) Preservation of privilege recognized under
other provisions of law.--Any privilege recognized
under any other applicable provision of Federal, State,
or tribal law, including attorney-client, physician-
patient, and accountant-client privileges, shall not be
waived or lost because a document or communication
otherwise protected by the privilege is disclosed to
the Secretary or a qualified regulatory authority.
(E) Confidentiality.--Any communication or
document, except information that is already public,
shall be treated as confidential and may not be
disclosed, in whole or part, by the Secretary or a
qualified regulatory authority without a lawful court
order or as otherwise expressly required by law, if the
communication or document is--
(i) required by the Secretary or qualified
regulatory authority to be disclosed by the
applicant, licensee, or significant vendor,
including applications, financial or earnings
information, and criminal records, whether of
the applicant or licensee or of any affiliate,
employee, officer, director, or significant
vendor thereof, or of any other third party; or
(ii) prepared or obtained by an agent or
employee of the Secretary or qualified
regulatory authority that contains information
described in clause (i).
(d) Additional Requirements for a License.--In order to obtain a
license under this section, an Internet poker facility shall
demonstrate to the qualified regulatory authority that such facility
maintains appropriate safeguards and mechanisms, in accordance with
standards established by the qualified regulatory authority, including
appropriate safeguards and mechanism to--
(1) ensure, to a reasonable degree of certainty, that the
individual placing a bet or wager is not less than 21 years of
age;
(2) ensure, to a reasonable degree of certainty, that the
individual placing a bet or wager is physically located in a
jurisdiction that has not prohibited such bets or wagers at the
time the bet or wager is placed;
(3) ensure, to a reasonable degree of certainty, that all
taxes relating to Internet poker from persons engaged in bets
or wagers relating to such Internet poker are collected or
reported, as required by law, at the time of any payment of
proceeds of such bets or wagers;
(4) ensure that all taxes relating to the operation of an
Internet poker facility from any licensee are collected and
disbursed as required by law and that adequate records to
enable later audit or verification are maintained;
(5) prevent, to a reasonable degree of certainty, fraud,
money laundering, and terrorist financing;
(6) ensure, to a reasonable degree of certainty, compliance
with the requirements of section 106;
(7) protect, to a reasonable degree of certainty, the
privacy and online security of any person engaged in bets or
wagers with the licensee's Internet poker facility;
(8) ensure that any user fee required under subsection (e)
is paid to the qualified regulatory authority;
(9) ensure, to a reasonable degree of certainty, that
Internet poker games are fair and honest, and to prevent, to a
reasonable degree of certainty, cheating, including collusion,
and use of cheating devices, including use of software programs
(sometimes referred to as ``bots'') that make bets or wagers
according to algorithms; and
(10) such other mechanisms and safeguards as the qualified
regulatory authority shall require, including independent
testing of hardware, software, communication equipment, and
other necessary devices to ensure the integrity,
accountability, randomness of play and security of the network.
(e) Fees for Administrative Expenses.--
(1) User fees.--
(A) In general.--The cost of administering this
title with respect to each applicant, licensee, and
significant vendor, including the cost of any review or
examination of a licensee or its significant vendors to
ensure compliance with the terms of the license and
this title, shall be assessed by the qualified
regulatory authority receiving an application or
issuing a license against the applicant, licensee, or
significant vendor, as the case may be, by written
notice in an amount that the qualified regulatory
authority determines is necessary to--
(i) meet the qualified regulatory
authority's expenses in carrying out such
administration, review, or examination; and
(ii) to cover the qualified regulatory
authority's share of the amount determined by
the Secretary under paragraph (3) to cover the
expenses incurred by the Secretary in carrying
out the provisions of this title.
(B) Expenses for review or examination.--Expenses
that are attributable to review or examination of a
particular applicant, licensee, or significant vendor
shall be assessed under subparagraph (A) against that
applicant, licensee, or significant vendor.
(C) Expenses for general administration.--Expenses
for general administration shall be assessed against
all licensees equally.
(D) Disposition of user fees.--Amounts assessed by
a qualified regulatory authority as user fees under
this paragraph shall--
(i) be remitted to the Secretary, in the
amount of that State's or federally recognized
Indian tribe's share as determined under
paragraph (3) for deposit in the Treasury in
accordance with subparagraph (B) of such
paragraph; and
(ii)(I) be available to the qualified
regulatory authority to cover expenses incurred
by the qualified regulatory authority in
carrying out the provisions of this title; and
(II) not be construed to be Government
funds or appropriated monies, or subject to
apportionment for the purposes of any other
provision of law.
(E) Collection.--
(i) Referral.--If a licensee or significant
vendor fails to pay a user fee to a qualified
regulatory authority under this paragraph after
the assessment of the fee has become final--
(I) the qualified regulatory
authority may recover the amount
assessed by action in any State or
tribal court in the jurisdiction of the
qualified regulatory authority, or in
any appropriate United States district
court, along with any costs of
collection and attorney fees; and
(II) such failure may be grounds
for denial of an application for a
license under this title or revocation
of a license or certificate of
suitability under this title.
(ii) Assessment reviewable.--In any civil
action under clause (i), a court may review the
validity and adjust the amount of the user
fees.
(F) User fees of significant vendors may be paid by
applicants and licensees.--A user fee assessed against
a significant vendor may be paid by an applicant or
licensee on behalf of the significant vendor.
(2) Direct and exclusive obligation of licensee.--With
respect to a licensee, a user fee shall be the direct and
exclusive obligation of the licensee and may not be deducted
from amounts available as deposits to any person placing a bet
or wager with the licensee.
(3) User fees established by secretary.--
(A) In general.--The Secretary shall determine the
funding requirements necessary to meet the Secretary's
cost of administering this title and notify each
qualified regulatory authority of its proportional
share to be collected by such regulatory authority
under paragraph (1)(A).
(B) Disposition of user fees.--Amounts remitted to
the Secretary under paragraph (1)(D)(i) shall--
(i) be deposited into a separate account in
the Treasury to be known as the ``Internet
Poker Oversight Fund''; and
(ii) be available to the Secretary in such
amounts, subject to appropriations, to cover
expenses incurred by the Secretary in carrying
out the provisions of this title.
(f) Approval of License.--
(1) In general.--A qualified regulatory authority may issue
licenses under this title for the operation of an Internet
poker facility to any applicant that--
(A) owns or controls a company that operates a
casino gaming facility or qualified card room and owned
or controlled such facility or card room on the date
that is 10 days before the date of enactment of this
Act;
(B) for the duration of the 5-year period ending on
the date on which the applicant submits an application
under subsection (b)(1), owned or controlled a casino
gaming facility or qualified card room;
(C) is owned or controlled by a person who--
(i) owns or controls a company that
operates a casino gaming facility or qualified
card room and owned or controlled such facility
or card room on the date that is 10 days before
the date of enactment of this Act; or
(ii) for the duration of the 5-year period
ending on the date on which the applicant
submits an application under subsection (b)(1),
owned or controlled a casino gaming facility or
qualified card room;
(D) for the duration of the 5-year period ending on
the date on which the applicant submits an application
under subsection (b)(1), under license issued by a
State or federally recognized Indian tribe manufactured
and supplied to casino gaming facilities with not fewer
than 500 slot machines; and
(E) meets other criteria established by the
Secretary or by the qualified regulatory authority
under this title.
(2) Expansion of licensees only if no risk to public.--
Beginning on the date that is 2 years after the date of first
issuance specified in section 115(b), the Secretary may, by
rule, authorize the issuance of licenses to applicants other
than those described in paragraph (1) if the Secretary
determines, after providing the public with notice and an
opportunity to comment, that such authorization will not
significantly increase the risk that the standards described in
subsection (d) will not be satisfied by licensees.
(3) Authority of secretary to revoke licenses.--
Notwithstanding any certificate of suitability or license
issued by a qualified regulatory authority, the Secretary may
suspend or revoke such certificate or license if the Secretary
has reason to believe that the recipient does not meet the
suitability requirements established under subsection (c) or,
as applicable, any other requirement imposed on a licensee
under this title. The Secretary may not overturn a decision by
a qualified regulatory authority to deny or to terminate a
license or to deny or revoke a certificate of suitability.
(4) Conflicts between qualified regulatory authorities.--If
a qualified regulatory authority denies a license, terminates a
license, denies a certificate of suitability, or revokes a
certificate of suitability to a person and within 12 months of
such denial, termination, or revocation another qualified
regulatory authority grants such person a license or
certificate of suitability, the Secretary shall--
(A) commence a review of such license or
certificate of suitability; and
(B) not later than 90 days after such commencement,
determine whether to act under paragraph (3).
(5) Control defined.--In this subsection, the term
``control'' means, with respect to a person, the possession,
directly or indirectly, of the power to direct or influence the
direction of the management or policies of the person, whether
through the ownership of voting securities, through a
management, executive officer, or board position, by
shareholders or similar agreement, or otherwise.
(g) Location of Remote Gaming Equipment.--A licensee shall maintain
its remote gaming equipment within the territory of the United States
throughout the term of its license. A qualified regulatory authority
shall require applicants that seek a license from such qualified
regulatory authority to locate that equipment within the territory of
the State or on the Indian land of the tribe of the qualified
regulatory authority.
(h) License Is a Privilege Not a Right.--A decision by a qualified
regulatory authority not to grant a person a license or certificate of
suitability, or to terminate a license, or revoke a certificate of
suitability, is not reviewable under Federal law or the law of any
jurisdiction other than the jurisdiction of the qualified regulatory
authority. The State or federally recognized Indian tribe of the
jurisdiction of the qualified regulatory authority may, but need not,
provide an opportunity to appeal.
(i) Term, Renewal, and Transfer of License.--
(1) Term.--Any license issued under this title shall be
issued for a 5-year term beginning on the date of issuance. A
license may be renewed in accordance with requirements
prescribed by the qualified regulatory authority that issued
the license under this title.
(2) Transfer.--A transfer of a license, change of control
of a licensee, or change in significant vendor shall require
prior approval by the qualified regulatory authority that
issued the license. The qualified regulatory authority shall at
a minimum ensure the suitability requirements of subsection (c)
continue to be satisfied before approving any such transfer or
change.
(j) Administrative Provisions.--
(1) Determination of internet poker.--
(A) Initial determination by qualified regulatory
authority.--A determination of whether a game, hand,
tournament, or other contest of a licensee is Internet
poker shall be made in the first instance by the
qualified regulatory authority that issued the license
to such licensee under this title.
(B) Challenges.--
(i) Challenge made with secretary.--A
licensee or qualified regulatory authority may
file a challenge with the Secretary regarding
any determination of the qualified regulatory
authority under subparagraph (A) that a game,
hand, tournament, or other contest of another
licensee is Internet poker.
(ii) Determination made by secretary within
30 days.--If a challenge is made under clause
(i), the Secretary shall make a determination
of whether the game, hand, tournament, or other
contest is Internet poker not later than 30
days after the date on which the challenge is
made.
(iii) Operation until determination.--A
licensee that offers a game, hand, tournament,
or other contest that is challenged under
clause (i) may continue to offer such game,
hand, tournament, or other contest until the
Secretary makes a determination under clause
(ii).
(C) Appeals.--Not later than 30 days after the date
on which the Secretary makes a determination under
subparagraph (B)(iii), a licensee or a qualified
regulatory authority may appeal such determination to
the United States District Court for the District of
Columbia. Such court shall set aside the Secretary's
determination if the court determines that the
Secretary's determination was--
(i) arbitrary, capricious, an abuse of
discretion, or otherwise not consistent with
law; or
(ii) without observance of procedure
required by law.
(2) Challenges under state or federally recognized indian
tribal law.--Except as provided in paragraph (1) and unless
otherwise specifically provided in this title, actions taken by
a qualified regulatory authority may be challenged by
applicants and licensees only as permitted under the law of the
State or federally recognized Indian tribe in which the
qualified regulatory authority is located.
(3) Summons.--
(A) In general.--The Secretary may issue a summons
with respect to an applicant or licensee necessary to
carry out the provisions of this title.
(B) Production at designated site.--A summons
issued by the Secretary pursuant to this paragraph may
require that books, papers, records, or other data
stored or maintained at any place be produced at any--
(i) business location of a licensee or
applicant for a license;
(ii) designated location in the State or
Indian lands of the applicable qualified
regulatory authority; or
(iii) designated location in the District
of Columbia.
(C) No liability for expenses.--The Secretary shall
not be liable for any expense incurred in connection
with the production of books, papers, records, or other
data under this paragraph.
(D) Service of summons.--Service of a summons
issued under this subsection may be by registered mail
or in such other manner calculated to give actual
notice as determined by the Secretary.
(E) Authorization to invoke aid of courts.--The
Secretary may invoke the aid of any court of the United
States to compel compliance with the summons within the
jurisdiction of which--
(i) the investigation which gave rise to
the summons or the examination is being or has
been carried on;
(ii) the person summoned is an inhabitant;
or
(iii) the person summoned carries on
business or may be found.
(F) Power of courts to compel appearance.--The
court may issue an order requiring the person summoned
to appear before the Secretary--
(i) to produce books, papers, records, and
other data;
(ii) to give testimony as may be necessary
to explain how such material was compiled and
maintained;
(iii) to allow the Secretary to examine the
business of a licensee; and
(iv) to pay the costs of the proceeding.
(G) Contumacy or refusal.--Any failure to obey the
order of the court under this paragraph may be punished
by the court as a contempt thereof. All process in any
case under this subsection may be served in any
judicial district in which such person may be found.
SEC. 105. ENFORCEMENT.
(a) Disciplinary Action.--
(1) In general.--A licensee may be subject to disciplinary
action, including suspension or revocation of its license, by a
qualified regulatory authority that issued a license to the
licensee or by the Secretary if the licensee fails to comply
with any provision of this title, any regulation prescribed
thereunder, or any other applicable provision of State or
tribal law.
(2) Initiating enforcement.--Only the Secretary or the
qualified regulatory authority which granted the license may
initiate disciplinary action under this title.
(3) Savings provision.--Nothing in this subsection shall be
construed to prohibit a law enforcement authority or regulatory
body that has authority over a licensee or an affiliated
person, independent from this title, from taking action under
the law of that law enforcement authority or regulatory body.
(4) Disciplinary procedures.--
(A) In general.--A qualified regulatory authority
shall commence disciplinary action under this
subsection against a licensee upon service of a formal
written complaint upon the licensee, with a copy
forwarded to the Secretary, that sets forth the grounds
for the disciplinary action and the proposed penalty
that is being sought, which may include any or all of
the imposition of a fine as provided pursuant to
subsection (m)(1) or limitation, condition, suspension,
or revocation of the license.
(B) In accordance with law of jurisdiction of
qualified regulatory authority.--The disciplinary
process shall proceed according to the law of the
jurisdiction of the applicable qualified regulatory
authority.
(5) Finality of action and appeals.--
(A) Finality.--Any disciplinary action shall be
treated as a final action.
(B) Action by qualified regulatory authorities.--A
licensee aggrieved by disciplinary action by a
qualified regulatory authority may file an appeal in
the jurisdiction where the qualified regulatory
authority taking such action is located only to the
extent permitted by the law of such jurisdiction.
(C) Action by secretary.--A licensee aggrieved by
disciplinary action by the Secretary may file an appeal
in the United States District Court for the District of
Columbia. Such court shall set aside the action if it
determines that the action was--
(i) arbitrary, capricious, an abuse of
discretion, or otherwise not consistent with
law; or
(ii) without observance of procedure
required by law.
(6) Pending appeal.--During the period in which a
suspension or revocation of an existing license is being
challenged through a pending judicial proceeding, the court
handling the challenge may allow the licensee to continue
offering bets and wagers in full compliance with the terms of
its existing license and any other conditions the court
considers necessary, if the court determines that--
(A) the appellant has a reasonable likelihood of
success on the merits; and
(B) allowing the appellant to continue offering
bets and wagers while the appeal is pending will not
threaten the public interest.
(7) Return of customer funds.--If a licensee's license is
revoked and no appeal pursuant to paragraph (5) is pending, the
licensee shall--
(A) return all customer funds in an orderly manner
not later than 30 days after the date of the revocation
of the license; or
(B) place in escrow those sums return of which to
United States customers is not feasible due to change
in customer address, bank details, or similar
difficulty, in an account with a financial institution
in the United States for safekeeping and orderly
disposition by the Secretary.
(8) Referral to attorney general.--If, in the course of
carrying out the provisions of this title, the Secretary or a
qualified regulatory authority finds a substantial basis to
believe that a person has violated section 103, the Secretary
or qualified regulatory authority shall refer such matter to
the Attorney General.
(b) Civil Money Penalties.--
(1) In general.--
(A) Penalties assessed by qualified regulatory
authorities.--A qualified regulatory authority may
assess upon any licensee or other person subject to the
requirements of this title for each violation of this
title or any regulation prescribed or order issued
under this title, a civil penalty of not more than the
greater of--
(i) the amount involved in the violation,
if any;
(ii) $250,000 for an individual and
$750,000 for a corporation; or
(iii) such other amount as provided under
the applicable State or tribal law of the
qualified regulatory authority.
(B) Penalties assessed by secretary.--The Secretary
may assess upon any licensee or other person subject to
the requirements of this title for each violation of
this title or any regulation prescribed or order issued
under this title, a civil penalty of not more than the
greater of--
(i) the amount involved in the violation,
if any; or
(ii) $250,000 for an individual and
$750,000 for a corporation.
(C) Not cumulative.--
(i) In general.--The penalties authorized
under subparagraphs (A) and (B) shall not be
cumulative and only one such penalty may be
assessed per violation.
(ii) Construction.--Clause (i) shall not be
construed to limit the authority of a
qualifying body or the Secretary, as the case
may be, to pursue a civil penalty for each
violation of a related series of violations.
(D) Failure to obtain a license.--Notwithstanding
any other provision of law, the Secretary may assess
upon a person that is required to obtain a license
under this title, but fails to obtain a license under
this title, a civil penalty of not more than the
greater of--
(i) the amount of bets or wagers taken by
the person from players in the United States
during the period that a license was needed but
not held by the person; or
(ii) $1,000,000 per day that the person
accepts bets or wagers from players in the
United States during the period that a license
was needed but not held by the person.
(E) Construction.--Nothing in this paragraph shall
be construed to affect the ability of a law enforcement
official to seek criminal penalties against a person.
(2) Assessment.--
(A) Enforcement by qualified regulatory
authorities.--Qualified regulatory authorities and such
other entities as are authorized by applicable State
and tribal law shall enforce the provisions of this
title under the law of the applicable State or
federally recognized Indian tribe, and penalties shall
be determined, reviewable, collectable, and disposed of
as provided under such law.
(B) Enforcement by secretary.--
(i) Written notice.--Any penalty imposed
under paragraph (1)(B) shall be assessed and
collected by the Secretary by written notice.
(ii) Finality of assessment.--If, with
respect to any assessment under paragraph
(1)(B), a hearing is not requested pursuant to
clause (v) within the period of time allowed
under such clause, the assessment shall
constitute a final agency order.
(iii) Authority to modify or remit
penalty.--The Secretary may compromise, modify,
or remit any penalty which the Secretary may
assess or has already assessed under paragraph
(1)(B).
(iv) Mitigating factors.--In determining
the amount of any penalty imposed under
paragraph (1)(B), the Secretary shall take into
account the appropriateness of the penalty with
respect to the following:
(I) The size of the financial
resources and the good faith of the
person against whom the penalty is
assessed.
(II) The gravity of the violation.
(III) The history of previous
violations.
(IV) Such other matters as justice
may require.
(v) Hearing.--The person against whom any
penalty is assessed under paragraph (1)(B)
shall be afforded an agency hearing if such
person submits a request for such hearing not
later than 20 days after the date of the
issuance of the notice of assessment.
(vi) Collection.--
(I) Referral.--If any person fails
to pay an assessment after any penalty
assessed under this subparagraph has
become final, the Secretary shall
recover the amount assessed by action
in the appropriate United States
district court.
(II) Scope of review.--In any civil
action under subclause (I), the
validity and appropriateness of the
penalty shall be subject to review for
abuse of agency discretion.
(vii) Disbursement.--All penalties
collected under authority of paragraph (1)(B)
shall be deposited into the Treasury of the
United States.
(3) Condition for licensure.--Payment by a licensee of any
civil penalty assessed under this subsection that has become
final shall be a requirement for the retention of its license.
SEC. 106. COMPULSIVE GAMING, RESPONSIBLE GAMING, AND SELF-EXCLUSION
PROGRAM REQUIREMENTS.
(a) Regulations Required.--Each qualified regulatory authority
shall, before issuing any licenses under this title, establish
requirements for the development of a gambling addiction, responsible
gaming, and self exclusion program that each licensee of that qualified
regulatory authority shall implement as a condition of licensure. Such
requirements shall also provide for the establishment of a program to
alert the public to the existence, consequences, and availability of
the self-exclusion list established under subsection (c).
(b) Minimum Requirements.--At a minimum, each qualified regulatory
authority shall require that licensees--
(1) provide informational materials written in plain
language about responsible gaming, including information about
the self-exclusion list established under subsection (c) and
how a player may request placement on the list, each time a
player signs in to make a bet or wager, which materials shall
be provided via a prominently displayed hyperlink or comparable
mechanism;
(2) provide informational materials about responsible
gaming to any player that requests such materials;
(3) make continuously available individualized responsible
gaming options that any customer may choose, including allowing
customers to self-limit their deposit, time and bet amounts, as
well as self-limit their access to the issuance of credit,
check cashing, or direct mail marketing by the licensee, in
each case as and to the extent that the qualified regulatory
authority may consider appropriate;
(4) ensure to a reasonable degree of certainty that persons
on the list of self-excluded persons established pursuant to
subsection (c) are prevented from initiating any bets or wagers
within the scope of this title;
(5) ensure that the information required under this
subsection is clearly and prominently made available by the
licensee in each language in which services of the Internet
poker facility of the licensee are offered; and
(6) ensure that the qualified regulatory authority adopt
any practices that the Secretary recommends to protect
consumers, taking into account the National Council on Problem
Gambling Internet Responsible Gambling Standards.
(c) List of Persons Self-Excluded.--
(1) Establishment.--
(A) Lists maintained by qualified regulatory
authorities.--Each qualified regulatory authority shall
establish and maintain a list of persons self-excluded
from playing Internet poker through Internet poker
facilities licensed by the qualified regulatory
authority. Each week, each qualified regulatory
authority shall submit to the Secretary a current copy
of the list.
(B) Master list maintained by secretary.--The
Secretary shall establish and maintain a master list of
all persons self-excluded from playing Internet poker
through Internet poker facilities licensed under this
title. Such list shall consist of all persons submitted
under subparagraph (A). The Secretary shall make the
master list available to all qualified regulatory
authorities and licensees.
(C) Placement request.--Any person may request
placement on the list of self-excluded persons by--
(i) acknowledging in a manner to be
established by each qualified regulatory
authority with respect to its licensees that
the person wishes to be denied gaming
privileges within the scope of this title; and
(ii) agreeing that, during any period of
voluntary exclusion, the person may not collect
any winnings or recover any losses resulting
from any gaming activity at any Internet poker
facility of a licensee.
(2) Limitation on liability.--
(A) In general.--Except as provided in subparagraph
(B), the United States, the Secretary, a qualified
regulatory authority, the State, or federally
recognized Indian tribe in which that qualified
regulatory authority is located, an enforcement agent,
licensee, or any employee or agent thereof, shall not
be liable to any self-excluded person or to any other
party in any judicial or administrative proceeding for
any harm, monetary or otherwise, which may arise as a
result of--
(i) any failure to withhold gaming
privileges from, or to restore gaming
privileges to, a self-excluded person;
(ii) otherwise permitting a self-excluded
person to engage in gaming activity while on
the list of self-excluded persons; or
(iii) disclosure of information about
individuals placed on the list of self-excluded
persons.
(B) Licensees.--A licensee or employee or agent
thereof may be liable to a self-excluded person in a
judicial or administrative proceeding for a harm
described in subparagraph (A) to the extent provided
under the law of the State or federally recognized
Indian tribe of the qualified regulatory authority that
issued the license.
(C) Rule of construction.--Nothing in this
paragraph shall be construed to prevent the Secretary
or a qualified regulatory authority from assessing a
regulatory sanction against a licensee or person for
failing to comply with a provision of this section or a
regulation prescribed thereunder or for misuse of any
list of self-excluded persons for purposes not
authorized under this section.
(3) Disclosure provisions.--
(A) In general.--Notwithstanding any other
provision of Federal, State, or tribal law, the list of
self-excluded persons shall not be open to public
inspection.
(B) Affiliate disclosure.--If necessary to
effectuate the self-exclusion purposes of this
subsection, any licensee may disclose the identities of
persons on the self-excluded list to any significant
vendor, service provider, or affiliated company to the
extent that the significant vendor, service provider,
or affiliated company maintains such information under
confidentiality provisions comparable to those in this
subsection.
(d) Gaming by Prohibited Persons.--
(1) Prohibition on benefitting from prohibited gaming
activity.--A person who is prohibited from gaming with a
licensee by law, or by order of the Secretary, a qualified
regulatory authority, or any court of competent jurisdiction,
including any person on the self-exclusion list under
subsection (c), shall not collect, in any manner or proceeding,
any winnings or recover any losses arising as a result of any
prohibited gaming activity.
(2) Forfeiture.--In addition to any other penalty provided
by law, any money or thing of value that has been obtained by,
or is owed to, any prohibited person by a licensee as a result
of bets or wagers made by a prohibited person after the
applicable prohibition has become effective shall be subject to
forfeiture by order of the Secretary or a qualified regulatory
authority, following notice to the prohibited person and
opportunity to be heard.
(3) Deposit of forfeited funds.--Any funds forfeited
pursuant to this subsection shall be deposited into the
Treasury of the United States, or, in the case of a forfeiture
to a qualified regulatory authority, as provided by the
applicable State or tribal law.
(e) Requirements With Respect to Child Support Delinquents.--
(1) In general.--When it is made known to the Secretary or
a qualified regulatory authority by a Federal or State court or
a competent qualified regulatory authority involved with the
administration or enforcement of a court-ordered child support
payment that a particular individual is delinquent with respect
to court-ordered child support payments, the Secretary shall
include that individual on the list established under
subsection (c).
(2) Removal from list.--Individuals placed on the list
pursuant to paragraph (1) shall be removed from such list if
the court or agency that made such individual's delinquency
known to the Secretary notifies the Secretary that such
individual is no longer delinquent.
(f) Authority To Address Gambling Addiction in SAMHSA
Authorities.--Section 501(d) of the Public Health Service Act (42
U.S.C. 290aa(d)) is amended--
(1) by striking ``and'' at the end of paragraph (17);
(2) by striking the period at the end of paragraph (18) and
inserting ``; and''; and
(3) by adding at the end the following:
``(19) establish and implement programs for the
identification, prevention, and treatment of pathological and
other problem gambling.''.
(g) Compilation of Datasets on Player Behavior.--The Secretary
shall compile and make available to the public, on the Web site of the
Secretary, datasets on player behavior from customer tracking data
collected or generated by loyalty programs, player tracking software,
online gambling transactions, or any other information system. The
Secretary shall ensure that personally identifying information,
including player name, street address, and bank or credit information
is removed from the data. The data shall retain information on player
characteristics including gender, age and region of residence, player
behavior including frequency of play, length of play, speed of play,
denomination of play, amounts wagered and, if applicable, number of
lines or hands played and characteristics of games played.
(h) Administrative Provisions.--
(1) Rule of construction.--No provision of this section
shall be construed as creating a legal duty in the Secretary, a
qualified regulatory authority, a licensee, or any employee or
agent thereof to identify or to exclude compulsive players not
on the list of self-excluded persons.
(2) No cause of action.--The Secretary, a qualified
regulatory authority, a licensee, and any employee or agent
thereof, shall not be liable to any person in any proceeding
for losses or other damages of any kind arising out of that
person's gaming activities based on a claim that the person was
a compulsive, problem, or pathological player.
SEC. 107. PROHIBITIONS AND RESTRICTIONS.
(a) Prohibition on Bets or Wagers on Games Other Than Internet
Poker.--No provision of this title shall be construed to authorize any
licensee to accept a bet or wager on any game, event, or activity that
is not Internet poker.
(b) Prohibition on the Use of Credit Cards for Internet Poker.--No
licensee, no person operating on behalf of a licensee, and no person
accepting payment for or settlement of a bet or wager who intends to
transmit such payment to a person licensee, may accept a bet or wager
or payment for or settlement of a bet or wager that is transmitted or
otherwise facilitated with a credit card (as defined in section
5362(11) of title 31, United States Code).
(c) Public Internet Poker Parlors Prohibited.--
(1) In general.--It shall be considered a violation of this
title to operate an unlicensed place of public accommodation,
club (including a club or association limited to dues-paying
members or similar restricted groups), or similar establishment
in which computer terminals or similar access devices are made
available to be used principally for the purpose of accessing
Internet poker facilities.
(2) Criminal penalties.--Any person who violates subsection
(a) shall be fined under title 18, United States Code,
imprisoned for not more than 5 years, or both.
(3) Construction.--Nothing in this title shall be construed
to authorize or otherwise to permit the operation of places of
public accommodation, clubs (including clubs or associations
limited to dues-paying members or similar restricted groups)
and similar establishments that permit access to Internet poker
facilities.
(4) Relation to state, local, and tribal law.--Places of
public accommodation, clubs, or similar establishments
described in paragraph (1) shall be subject to all otherwise
applicable State, local, and tribal laws.
SEC. 108. SAFE HARBOR.
It shall be an affirmative defense to any prosecution or
enforcement action under any provision of Federal, State, or tribal law
that the activity forming the basis of such prosecution or enforcement
action is authorized under and has been carried out lawfully in
accordance with and under the terms of this title.
SEC. 109. RELATION TO SUBCHAPTER IV OF CHAPTER 53 OF TITLE 31, UNITED
STATES CODE.
Subchapter IV of chapter 53 of title 31, United States Code, shall
not apply to any bet or wager occurring pursuant to a license issued
under this title, subject to section 110.
SEC. 110. CHEATING AND OTHER FRAUD.
(a) Cheating and Cheating Devices Prohibited.--
(1) Cheating prohibited.--No person initiating, receiving,
or otherwise making a bet or wager with a licensee, or sending,
receiving, or inviting information assisting with a bet or
wager with a licensee shall knowingly violate, attempt to
violate, or assist another in violating the rules of play
established by the licensee for the purpose of obtaining
prohibited or unfair advantage in any game authorized under
this title.
(2) Cheating devices.--Except as provided in paragraph (3),
no person initiating, receiving, or otherwise making a bet or
wager with a licensee, or sending, receiving, or inviting
information assisting with a bet or wager with a licensee shall
knowingly use, possess, or assist another in the use of, an
electronic, electrical, or mechanical device or software or
other program or tool which is designed, constructed, or
programmed specifically for use in obtaining an advantage in
any game authorized under this title, where such advantage is
prohibited or otherwise violates the rules of play established
by the licensee.
(3) Permissible uses.--It shall not be a violation of this
subsection for a licensee, its agents, a qualified regulatory
authority, or its agent to use or possess a device described in
the preceding sentence if--
(A) such use or possession is solely for purposes
of testing an Internet poker facility;
(B) such device is not used in live play involving
actual bets or wagers; and
(C) such device is registered with the Secretary
and the qualified regulatory authority that issued the
applicable license.
(4) Disclosure to public not required.--Notwithstanding any
other provision of law, a registration under paragraph (3)(C)
is not required to be made available to the public.
(b) Additional Offense.--
(1) In general.--Except as provided in paragraph (3), no
person initiating, receiving, or otherwise making a bet or
wager with a licensee, or sending, receiving, or inviting
information assisting with a bet or wager with a licensee,
shall knowingly use, possess, or assist another in the use of
any cheating device with intent to cheat or defraud any
licensee or other persons placing bets or wagers with such
licensee.
(2) Bots.--A software program that makes bets or wagers
according to an algorithm shall constitute a type of cheating
device under this subsection.
(3) Permissible uses.--It shall not be a violation of this
subsection for a licensee, its agents, a qualified regulatory
authority, or its agent to use or posses a device described in
paragraph (1) or (2) if--
(A) such use or possession is solely for purposes
of testing an Internet poker facility;
(B) such device is not used in live play involving
actual bets or wagers; and
(C) such device is registered with the qualified
regulatory authority that issued the applicable
license.
(4) Disclosure to public not required.--Notwithstanding any
other provision of law, a registration under paragraph (3)(C)
is not required to be made available to the public.
(c) Permanent Injunction.--Upon conviction of a person for
violation of this section, the court may enter a permanent injunction
enjoining such person from initiating, receiving, or otherwise making
bets or wagers or sending, receiving, or inviting information assisting
in the placing of bets or wagers.
(d) Criminal Penalty.--Whoever violates subsection (a) or (b) shall
be fined under title 18, United States Code, or imprisoned for not more
than 3 years, or both.
(e) Reports.--
(1) Recommended minimum standards.--Not later than 180 days
after the date of enactment of this Act, the Secretary shall
submit to Congress a report containing the recommendations of
the Secretary on what minimum standards qualifying bodies
should adopt to carry out the requirements of subsection (a).
(2) Identification of threats to operation of internet
poker facilities.--Not later than 1 year after the date that
licenses are first issued under section 118(a), the Director of
the National Institute of Standards and Technology shall submit
to Congress a report that identifies threats to the integrity
of Internet poker facilities operated by licensees, including
identification of technologies that could be used to hack
computer networks, facilitate cheating, or otherwise place
consumers at risk of fraud or monetary loss.
SEC. 111. CONSTRUCTION AND RELATION TO OTHER LAW.
(a) No Impact on Existing Lawful Games.--
(1) In general.--If bets or wagers on certain games of
skill are not regarded as gambling under all provisions of
Federal, State, or tribal law in effect as of the date of
enactment of this Act--
(A) nothing in this title shall be construed to
require licensing under this title with respect to such
games; and
(B) fees paid to participate in such games shall
not be regarded as bets or wagers for purposes of this
title.
(2) Reliance.--Nothing in this title may be relied on as
support for the legality or permissibility of games described
in paragraph (1) without compliance with the licensing and
other requirements of this title.
(b) No Effect on Existing Law.--Nothing in this section shall be
construed to repeal, to amend, or to affect the interpretation of any
provision of State, or tribal law that was in effect before the date of
enactment of this Act that--
(1) prohibits, restricts, or otherwise addresses bets or
wagers; or
(2) prohibits fraud, unfair or deceptive acts or practices,
or other criminal activity.
(c) Preemption of State and Tribal Laws.--
(1) In general.--Except as otherwise expressly provided in
this title and excluding any prohibitions described in section
104(a)(3), the provisions of this title shall supersede any
provisions of the law of any State or federally recognized
Indian tribe expressly relating to the permitting, prohibiting,
licensing, or regulating of Internet poker facilities,
including Internet poker facilities, and the law of any State
or federally recognized Indian tribe expressly relating to the
permitting, prohibiting, licensing, or regulation of gambling,
except to the extent such State or tribal laws are not
inconsistent with this title.
(2) Lotteries.--No provision of this title shall be
construed to have any effect on the rights, privileges, or
obligations of a State or tribal lottery as may be provided
under other applicable Federal, State, or tribal law.
(3) Savings provision.--Nothing in this title may be
construed to limit the applicability or enforcement of any
State or tribal consumer protection law or preempt the
applicability of State or tribal trespass, contract, or tort
law.
(d) Relation to Gambling Devices Transportation Act.--Equipment
used by a licensee or significant vendor in the furtherance of licensed
activities pursuant to this title (but not to the extent it is used for
other purposes) shall not be considered a gambling device within the
meaning of section 1 of the Act of January 2, 1951, prohibiting the
transportation of gambling devices in interstate and foreign commerce
(15 U.S.C. 1171).
(e) No Impact on Indian Gaming Regulatory Act.--
(1) In general.--No provision of this title or decision or
action taken by a federally recognized Indian tribe or State
pursuant to this title shall have any effect on non-Internet
gaming activities within the scope of the Indian Gaming
Regulatory Act (25 U.S.C. 2710) or any successor provisions or
on any tribal-State compacts or authorities pursuant thereto.
(2) Tribal status or category not affected.--Tribal
operation of Internet poker facilities under this title shall
not be considered class II or class III gaming under such
section, and a federally recognized Indian tribe's status,
category, or class under such section shall not impact its
status or ability to offer bets or wagers pursuant to this
title.
(3) New negotiations not required.--
(A) Federally recognized indian tribes.--The fact
that a federally recognized Indian tribe is operating
under a license issued pursuant to this title or that a
tribal regulatory body is acting as a qualified body
pursuant to this title shall not require a federally
recognized Indian tribe to negotiate a new agreement,
limitation, or other provision of tribal-State compact,
agreement, or other understanding with respect to
gaming or revenue-sharing, with regard to any bet or
wager occurring pursuant to a license issued under this
title.
(B) States.--The fact that a State has prohibited
or limited Internet bets or wagers under section
104(a)(3) or that a State regulatory body is acting as
a qualified body pursuant to this title shall not
require the State to negotiate a new agreement,
limitation, or other provision of tribal-State compact,
agreement, or other understanding with respect to
gaming or revenue-sharing, with regard to any bet or
wager occurring pursuant to a license issued under this
title.
SEC. 112. REGULATIONS.
Not later than 180 days after the date of enactment of this Act,
the Secretary shall prescribe such regulations as the Secretary
considers necessary and where expressly required or authorized to carry
out this title.
SEC. 113. ANNUAL REPORTS.
(a) Licensing and Regulation of Internet Poker Facilities.--Not
later than 1 year after the date that licenses first issue under this
title and annually thereafter, the Secretary shall transmit to Congress
a report on the licensing and regulation of Internet poker facilities
under this title, including--
(1) the amount of fees collected under section 104(e) and,
in cooperation with the Secretary of the Treasury, an estimate
of the amount of income tax revenue that is attributable to the
operation of Internet poker facilities during the period
covered by the report;
(2) a list of qualified regulatory authorities, the number
of licensees reviewed by the qualified regulatory authorities
under this title, and the outcomes of such reviews;
(3) a description of the efforts the Secretary has
undertaken to ensure that qualified regulatory authorities are
properly issuing licenses and regulating licensees under this
title;
(4) a detailed description of each type of game offered by
licensees and how each type is consistent with the definition
of poker under section 102; and
(5) any other information the Secretary determines may be
useful to Congress.
(b) Consumer Protection.--Not later than 1 year after the date that
licenses first issue under this title and annually thereafter, the
Secretary shall transmit to the Committee on Energy and Commerce of the
House of Representatives and the Committee on Commerce, Science, and
Transportation of the Senate a report on commercial and regulatory
practices carried out to protect consumers with respect to Internet
poker, including the practices carried out pursuant to the requirements
of section 106 and the regulations prescribed pursuant to such section.
Such report shall include--
(1) a detailed description of the efforts of each qualified
regulatory authority to protect consumers from unfair or
deceptive acts or practices, including deceptive advertising
and marketing to minors;
(2) a description of the practices that the Secretary
recommends a qualified regulatory authority to adopt to protect
consumers;
(3) such recommendations as the Secretary may have for
legislative action as the Secretary considers necessary to
protect consumers with respect to Internet poker; and
(4) such other information as the Secretary considers
appropriate.
SEC. 114. EFFECTIVE DATE.
(a) In General.--Except as otherwise provided in this title, the
provisions of this title shall take effect on the date that is 30 days
after the date of enactment of this Act.
(b) Regulations Required Before Issuing Licenses.--Notwithstanding
any other provision of this title, a qualified regulatory authority may
not issue a license under this title before the later of--
(1) the date on which the Secretary prescribes final
regulations under section 113;
(2) the date on which the Secretary of the Treasury
prescribes final regulations pursuant to subsections (a) and
(d) of section 203; and
(3) the date on which the Director of the Financial Crimes
Enforcement Network submits to the Secretary of the Treasury a
list of unlicensed Internet gambling enterprises pursuant to
section 5369(a)(1)(B) of title 31, United States Code, as added
by section 202(a).
TITLE II--STRENGTHENING OF UNLAWFUL INTERNET GAMBLING ENFORCEMENT ACT
OF 2006
SEC. 201. FINANCIAL TRANSACTION PROVIDERS.
(a) In General.--Subchapter IV of chapter 53 of title 31, United
States Code, is amended by adding at the end the following:
``Sec. 5368. Liability of financial transaction providers
``(a) Liability for Certain Financial Activities and
Transactions.--A financial transaction provider shall not be held
liable for engaging in a financial activity or transaction, including a
payments processing activity, in connection with a bet or wager
permitted by the Internet Poker Freedom Act of 2013 or the Interstate
Horseracing Act of 1978 (15 U.S.C. 3001 et seq.) unless the financial
transaction provider has actual knowledge that the financial activity
or transaction was conducted in violation of either such Act or any
other applicable provision of Federal or State law.
``(b) No Liability for Blocking or Refusing To Honor Certain
Transactions.--
``(1) In general.--A financial transaction provider that
takes an action described in paragraph (2) with respect to a
transaction shall not be liable to any party for that action if
the financial transaction provider takes the action because the
originator of the transaction or a party to the transaction
is--
``(A) a person or entity that is included in the
list of unlicensed Internet gambling enterprises
required by section 5369(a);
``(B) a person or entity that the financial
transaction provider reasonably believes is included in
that list;
``(C) a person or entity that is included in a list
of unlicensed Internet gambling enterprises made
available to the financial transaction provider by the
Secretary under section 5369(a)(3);
``(D) a person or entity that the financial
transaction provider reasonably believes is included in
a list described in subparagraph (C);
``(E) a person or entity that is demonstrated to be
an unlicensed Internet gambling enterprise based on
information, other than a list described in
subparagraph (C), that is made available to the
financial transaction provider; or
``(F) a person or entity that the financial
transaction provider reasonably believes is
demonstrated to be an unlicensed Internet gambling
enterprise based on information described in
subparagraph (E).
``(2) Actions described.--A financial transaction provider
takes an action described in this paragraph if the financial
transaction provider--
``(A) identifies and blocks a transaction;
``(B) prevents or prohibits the acceptance of its
products or service in connection with a transaction or
otherwise refuses to honor a transaction; or
``(C) closes an account or ends a financial
relationship.''.
(b) Clerical Amendment.--The table of sections for chapter 53 of
title 31, United States Code, is amended by adding at the end the
following:
``5368. Liability of financial transaction providers.''.
(c) Technical Correction.--Section 5362(11)(B)(i) of title 31,
United States Code, is amended by striking ``section 903(6)(E)'' and
inserting ``section 903(7)(E)''.
SEC. 202. LIST OF UNLICENSED INTERNET GAMBLING ENTERPRISES.
(a) In General.--Subchapter IV of chapter 53 of title 31, United
States Code, as amended by section 201(a), is further amended by adding
at the end the following:
``Sec. 5369. List of unlicensed Internet gambling enterprises
``(a) List of Unlicensed Internet Gambling Enterprises.--
``(1) In general.--The Director shall--
``(A) identify unlicensed Internet gambling
enterprises in accordance with the procedures described
in subsection (b);
``(B) not later than 120 days after the date of
enactment of the Internet Poker Freedom Act of 2013,
submit to the Secretary a list of unlicensed Internet
gambling enterprises that includes the information
described in paragraph (2); and
``(C) not less frequently than every 60 days
thereafter, submit to the Secretary an updated list
that reflects the results of subsequent investigations
carried out under this section.
``(2) Information required.--The information described in
this paragraph is, with respect to each unlicensed Internet
gambling enterprise included on the list required by paragraph
(1), the following:
``(A) All known Internet Web site addresses of the
enterprise.
``(B) The name of any person who controls,
finances, manages, supervises, directs, or owns all or
part of the enterprise (as such terms are used in
section 1955 of title 18).
``(C) To the extent known, information identifying
the financial agents and account numbers of the
enterprise and the persons described in subparagraph
(B).
``(3) Distribution of list.--Not later than 10 days after
receiving the list or an updated version of the list required
by paragraph (1) from the Director, the Secretary shall--
``(A) post the information provided under
subparagraphs (A) and (B) of paragraph (2) on the
Internet Web site of the Department of the Treasury;
and
``(B) provide to each person that is required to
comply with the regulations prescribed pursuant to
section 5364 a copy of the information included with
the list required by paragraph (1) in an electronic
format compatible with the list of Specially Designated
Nationals and Blocked Persons maintained by the Office
of Foreign Assets Control.
``(b) Procedures for Identifying Unlicensed Internet Gambling
Enterprises.--
``(1) Investigations.--
``(A) Initial investigation.--Not later than the
date that is 60 days after the date of enactment of the
Internet Poker Freedom Act of 2013, the Director shall
complete an initial investigation of entities that
appear to be unlicensed Internet gambling enterprises.
``(B) Subsequent investigations.--After completing
the initial investigation required by subparagraph (A),
the Director shall regularly investigate entities that
appear to be unlicensed Internet gambling enterprises.
``(2) Requests.--
``(A) In general.--Any Federal, State, tribal, or
local law enforcement official, any affected sports
organization, any person directly harmed by unlicensed
Internet gambling, any financial transaction provider,
and any interactive computer service shall have the
right, but not the obligation, to make a written
request to the Director for the addition of any person
to the list of unlicensed Internet gambling enterprises
required by subsection (a).
``(B) Determinations; notice to person that
submitted a request.--Not later than 30 days after
receiving a request under subparagraph (A), the
Director shall--
``(i) determine if the request contains
information sufficient to constitute a prima
facie case that an entity is an unlicensed
Internet gambling enterprise; and
``(ii) notify the person that submitted the
request of the determination of the Director.
``(3) Notice.--Not later than 30 days before including a
person in the list of unlicensed Internet gambling enterprises
required by subsection (a), the Director shall provide written
notice to the person of the determination of the Director to
include the person in the list.
``(4) Opportunity to contest.--
``(A) In general.--A person that receives notice
under paragraph (3) that the Director has determined to
include the person in the list of unlicensed Internet
gambling enterprises required by subsection (a) may,
not later than 30 days after receiving the notice,
contest the determination--
``(i) by submitting a written appeal to the
Director; and
``(ii) by agreeing in the written appeal to
submit to the jurisdiction of the United
States.
``(B) Effect of not contesting.--If a person
described in subparagraph (A) does not contest the
determination of the Director to include the person in
the list of unlicensed Internet gambling enterprises
required by subsection (a) in accordance with
subparagraph (A), the Director shall include the person
in the list.
``(5) Opportunity for hearing.--The Director--
``(A) may not include a person that submits a
written appeal pursuant to paragraph (4) in the list of
unlicensed Internet gambling enterprises required by
subsection (a) until the Director provides the person
with an opportunity for a hearing; and
``(B) shall provide the person the opportunity for
a hearing not later than 30 days after receiving the
written appeal from the person.
``(6) Determinations after hearing.--Not later than 10 days
after the date of a hearing provided for a person under
paragraph (5) (without regard to whether the person appears at
the hearing), the Director shall--
``(A) determine if the person should be included in
the list of unlicensed Internet gambling enterprises
required by subsection (a); and
``(B) if the Director determines that the person
should be included in the list, add the person to the
list.
``(7) Injunctive relief.--
``(A) In general.--A person described in
subparagraph (B) may petition for injunctive relief in
the United States District Court for the District of
Columbia, which shall have exclusive jurisdiction to
hear cases arising under this section.
``(B) Person described.--A person described in this
subparagraph is a person that the Director determines
to include in the list of unlicensed Internet gambling
enterprises required by subsection (a)--
``(i) after the person appears at a hearing
described in paragraph (5); or
``(ii) that did not receive the notice
required by paragraph (3).
``(C) Burden of proof.--The petitioner shall have
the burden of establishing that the person should not
be included in the list of unlicensed Internet gambling
enterprises required by subsection (a).
``(D) Standing.--Only persons that the Director
determines to include in the list of unlicensed
Internet gambling enterprises required by subsection
(a) and owners or operators of such enterprises shall
have standing to contest the determination of the
Director.
``(E) Available relief.--The court may direct the
Director and the Secretary not to add, or to remove,
the petitioner from the list of unlicensed Internet
gambling enterprises.
``(F) Unavailability of other remedies.--There
shall be no judicial review of a determination under
this section other than pursuant to this paragraph.
``(c) Effect of List.--A financial transaction provider shall be
deemed to have actual knowledge that a person or entity is an
unlicensed Internet gambling enterprise if--
``(1) the person or entity is included in the list of
unlicensed Internet gambling enterprises required by subsection
(a); or
``(2)(A) the person or entity is included in a list of
unlicensed Internet gambling enterprises made available to the
financial transaction provider by the Secretary under
subsection (a)(3); and
``(B) information in addition to the list described in
subparagraph (A) is available to the financial transaction
provider that demonstrates that the person or entity is an
unlicensed Internet gambling enterprise.
``(d) Definitions.--In this section:
``(1) Director.--The term `Director' means the Director of
the Financial Crimes Enforcement Network appointed under
section 310(b).
``(2) Sports organization.--The term `sports organization'
means an amateur sports organization or a professional sports
organization (as those terms are defined in section 3701 of
title 28).
``(3) Unlicensed internet gambling enterprise.--The term
`unlicensed Internet gambling enterprise' means any person who,
on or after the date of enactment of the Internet Poker Freedom
Act of 2013--
``(A) violates a provision of section 5363; or
``(B) knowingly assists a person in conduct
described in subparagraph (A).''.
(b) Clerical Amendment.--The table of sections at the beginning of
such chapter 53, as amended by section 201(b), is further amended by
adding at the end the following:
``5369. Unlicensed Internet gambling enterprises.''.
SEC. 203. REGULATIONS.
(a) Regulations.--Not later than 180 days after the date of
enactment of this Act, the Secretary of the Treasury shall--
(1) prescribe regulations to carry out sections 5368 and
5369 of title 31, United States Code, as added by sections
201(a) and 202(a), and publish such regulations in final form
in the Federal Register; and
(2) prescribe such regulations as the Secretary of the
Treasury considers necessary to ensure compliance with chapter
2 of title I of Public Law 91-508 (12 U.S.C. 1951 et seq.) and
subchapter II of chapter 53 of title 31, United States Code
(commonly known, collectively, as the ``Bank Secrecy Act''), by
licensees, significant vendors to such licensees, and financial
service providers to such licensees (as such terms are defined
in section 102).
(b) Exclusion of Board of Governors of the Federal Reserve System
From Requirement To Prescribe Regulations Concerning Prevention of
Restricted Transactions.--Subsection (a) of section 5364 of title 31,
United States Code, is amended by striking ``Before the end of the 270-
day period beginning on the date of enactment of this subchapter, the
Secretary and the Board of Governors of the Federal Reserve System, in
consultation with the Attorney General, shall prescribe regulations
(which the Secretary and the Board jointly determine to be
appropriate)'' and inserting ``The Secretary shall prescribe
regulations''.
(c) Temporary Suspension of Certain Regulations.--
(1) In general.--Subject to paragraph (2), during the
period beginning on the date of enactment of this Act and
ending on the date set forth in subsection (d), part 233 of
title 12, Code of Federal Regulations, and part 132 of title
31, Code of Federal Regulations, shall have no force or effect
to the extent that those regulations require or impose any
obligation that is inconsistent with the provisions of title I.
(2) Previous violation.--Paragraph (1) shall not apply with
respect to any violation of a regulation described in such
paragraph that occurred before the date of enactment of this
Act.
(d) Revision of Regulations.--Not later than 180 days after the
date of enactment of this Act, the Secretary of the Treasury shall
revise part 233 of title 12, Code of Federal Regulations, and part 132
of title 31, Code of Federal Regulations, to conform with the
provisions of title I.
(e) Annual Report.--Not later than 1 year after the date on which
the Secretary of the Treasury prescribes regulations under this
section, and annually thereafter, the Secretary shall submit to
Congress a report on the list required by section 5369(a) of title 31,
United States Code, as added by section 202(a), including the
following:
(1) The size of the list.
(2) The number of persons and Web sites added to and
removed from the list.
(3) The number and description of challenges to inclusion
on the list and a description of how such challenges were
resolved.
SEC. 204. CONFORMING AMENDMENTS.
(a) Duties and Powers of the Director of the Financial Crimes
Enforcement Network.--Section 310(b)(2)(I) of title 31, United States
Code, is amended by striking ``subchapter II'' and inserting
``subchapters II and IV''.
(b) Exclusion of Licensed Internet Poker Facility Operations From
Definition of Unlawful Internet Gambling Enterprise.--Section 5362(10)
of such title is amended--
(1) in subparagraph (D), by striking clause (iii);
(2) by redesignating subparagraph (E) as subparagraph (F);
and
(3) by inserting after subparagraph (D) the following:
``(E) Licensed internet poker facilities.--The term
`unlawful Internet gambling' does not include an
activity carried out by an Internet poker facility, as
such term is defined in section 102 of the Internet
Poker Freedom Act of 2013, operated by a person under a
license provided under title I of such Act in
accordance with the provisions of such title.''.
<all>
Introduced in House
Introduced in House
Referred to the Committee on Energy and Commerce, and in addition to the Committee on Financial Services, for a period to be subsequently determined by the Speaker, in each case for consideration of such provisions as fall within the jurisdiction of the committee concerned.
Referred to the Committee on Energy and Commerce, and in addition to the Committee on Financial Services, for a period to be subsequently determined by the Speaker, in each case for consideration of such provisions as fall within the jurisdiction of the committee concerned.
Referred to the Subcommittee on Commerce, Manufacturing, and Trade.
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