House
File
2423
AN
ACT
RELATING
TO
STATUTORY
CORRECTIONS
WHICH
MAY
ADJUST
LANGUAGE
TO
REFLECT
CURRENT
PRACTICES,
INSERT
EARLIER
OMISSIONS,
DELETE
REDUNDANCIES
AND
INACCURACIES,
DELETE
TEMPORARY
LANGUAGE,
RESOLVE
INCONSISTENCIES
AND
CONFLICTS,
UPDATE
ONGOING
PROVISIONS,
OR
REMOVE
AMBIGUITIES
AND
PROVIDING
EFFECTIVE
AND
APPLICABILITY
DATES.
BE
IT
ENACTED
BY
THE
GENERAL
ASSEMBLY
OF
THE
STATE
OF
IOWA:
DIVISION
I
MISCELLANEOUS
CHANGES
Section
1.
Section
2C.16,
subsection
3,
Code
2014,
is
amended
to
read
as
follows:
3.
If
the
ombudsman
believes
that
a
law
resulted
in
an
administrative
action
has
occurred
because
of
laws
of
which
results
are
is
unfair
or
otherwise
objectionable,
the
ombudsman
shall
notify
the
general
assembly
concerning
desirable
statutory
change.
Sec.
2.
Section
6B.4,
Code
2014,
is
amended
to
read
as
follows:
6B.4
Commission
to
assess
damages.
1.
Annually
the
board
of
supervisors
of
a
county
shall
appoint
not
less
than
twenty-eight
residents
of
the
county
and
the
names
of
such
persons
shall
be
placed
on
a
list
and
they
shall
be
eligible
to
serve
as
members
of
a
compensation
commission.
One-fourth
of
the
persons
appointed
shall
be
owner-operators
of
agricultural
property,
one-fourth
of
the
persons
appointed
shall
be
owners
of
city
property,
one-fourth
shall
be
licensed
real
estate
salespersons
or
real
estate
brokers,
and
one-fourth
shall
be
persons
having
knowledge
of
House
File
2423,
p.
2
property
values
in
the
county
by
reason
of
their
occupation,
such
as
bankers,
auctioneers,
property
managers,
property
appraisers,
and
persons
responsible
for
making
loans
on
property.
2.
a.
The
chief
judge
of
the
judicial
district
or
the
chief
judge’s
designee
shall
select
by
lot
six
persons
from
the
list,
two
who
shall
constitute
a
compensation
commission
to
assess
the
damages
to
all
property
to
be
taken
by
the
applicant
and
located
in
the
county,
as
follows:
(1)
Two
persons
who
are
owner-operators
of
agricultural
property
when
the
property
to
be
condemned
is
agricultural
property
;
two
.
(2)
Two
persons
who
are
owners
of
city
property
when
the
property
to
be
condemned
is
other
than
agricultural
property
;
and
two
.
(3)
Two
persons
from
each
of
the
remaining
two
representative
groups
,
who
shall
constitute
a
compensation
commission
to
assess
the
damages
to
all
property
to
be
taken
by
the
applicant
and
located
in
the
county,
and
shall
name
a
chairperson
from
the
persons
selected
.
b.
The
chief
judge
or
the
judge’s
designee
shall
name
a
chairperson
from
the
persons
selected
and
may
appoint
such
alternate
members
and
chairpersons
to
the
commission
as
are
deemed
necessary
and
appropriate
under
the
circumstances.
A
person
shall
not
be
selected
as
a
member
or
alternate
member
of
the
compensation
commission
if
the
person
possesses
any
interest
in
the
proceeding
which
would
cause
the
person
to
render
a
biased
decision.
The
applicant
shall
mail
a
copy
of
the
list
of
commissioners
and
alternates
appointed
by
the
chief
judge
by
certified
mail
to
the
property
owner
at
the
owner’s
last
known
address.
The
applicant
shall
also
cause
the
list
of
commissioners
and
alternates
to
be
published
once
in
a
newspaper
of
general
circulation
in
the
county,
not
less
than
four
nor
more
than
twenty
days
before
the
meeting
of
the
compensation
commission
to
assess
the
damages.
Service
of
the
list
of
commissioners
and
alternates
by
publication
shall
be
deemed
complete
on
the
day
of
publication.
In
lieu
of
mailing
and
publishing
the
list
of
commissioners
and
alternates,
the
applicant
may
cause
the
list
to
be
served
upon
the
owner
of
the
property
in
the
manner
provided
by
the
Iowa
rules
of
civil
procedure
for
the
personal
service
of
original
notice.
The
list
of
commissioners
and
alternates
shall
be
mailed
and
published
or
served,
as
above
provided,
prior
to
or
House
File
2423,
p.
3
contemporaneously
with
service
of
the
notice
of
assessment
as
provided
in
section
6B.8
.
3.
Written
instructions
for
members
of
compensation
commissions
shall
be
prepared
under
the
direction
of
the
chief
justice
of
the
supreme
court
and
distributed
to
the
sheriff
in
each
county.
The
sheriff
shall
transmit
copies
of
the
instructions
to
each
member
of
a
compensation
commission,
and
such
instructions
shall
be
read
aloud
to
each
commission
before
it
commences
its
duties.
Sec.
3.
Section
6B.37,
Code
2014,
is
amended
to
read
as
follows:
6B.37
Form
of
record
——
certificate.
Said
The
papers
described
in
sections
6B.35
and
6B.36
shall
be
securely
fastened
together,
arranged
in
the
order
named
above
in
those
sections
,
and
be
accompanied
by
a
certificate
of
the
officer
filing
the
papers
that
the
papers
are
true
and
correct
copies
of
the
original
files
in
the
proceedings
and
that
the
statements
accompanying
the
papers
are
true.
Sec.
4.
Section
6B.40,
Code
2014,
is
amended
to
read
as
follows:
6B.40
Failure
to
record
——
liability.
Any
sheriff,
or
clerk
of
the
district
court,
as
the
case
may
be,
who
fails
to
present
said
the
required
papers,
statements,
and
certificate
for
record,
and
any
recorder
who
fails
to
record
the
same
as
above
provided
in
section
6B.38
shall
be
liable
for
all
damages
caused
by
such
failure.
Sec.
5.
Section
7C.12,
subsection
2,
paragraph
a,
Code
2014,
is
amended
to
read
as
follows:
a.
Shall
promulgate
rules
which
are
necessary
or
expedient
to
carry
out
the
intent
and
purposes
of
the
private
activity
bond
allocation
Act
this
chapter
.
Sec.
6.
Section
9I.3,
subsection
3,
paragraph
d,
subparagraphs
(5)
and
(6),
Code
2014,
are
amended
to
read
as
follows:
(5)
Reserved.
(6)
(5)
Effective
July
1,
2001,
a
nonresident
alien,
foreign
business,
or
foreign
government
or
an
agent,
trustee,
or
fiduciary
of
the
alien,
business,
or
government
shall
not
,
except
as
provided
in
subparagraph
(5),
acquire
or
hold
agricultural
land
used
for
the
primary
purpose
of
testing,
developing,
or
producing
animals.
Sec.
7.
Section
12C.16,
subsection
1,
paragraph
b,
subparagraph
(1),
subparagraph
division
(d),
Code
2014,
is
House
File
2423,
p.
4
amended
to
read
as
follows:
(d)
To
the
extent
of
the
guarantee,
loans,
obligations,
or
nontransferable
letters
of
credit
upon
which
the
payment
of
principal
and
interest
is
fully
secured
or
guaranteed
by
the
United
States
of
America
or
an
agency
or
instrumentality
of
the
United
States
of
America
or
the
United
States
central
credit
union
,
a
corporate
central
credit
union
organized
under
section
533.213
,
or
a
corporate
credit
union
whose
activities
are
subject
to
regulation
by
the
national
credit
union
administration,
and
the
rating
of
any
one
of
such
credit
unions
remains
within
the
two
highest
classifications
of
prime
established
by
at
least
one
of
the
standard
rating
services
approved
by
the
superintendent
of
banking
by
rule
pursuant
to
chapter
17A
.
The
treasurer
of
state
shall
adopt
rules
pursuant
to
chapter
17A
to
implement
this
section
.
Sec.
8.
Section
12C.17,
subsection
1,
paragraph
c,
Code
2014,
is
amended
to
read
as
follows:
c.
The
securities
shall
be
deposited
with
the
federal
reserve
bank,
the
federal
home
loan
bank
of
Des
Moines,
Iowa,
or
the
United
States
central
credit
union,
a
corporate
central
credit
union
organized
under
section
533.213
,
or
a
corporate
credit
union
whose
activities
are
subject
to
regulation
by
the
national
credit
union
administration
pursuant
to
a
bailment
agreement
or
a
pledge
custody
agreement.
Sec.
9.
Section
12C.17,
subsection
4,
Code
2014,
is
amended
to
read
as
follows:
4.
Upon
written
request
from
the
appropriate
public
officer
but
not
less
than
monthly,
the
federal
reserve
bank,
the
federal
home
loan
bank
of
Des
Moines,
Iowa,
the
United
States
central
credit
union,
a
corporate
central
credit
union
organized
under
section
533.213
,
or
a
corporate
credit
union
whose
activities
are
subject
to
regulation
by
the
national
credit
union
administration
shall
report
a
description,
the
par
value,
and
the
market
value
of
any
pledged
collateral
by
a
credit
union.
Sec.
10.
Section
16.2,
subsection
1,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
An
Iowa
finance
authority
board
of
directors
is
created.
The
powers
of
the
authority
are
vested
in
and
shall
be
exercised
by
the
board.
The
board
authority
includes
nine
members
appointed
by
the
governor
subject
to
confirmation
by
the
senate.
Sec.
11.
Section
16.197,
Code
2014,
is
amended
to
read
as
follows:
House
File
2423,
p.
5
16.197
Limitation
of
liability.
The
A
member
of
the
authority
,
a
person
acting
on
behalf
of
the
authority
while
acting
within
the
scope
of
their
employment
or
agency,
or
the
treasurer
of
state
shall
not
be
subject
to
personal
liability
resulting
from
carrying
out
the
powers
and
duties
of
the
authority
or
the
treasurer,
as
applicable,
in
sections
16.193
through
16.196
.
Sec.
12.
Section
16.221,
subsection
3,
paragraph
c,
Code
2014,
is
amended
to
read
as
follows:
c.
Obtain
affordable
operating
capital
,
including
as
provided
by
section
175.35
.
Sec.
13.
Section
17A.4,
subsection
3,
paragraph
c,
Code
2014,
is
amended
to
read
as
follows:
c.
If
an
objection
to
a
rule
is
filed
under
this
subsection
,
a
copy
of
the
objection,
properly
dated,
shall
be
forwarded
to
the
agency
at
the
time
of
filing
the
objection.
In
any
action
contesting
a
rule
or
portion
of
a
rule
adopted
pursuant
to
this
subsection
,
the
burden
of
proof
shall
be
on
the
agency
to
show
that
the
procedures
of
subsection
1
were
impracticable,
unnecessary,
or
contrary
to
the
public
interest
and
that,
if
a
category
of
rules
was
involved,
the
category
was
very
narrowly
tailored
.
Sec.
14.
Section
17A.4,
subsection
5,
Code
2014,
is
amended
to
read
as
follows:
5.
No
A
rule
adopted
after
July
1,
1975,
is
not
valid
unless
adopted
in
substantial
compliance
with
the
above
requirements
of
this
section
that
are
in
effect
at
the
time
of
adoption
of
the
rule
.
However,
a
rule
shall
be
conclusively
presumed
to
have
been
made
in
compliance
with
all
of
the
above
procedural
requirements
of
this
section
if
it
has
not
been
invalidated
on
the
grounds
of
noncompliance
in
a
proceeding
commenced
within
two
years
after
its
effective
date.
Sec.
15.
Section
17A.4,
subsection
9,
Code
2014,
is
amended
to
read
as
follows:
9.
Upon
the
vote
of
two-thirds
of
its
members,
the
administrative
rules
review
committee,
following
notice
of
intended
action
as
provided
in
subsection
1
and
prior
to
adoption
of
a
rule
pursuant
to
that
notice,
may
suspend
further
action
relating
to
that
notice
for
seventy
days.
Notice
of
that
a
notice
of
intended
action
that
was
suspended
under
this
provision
shall
be
published
in
the
Iowa
administrative
code
and
bulletin.
Sec.
16.
Section
23.6,
subsection
6,
Code
2014,
is
amended
House
File
2423,
p.
6
to
read
as
follows:
6.
The
board
may
examine
Examine,
as
deemed
necessary
by
the
board,
a
record
of
a
governmental
body
or
a
government
body
that
is
the
subject
matter
of
a
complaint,
including
any
record
that
is
confidential
by
law.
Confidential
records
provided
to
the
board
by
a
governmental
body
or
a
government
body
shall
continue
to
maintain
their
confidential
status.
Any
member
or
employee
of
the
board
is
subject
to
the
same
policies
and
penalties
regarding
the
confidentiality
of
the
document
as
an
employee
of
the
governmental
body
or
a
the
government
body.
Sec.
17.
Section
23.9,
Code
2014,
is
amended
to
read
as
follows:
23.9
Informal
assistance.
After
accepting
a
complaint,
the
board
shall
promptly
work
with
the
parties,
through
employees
on
its
own
staff
of
the
board
,
to
reach
an
informal,
expeditious
resolution
of
the
complaint.
Sec.
18.
Section
24.13,
Code
2014,
is
amended
to
read
as
follows:
24.13
Procedure
by
levying
board.
Any
board
which
has
the
power
to
levy
a
tax
without
the
same
first
being
certified
to
it,
shall
follow
the
same
procedure
for
hearings
as
is
hereinbefore
required
of
certifying
boards
under
this
chapter
.
Sec.
19.
Section
28D.6,
subsection
4,
Code
2014,
is
amended
to
read
as
follows:
4.
Any
employee
of
a
sending
agency
assigned
in
this
state
who
suffers
disability
or
death
as
a
result
of
personal
injury
arising
out
of
and
in
the
course
of
such
assignment,
or
sustained
in
the
performance
of
duties
in
connection
therewith,
shall
be
treated
for
the
purpose
of
the
receiving
agency’s
employee
compensation
program,
as
an
employee,
as
defined
in
such
compensation
program,
who
has
sustained
such
injury
in
the
performance
of
such
duty,
but
shall
not
receive
benefits
under
that
compensation
program
for
any
period
for
which
the
employee
elects
to
receive
similar
benefits
as
an
employee
under
the
sending
agency’s
employee
compensation
program.
Sec.
20.
Section
29A.50,
Code
2014,
is
amended
to
read
as
follows:
29A.50
Immunity.
The
commanding
officer
and
members
of
any
of
the
military
forces
engaged
in
the
suppression
of
an
insurrection,
assistance
to
civil
authorities
in
emergencies,
homeland
House
File
2423,
p.
7
defense
,
or
security
duties,
or
the
enforcement
of
the
laws,
shall
have
the
same
immunity
as
peace
officers.
Sec.
21.
Section
35D.2,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
Persons
described
in
section
35D.1
who
are
disabled
by
disease,
injury,
or
old
age,
and
who
meet
the
qualifications
for
nursing
or
residential
care,
and
who
are
unable
to
earn
a
livelihood,
and
who
are
residents
of
the
state
of
Iowa
on
the
date
of
the
application
and
immediately
preceding
the
date
the
application
is
accepted,
may
be
admitted
to
the
home
as
members
under
rules
adopted
by
the
commission.
The
commission
shall
adopt
rules
to
emphasize
the
admission
of
homeless
honorably
discharged
veterans.
Eligibility
determinations
are
subject
to
approval
by
the
commandant.
Sec.
22.
Section
80D.12,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
For
reserve
police
peace
officers
of
a
tribal
government,
hospital
and
medical
assistance
and
benefits
shall
be
provided
by
the
tribal
government
to
members
of
the
reserve
force
who
sustain
injury
while
performing
official
duties
in
the
same
manner
as
for
a
regular
peace
officer
of
the
tribal
government.
Sec.
23.
Section
89.3,
subsection
8,
Code
2014,
is
amended
to
read
as
follows:
8.
Inspections
of
unfired
steam
pressure
vessels
operating
in
excess
of
fifteen
pounds
per
square
inch
and
low
pressure
steam
boilers
shall
be
conducted
at
least
once
each
calendar
year.
The
inspections
conducted
over
within
each
two-year
period
shall
include
an
external
inspection
conducted
while
the
boiler
is
operating
and
an
internal
inspection,
where
construction
permits.
No
more
than
one
inspection
shall
be
conducted
over
a
per
six-month
period.
An
internal
inspection
of
an
unfired
steam
pressure
vessel
or
low
pressure
steam
boiler
may
be
required
at
any
time
by
the
commissioner
upon
the
observation
by
an
inspector
of
conditions,
enumerated
by
the
commissioner
through
rules,
warranting
an
internal
inspection.
Sec.
24.
Section
101.21,
subsection
1,
paragraph
a,
Code
2014,
is
amended
to
read
as
follows:
a.
An
aboveground
tank
which
complies
with
meets
any
of
the
following
criteria
:
(1)
Has
one
thousand
one
hundred
gallons
or
less
capacity.
(2)
Stores
flammable
liquids
on
a
farm
located
outside
the
limits
of
a
city,
if
the
aboveground
tank
has
two
thousand
gallons
or
less
capacity.
House
File
2423,
p.
8
(3)
Stores
combustible
liquids
on
a
farm
located
outside
the
limits
of
a
city,
if
the
aboveground
tank
has
five
thousand
gallons
or
less
capacity.
Sec.
25.
Section
101A.2,
subsection
4,
Code
2014,
is
amended
to
read
as
follows:
4.
Except
as
permitted
in
section
101A.3
and
sections
101A.9
to
through
101A.11
,
it
shall
be
unlawful
for
any
person
to
willfully
manufacture,
import,
store,
detonate,
sell,
or
otherwise
transfer
any
explosive
materials
unless
such
person
is
the
holder
of
a
valid
license
issued
pursuant
to
this
section
.
Sec.
26.
Section
105.10,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
Except
as
provided
in
section
105.11
,
a
person
shall
not
engage
in
the
business
of
designing,
installing,
or
repairing
plumbing,
mechanical,
HVAC,
refrigeration,
sheet
metal,
or
hydronic
systems
unless
at
all
times
a
licensed
master,
who
shall
be
responsible
for
the
proper
designing,
installing,
and
repairing
of
the
plumbing,
HVAC,
refrigeration,
sheet
metal,
or
hydronic
system,
is
employed
by
the
person
and
is
actively
in
charge
of
the
plumbing,
mechanical,
HVAC,
refrigeration,
sheet
metal,
or
hydronic
work
of
the
person.
An
individual
who
performs
such
work
pursuant
to
a
business
operated
as
a
sole
proprietorship
shall
be
a
licensed
master
in
the
applicable
discipline.
Sec.
27.
Section
123.3,
subsection
5,
Code
2014,
is
amended
to
read
as
follows:
5.
“Alcoholic
liquor”
or
“intoxicating
liquor”
means
the
varieties
of
liquor
defined
in
subsections
3
and
43
which
contain
more
than
five
percent
of
alcohol
by
weight,
beverages
made
as
described
in
subsection
7
which
beverages
contain
more
than
five
percent
of
alcohol
by
weight
or
six
and
twenty-five
hundredths
percent
of
alcohol
by
volume
but
which
are
not
wine
as
defined
in
subsection
47
or
high
alcoholic
content
beer
as
defined
in
subsection
19
,
and
every
other
liquid
or
solid,
patented
or
not,
containing
spirits
and
every
beverage
obtained
by
the
process
described
in
subsection
47
containing
more
than
seventeen
percent
alcohol
by
weight
or
twenty-one
and
twenty-five
hundredths
percent
of
alcohol
by
volume,
and
susceptible
of
being
consumed
by
a
human
being,
for
beverage
purposes.
Alcohol
manufactured
in
this
state
for
use
as
fuel
pursuant
to
an
experimental
distilled
spirits
plant
permit
or
its
equivalent
issued
by
the
federal
bureau
of
alcohol,
tobacco
House
File
2423,
p.
9
and
firearms
is
not
an
“alcoholic
liquor”
.
Sec.
28.
Section
123.30,
subsection
1,
paragraph
b,
Code
2014,
is
amended
to
read
as
follows:
b.
As
a
condition
for
issuance
of
a
liquor
control
license
or
wine
or
beer
permit,
the
applicant
must
give
consent
to
members
of
the
fire,
police,
and
health
departments
and
the
building
inspector
of
cities;
the
county
sheriff
,
or
deputy
sheriff
,
;
members
of
the
department
of
public
safety
,
;
representatives
of
the
division
and
of
the
department
of
inspections
and
appeals
,
;
certified
police
officers
,
;
and
any
official
county
health
officer
to
enter
upon
areas
of
the
premises
where
alcoholic
beverages
are
stored,
served,
or
sold,
without
a
warrant
during
business
hours
of
the
licensee
or
permittee
to
inspect
for
violations
of
this
chapter
or
ordinances
and
regulations
that
cities
and
boards
of
supervisors
may
adopt.
However,
a
subpoena
issued
under
section
421.17
or
a
warrant
is
required
for
inspection
of
private
records,
a
private
business
office,
or
attached
living
quarters.
Persons
who
are
not
certified
peace
officers
shall
limit
the
scope
of
their
inspections
of
licensed
premises
to
the
regulatory
authority
under
which
the
inspection
is
conducted.
All
persons
who
enter
upon
a
licensed
premises
to
conduct
an
inspection
shall
present
appropriate
identification
to
the
owner
of
the
establishment
or
the
person
who
appears
to
be
in
charge
of
the
establishment
prior
to
commencing
an
inspection;
however,
this
provision
does
not
apply
to
undercover
criminal
investigations
conducted
by
peace
officers.
Sec.
29.
Section
123.138,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
Each
class
“A”
or
special
class
“A”
permittee
shall
keep
proper
records
showing
the
amount
of
beer
sold
by
the
permittee,
and
these
records
shall
be
at
all
times
open
to
inspection
by
the
administrator
and
to
other
persons
pursuant
to
section
123.30,
subsection
1
.
Each
class
“B”
permittee,
class
“C”
permittee,
and
or
retail
liquor
control
licensee
shall
keep
proper
records
showing
each
purchase
of
beer
made
by
the
permittee
and
or
licensee,
and
the
date
and
the
amount
of
each
purchase
and
the
name
of
the
person
from
whom
each
purchase
was
made,
which
records
shall
be
open
to
inspection
pursuant
to
section
123.30,
subsection
1
,
during
normal
business
hours
of
the
permittee
or
licensee.
Sec.
30.
Section
125.10,
subsection
16,
Code
2014,
is
amended
to
read
as
follows:
House
File
2423,
p.
10
16.
Encourage
all
health
and
disability
insurance
programs
to
include
substance
abuse
substance-related
disorders
as
a
covered
illness
illnesses
.
Sec.
31.
Section
135C.41,
Code
2014,
is
amended
to
read
as
follows:
135C.41
Licensee’s
response
to
citation.
Within
twenty
business
days
after
service
of
a
citation
under
section
135C.40
,
a
facility
shall
either
do
one
of
the
following
:
1.
If
it
the
facility
does
not
desire
to
contest
the
citation
,
take
one
of
the
following
actions
:
a.
Remit
to
the
department
the
amount
specified
by
the
department
pursuant
to
section
135C.36
as
a
penalty
for
each
Class
I
violation
cited,
and
for
each
Class
II
violation
unless
the
citation
specifically
waives
the
penalty,
which
funds
shall
be
paid
by
the
department
into
the
state
treasury
and
credited
to
the
general
fund
;
or
.
b.
In
the
case
of
a
Class
II
violation
for
which
the
penalty
has
been
waived
in
accordance
with
the
standards
prescribed
in
section
135C.36,
subsection
2
,
or
a
Class
III
violation,
send
to
the
department
a
written
response
acknowledging
that
the
citation
has
been
received
and
stating
that
the
violation
will
be
corrected
within
the
specific
period
of
time
allowed
by
the
citation
;
or
.
2.
Notify
If
the
facility
desires
to
contest
the
citation,
notify
the
director
that
the
facility
desires
to
contest
the
citation
and
request
an
informal
conference
with
an
independent
reviewer
pursuant
to
section
135C.42
.
Sec.
32.
Section
144A.2,
subsection
8,
paragraph
b,
Code
2014,
is
amended
to
read
as
follows:
b.
“Life-sustaining
procedure”
does
not
include
the
provision
of
nutrition
or
hydration
except
when
required
to
be
provided
parenterally
or
through
intubation
,
or
the
administration
of
medication
or
performance
of
any
medical
procedure
deemed
necessary
to
provide
comfort
care
or
to
alleviate
pain.
Sec.
33.
Section
172A.10,
Code
2014,
is
amended
to
read
as
follows:
172A.10
Injunctions
——
criminal
penalties.
1.
If
any
person
who
is
required
by
this
chapter
to
be
licensed
fails
to
obtain
the
required
license,
or
if
any
person
who
is
required
by
this
chapter
to
maintain
proof
of
financial
responsibility
fails
to
obtain
or
maintain
such
proof
,
or
House
File
2423,
p.
11
if
any
licensee
fails
to
discontinue
engaging
in
licensed
activities
when
that
person’s
license
has
been
suspended,
such
failure
shall
be
deemed
a
nuisance
and
the
secretary
may
bring
an
action
on
behalf
of
the
state
to
enjoin
such
nuisance.
Such
actions
may
be
heard
on
not
less
than
five
days’
notice
to
the
person
whose
activities
are
sought
to
be
enjoined.
The
failure
to
obtain
a
license
when
required,
or
the
failure
to
maintain
proof
of
financial
responsibility
shall
constitute
a
violation
of
this
chapter
.
2.
Any
person
convicted
of
violating
any
provision
of
this
chapter
shall
be
guilty
of
a
serious
misdemeanor.
Sec.
34.
Section
175.31,
Code
2014,
is
amended
to
read
as
follows:
175.31
Programs
in
progress.
The
authority
shall
complete
the
administration
of
programs
in
progress
on
July
1,
1980,
to
the
extent
that
funds
were
committed,
obligations
incurred
or
rights
accrued
prior
to
July
1,
1980,
under
the
programs
authorized
under
sections
234.15
to
234.20
,
prior
to
the
repeal
of
those
sections
Code
1979
.
Moneys
received
under
this
section
shall
be
deposited
to
the
authority.
Sec.
35.
Section
175.37,
subsection
4,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
The
tax
credit
is
allowed
only
for
agricultural
assets
that
are
subject
to
an
agricultural
assets
transfer
agreement.
The
agreement
shall
provide
for
the
lease
of
agricultural
land
located
in
this
state,
including
any
improvements
,
and
may
provide
for
the
rental
of
agricultural
equipment
as
defined
in
section
322F.1
.
Sec.
36.
Section
203.10,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
The
department
may
issue
an
order
to
suspend
or
revoke
the
license
of
a
grain
dealer
who
violates
a
provision
of
this
chapter
,
including
a
rule
adopted
in
accordance
with
this
chapter
,
pursuant
to
chapter
17A
.
Sec.
37.
Section
203C.10,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
The
department
may
issue
an
order
to
suspend
or
revoke
the
license
of
a
warehouse
operator
who
violates
a
provision
of
this
chapter
,
including
a
rule
adopted
in
accordance
with
this
chapter
,
pursuant
to
chapter
17A
.
Sec.
38.
Section
203C.15,
subsection
10,
paragraph
d,
Code
2014,
is
amended
to
read
as
follows:
House
File
2423,
p.
12
d.
Warehouse
operators
who
are
the
owners
of
bulk
grain.
Sec.
39.
Section
206.2,
subsection
1,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
The
term
“active
ingredient”
“Active
ingredient”
means:
Sec.
40.
Section
206.2,
subsections
2,
3,
10,
11,
13,
and
14,
Code
2014,
are
amended
to
read
as
follows:
2.
The
term
“adulterated”
“Adulterated”
shall
apply
to
any
pesticide
if
its
strength
or
purity
falls
below
the
professed
standard
or
quality
as
expressed
on
labeling
or
under
which
it
is
sold,
or
if
any
substance
has
been
substituted
wholly
or
in
part
for
the
article,
or
if
any
valuable
constituent
of
the
article
has
been
wholly
or
in
part
abstracted.
3.
The
term
“antidote”
“Antidote”
means
the
most
practical
immediate
treatment
in
case
of
poisoning
and
includes
first
aid
treatment.
10.
The
term
“device”
“Device”
means
any
instrument
or
contrivance
intended
for
trapping,
destroying,
repelling,
or
mitigating
insects,
birds,
or
rodents
or
destroying,
repelling,
or
mitigating
fungi,
nematodes,
weeds
,
or
such
other
pests
as
may
be
designated
by
the
secretary,
but
not
including
equipment
used
for
the
application
of
pesticides
when
sold
separately
therefrom.
11.
The
term
“distribute”
“Distribute”
means
to
offer
for
sale,
hold
for
sale,
sell,
barter,
or
supply
pesticides
in
this
state.
13.
The
term
“hazard”
“Hazard”
means
a
probability
that
a
given
pesticide
will
have
an
adverse
effect
on
man
or
the
environment
in
a
given
situation,
the
relative
likelihood
of
danger
or
ill
effect
being
dependent
on
a
number
of
interrelated
factors
present
at
any
given
time.
14.
The
term
“inert
ingredient”
“Inert
ingredient”
means
an
ingredient
which
is
not
an
active
ingredient.
Sec.
41.
Section
206.2,
subsection
15,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
The
term
“ingredient
statement”
“Ingredient
statement”
means
either:
Sec.
42.
Section
206.2,
subsection
16,
Code
2014,
is
amended
to
read
as
follows:
16.
The
term
“label”
“Label”
means
the
written,
printed,
or
graphic
matter
on,
or
attached
to,
the
pesticide
or
device,
or
the
immediate
container
thereof,
and
the
outside
container
or
wrapper
of
the
retail
package,
if
any
there
be,
of
the
pesticide
or
device.
House
File
2423,
p.
13
Sec.
43.
Section
206.2,
subsection
17,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
The
term
“labeling”
“Labeling”
means
all
labels
and
other
written,
printed
,
or
graphic
matter:
Sec.
44.
Section
206.2,
subsection
18,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
The
term
“misbranded”
“Misbranded”
shall
apply:
Sec.
45.
Section
206.2,
subsections
19,
20,
21,
22,
23,
26,
27,
30,
and
31,
Code
2014,
are
amended
to
read
as
follows:
19.
The
term
“permit”
“Permit”
means
a
written
certificate,
issued
by
the
secretary
or
the
secretary’s
agent
under
rules
adopted
by
the
department
authorizing
the
use
of
certain
state
restricted
use
pesticides.
20.
The
term
“person”
“Person”
means
any
individual,
partnership,
association,
corporation,
or
organized
group
of
persons
whether
incorporated
or
not.
21.
The
term
“pesticide”
shall
mean
(a)
any
“Pesticide”
means
any
of
the
following:
a.
Any
substance
or
mixture
of
substances
intended
for
preventing,
destroying,
repelling,
or
mitigating
directly
or
indirectly
any
insects,
rodents,
nematodes,
fungi,
weeds,
and
other
forms
of
plant
or
animal
life
or
viruses,
except
viruses
on
or
in
living
persons,
which
the
secretary
shall
declare
to
be
a
pest
,
and
(b)
any
.
b.
Any
substances
intended
for
use
as
a
plant
growth
regulator,
defoliant,
or
desiccant.
22.
The
term
“pesticide
dealer”
“Pesticide
dealer”
means
any
person
who
distributes
restricted
use
pesticides
;
,
pesticide
for
use
by
commercial
or
public
pesticide
applicators
;
,
or
general
use
pesticides
labeled
for
agricultural
or
lawn
and
garden
use
with
the
exception
of
dealers
whose
gross
annual
pesticide
sales
are
less
than
ten
thousand
dollars
for
each
business
location
owned
or
operated
by
the
dealer.
23.
The
term
“plant
growth
regulator”
“Plant
growth
regulator”
means
any
substance
or
mixture
of
substances
intended,
through
physiological
action,
for
accelerating
or
retarding
the
rate
of
growth
or
rate
of
maturation,
or
for
otherwise
altering
the
behavior
of
ornamental
or
crop
plants
or
the
produce
thereof,
but
shall
not
include
substances
to
the
extent
that
they
are
intended
as
plant
nutrients,
trace
elements,
nutritional
chemicals,
plant
inoculants,
and
soil
amendments.
26.
The
term
“registrant”
“Registrant”
means
the
person
House
File
2423,
p.
14
registering
any
pesticide
or
device
or
who
has
obtained
a
certificate
of
license
from
the
department
pursuant
to
the
provisions
of
this
chapter
.
27.
The
term
“restricted
use
pesticide”
“Restricted
use
pesticide”
means
any
pesticide
restricted
as
to
use
by
rule
of
the
secretary
as
adopted
under
section
206.20
.
30.
The
term
“under
the
direct
supervision
of”
“Under
the
direct
supervision
of”
means
the
act
or
process
whereby
the
application
of
a
pesticide
is
made
by
a
competent
person
acting
under
the
instructions
and
control
of
a
certified
applicator
or
a
state
licensed
commercial
applicator
who
is
available
if
and
when
needed,
even
though
such
certified
applicator
is
not
physically
present
at
the
time
and
place
the
pesticide
is
applied.
31.
The
term
“unreasonable
adverse
effects
on
the
environment”
“Unreasonable
adverse
effects
on
the
environment”
means
any
unreasonable
risk
to
man
or
the
environment,
taking
into
account
the
economic,
social
,
and
environmental
costs
and
benefits
of
the
use
of
any
pesticide.
Sec.
46.
Section
216A.2,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
The
department
director
is
the
chief
administrative
officer
of
the
department
and
in
that
capacity
administers
the
programs
and
services
of
the
department
in
compliance
with
applicable
federal
and
state
laws
and
regulations.
The
duties
of
the
department
director
include
preparing
a
budget,
establishing
an
internal
administrative
structure,
and
employing
personnel.
Sec.
47.
Section
230.2,
Code
2014,
is
amended
to
read
as
follows:
230.2
Finding
of
residence.
If
a
person’s
residency
status
is
disputed,
the
residency
shall
be
determined
in
accordance
with
section
331.394
.
Otherwise,
the
district
court
may,
when
the
person
is
ordered
placed
in
a
hospital
for
psychiatric
examination
and
appropriate
treatment,
or
as
soon
thereafter
as
the
court
obtains
the
proper
information,
determine
make
one
of
the
following
determinations
and
enter
of
record
whether
the
residence
of
the
person
is
in
a
county
or
the
person
is
deemed
to
be
a
state
case,
as
follows:
1.
In
That
the
person’s
residence
is
in
the
county
from
which
the
person
was
placed
in
the
hospital.
2.
In
That
the
person’s
residence
is
in
another
county
of
House
File
2423,
p.
15
the
state.
3.
In
That
the
person’s
residence
is
in
a
foreign
state
or
country
and
the
person
is
deemed
to
be
a
state
case.
4.
Unknown
That
the
person’s
residence
is
unknown
and
the
person
is
deemed
to
be
a
state
case.
Sec.
48.
Section
230.11,
Code
2014,
is
amended
to
read
as
follows:
230.11
Recovery
of
costs
from
state.
Costs
and
expenses
attending
the
taking
into
custody,
care,
and
investigation
of
a
person
who
has
been
admitted
or
committed
to
a
state
hospital,
United
States
department
of
veterans
affairs
hospital,
or
other
agency
of
the
United
States
government,
for
persons
with
mental
illness
and
who
has
no
residence
in
this
state
or
whose
residence
is
unknown,
including
cost
of
commitment,
if
any,
shall
be
paid
as
a
state
case
as
approved
by
the
administrator.
The
amount
of
the
costs
and
expenses
approved
by
the
administrator
is
appropriated
to
the
department
from
any
money
in
the
state
treasury
not
otherwise
appropriated
,
.
Payment
shall
be
made
on
itemized
vouchers
executed
by
the
auditor
of
the
county
which
has
paid
them,
and
approved
by
the
administrator.
Sec.
49.
Section
230.34,
Code
2014,
is
amended
to
read
as
follows:
230.34
Definitions.
As
used
in
this
chapter,
unless
the
context
otherwise
requires:
1.
As
used
in
this
chapter
,
“administrator”
“Administrator”
means
the
administrator
of
the
department
of
human
services
assigned,
in
accordance
with
section
218.1
,
to
control
the
state
mental
health
institutes,
or
that
administrator’s
designee.
2.
As
used
in
this
chapter
,
“auditor”
“Auditor”
means
the
county
auditor
or
the
auditor’s
designee.
3.
As
used
in
this
chapter
,
unless
the
context
otherwise
requires,
“book”
“Book”
,
“list”
,
“record”
,
or
“schedule”
kept
by
a
county
auditor,
assessor,
treasurer,
recorder,
sheriff,
or
other
county
officer
means
the
county
system
as
defined
in
section
445.1
.
4.
As
used
in
this
chapter
,
unless
the
context
otherwise
requires,
“department”
“Department”
means
the
department
of
human
services.
Sec.
50.
Section
232.80,
Code
2014,
is
amended
to
read
as
follows:
House
File
2423,
p.
16
232.80
Homemaker
services.
A
homemaker-home
health
aide
may
be
assigned
to
give
care
to
a
child
in
the
child’s
place
of
residence.
Whenever
possible,
the
services
shall
be
provided
in
preference
to
removal
of
the
child
from
the
home.
The
care
may
be
provided
under
this
Act
chapter
on
an
emergency
basis
for
up
to
twenty-four
hours
without
court
order,
and
may
be
ordered
by
the
court
for
a
period
of
time
extending
until
dismissal
or
disposition
of
the
case.
Sec.
51.
Section
232.90,
subsection
4,
Code
2014,
is
amended
to
read
as
follows:
4.
The
county
attorney
and
the
attorney
general
shall
comply
with
the
requirements
of
chapter
232B
and
the
federal
Indian
Child
Welfare
Act,
Pub.
L.
No.
95-608,
when
either
chapter
232B
or
the
federal
Indian
Child
Welfare
Act
is
determined
to
be
applicable
in
any
proceeding
under
this
division
.
Sec.
52.
Section
232.102,
subsection
3,
Code
2014,
is
amended
to
read
as
follows:
3.
After
a
dispositional
hearing
and
upon
written
findings
of
fact
based
upon
evidence
in
the
record
that
an
alternative
placement
set
forth
in
subsection
1
,
paragraph
“a”
,
subparagraph
(1),
has
previously
been
made
and
is
not
appropriate
the
court
may
enter
an
order
transferring
the
guardianship
of
the
child
for
the
purposes
of
subsection
8
9
,
to
the
director
of
human
services
for
the
purposes
of
placement
in
the
Iowa
juvenile
home
at
Toledo.
Sec.
53.
Section
249A.47,
subsection
1,
paragraph
h,
Code
2014,
is
amended
to
read
as
follows:
h.
A
provider
who
intentionally
and
purposefully
and
without
good
cause
fails
to
grant
timely
access,
upon
reasonable
request
and
without
good
cause
,
to
the
department
for
the
purpose
of
audits,
investigations,
evaluations,
or
other
functions
of
the
department,
is
subject
to
a
civil
penalty
of
fifteen
thousand
dollars
for
each
day
of
the
failure.
Sec.
54.
Section
252.27,
unnumbered
paragraph
2,
Code
2014,
is
amended
to
read
as
follows:
The
board
shall
record
its
proceedings
relating
to
the
provision
of
assistance
to
specific
persons
under
this
chapter
.
A
person
who
is
aggrieved
by
a
decision
of
the
board
may
appeal
the
decision
as
if
it
were
a
contested
case
before
an
agency
and
as
if
the
person
had
exhausted
administrative
remedies
in
accordance
with
the
procedures
and
standards
in
section
17A.19,
subsections
2
to
through
12,
except
section
17A.19,
subsection
House
File
2423,
p.
17
10
,
paragraphs
“b”
and
“g”
,
and
section
17A.20
.
Sec.
55.
Section
252.37,
Code
2014,
is
amended
to
read
as
follows:
252.37
Appeal
to
supervisors.
If
a
poor
person,
on
application
to
the
general
assistance
director,
is
refused
the
required
assistance,
the
applicant
may
appeal
to
the
board
of
supervisors,
who,
upon
examination
into
the
matter,
may
order
the
director
to
provide
assistance,
or
it
who
may
direct
specific
assistance.
Sec.
56.
Section
256.7,
subsection
26,
paragraph
a,
subparagraph
(3),
Code
2014,
is
amended
to
read
as
follows:
(3)
The
rules
establishing
a
core
curriculum
shall
address
the
core
content
standards
in
subsection
28
and
the
skills
and
knowledge
students
need
to
be
successful
in
the
twenty-first
century.
The
core
curriculum
shall
include
social
studies
and
twenty-first
century
learning
skills
which
include
but
are
not
limited
to
civic
literacy,
health
literacy,
technology
literacy,
financial
literacy,
and
employability
skills;
and
shall
address
the
curricular
needs
of
students
in
kindergarten
through
grade
twelve
in
those
areas.
The
department
state
board
shall
further
define
the
twenty-first
century
learning
skills
components
by
rule.
Sec.
57.
Section
256.42,
subsection
4,
Code
2014,
is
amended
to
read
as
follows:
4.
Each
participating
school
district
and
accredited
nonpublic
school
shall
submit
its
online
curricula
to
the
department
for
review.
Each
participating
school
district
and
accredited
nonpublic
school
shall
include
in
its
comprehensive
school
improvement
plan
submitted
pursuant
to
section
256.7,
subsection
21
,
a
list
and
description
of
the
online
coursework
offered
by
the
district
or
school
.
Sec.
58.
Section
258.6,
Code
2014,
is
amended
to
read
as
follows:
258.6
Definitions.
As
used
in
this
chapter:
1.
“Approved
practitioner
preparation
school,
department,
or
class”
means
a
school,
department,
or
class
approved
by
the
board
as
entitled
under
this
chapter
to
federal
moneys
for
the
training
of
teachers
of
vocational
subjects.
2.
“Approved
school,
department,
or
class”
means
a
school,
department,
or
class
approved
by
the
board
as
entitled
under
this
chapter
to
federal
and
state
moneys
for
the
salaries
and
authorized
travel
of
teachers
of
vocational
subjects.
“Approved
House
File
2423,
p.
18
practitioner
preparation
school,
department,
or
class”
means
a
school,
department,
or
class
approved
by
the
board
as
entitled
under
this
chapter
to
federal
moneys
for
the
training
of
teachers
of
vocational
subjects.
Sec.
59.
Section
258.12,
Code
2014,
is
amended
to
read
as
follows:
258.12
Custodian
of
funds.
The
treasurer
of
state
shall
be
custodian
of
the
funds
paid
to
the
state
from
the
appropriations
made
under
said
the
federal
Carl
D.
Perkins
Vocational
and
Technical
Education
Act
of
Congress
of
1998
,
and
shall
disburse
the
same
on
vouchers
audited
as
provided
by
law.
Sec.
60.
Section
278.3,
Code
2014,
is
amended
to
read
as
follows:
278.3
Power
given
electors
not
to
limit
directors’
power.
The
power
vested
in
the
electors
by
section
278.1
shall
not
affect
or
limit
the
power
granted
to
the
board
of
directors
of
a
school
district
in
section
297.7,
subsection
2
,
and
the
authority
granted
in
said
section
297.7,
subsection
2,
shall
be
construed
as
independent
of
the
power
vested
in
the
electors
by
section
278.1
.
Sec.
61.
Section
283A.1,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
For
the
purpose
of
this
chapter
,
unless
the
context
otherwise
requires
:
Sec.
62.
Section
297.30,
Code
2014,
is
amended
to
read
as
follows:
297.30
Public
sale.
If
the
owner
of
the
tract
from
which
said
site
was
taken
fails
to
pay
the
amount
of
such
appraisement
to
such
executive
council
the
department
within
thirty
days
after
the
filing
of
the
same
with
the
sheriff,
the
executive
council
department
may
sell
said
site
or
building
to
any
other
person
at
the
appraised
value,
or
may
sell
the
same
at
public
sale
to
the
highest
bidder
and
the
proceeds
of
such
sale
are
to
be
added
to
the
permanent
school
fund
of
the
state.
Sec.
63.
Section
299.6A,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
In
lieu
of
a
criminal
proceeding
under
section
299.6
,
a
county
attorney
may
bring
a
civil
action
against
a
parent,
guardian,
or
legal
or
actual
custodian
of
a
child
who
is
of
compulsory
attendance
age,
has
not
completed
educational
requirements,
and
is
truant,
if
the
parent,
guardian,
or
legal
House
File
2423,
p.
19
or
actual
custodian
has
failed
to
cause
the
child
to
attend
a
public
school
or
an
accredited
nonpublic
school,
or
placed
to
place
the
child
under
competent
private
instruction
or
independent
private
instruction
in
the
manner
provided
in
this
chapter
.
If
the
court
finds
that
the
parent,
guardian,
or
legal
or
actual
custodian
has
failed
to
cause
the
child
to
attend
as
required
in
this
section
,
the
court
shall
assess
a
civil
penalty
of
not
less
than
one
hundred
but
not
more
than
one
thousand
dollars
for
each
violation
established.
Sec.
64.
Section
306D.1,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
In
addition
to
other
goals
for
the
program,
it
is
the
intention
of
the
general
assembly
that
the
scenic
highways
program
be
coordinated
with
the
state’s
open
space
program
under
chapter
465A
.
Sec.
65.
Section
307.23,
Code
2014,
is
amended
to
read
as
follows:
307.23
General
counsel.
1.
The
general
counsel
shall
be
a
special
assistant
attorney
general
appointed
by
the
attorney
general
who
shall
act
as
the
attorney
for
the
department
and
the
.
The
general
counsel
shall
have
the
following
duties
and
responsibilities:
a.
Act
as
legal
advisor
to
the
commission
and
the
director
,
and
provide
.
b.
Provide
all
legal
services
for
the
department.
2.
The
attorney
general
shall
appoint
additional
assistant
attorneys
general
as
the
director
deems
necessary
to
carry
out
the
duties
assigned
to
the
office
of
the
general
counsel.
The
salary
of
the
general
counsel
shall
be
fixed
by
the
director,
subject
to
the
approval
of
the
attorney
general.
The
director
shall
provide
and
furnish
a
suitable
office
for
the
general
counsel
upon
request
of
the
attorney
general.
Sec.
66.
Section
309.41,
Code
2014,
is
amended
to
read
as
follows:
309.41
Optional
advertisement
and
letting.
1.
Contracts
not
embraced
within
the
provisions
of
section
309.40
or
309.40A
shall
be
either
advertised
and
let
at
a
public
letting
;
,
or,
where
the
cost
does
not
exceed
the
engineer’s
estimate,
let
through
informal
bid
procedure
by
contacting
at
least
three
qualified
bidders
prior
to
letting
the
contract.
The
informal
bids
received
together
with
a
statement
setting
forth
the
reasons
for
use
of
the
informal
procedure
and
bid
acceptance
shall
be
entered
in
the
minutes
House
File
2423,
p.
20
of
the
board
of
supervisors
meeting
at
which
such
action
was
taken.
2.
Nothing
contained
in
this
section
shall
be
deemed
to
prohibit
the
board
of
supervisors
from
purchasing
material
and
using
county
equipment
and
regularly
employed
county
road
personnel
on
a
project
within
their
capability
as
determined
by
the
county
engineer.
Sec.
67.
Section
309.43,
Code
2014,
is
amended
to
read
as
follows:
309.43
Record
of
bids.
All
bids
received
shall
be
publicly
opened,
at
the
time
and
place
specified
in
the
advertisement,
and
shall
be
recorded
in
detail
,
in
the
road
book
,
by
the
county
auditor
;
and
the
.
The
county
engineer
shall
in
all
instances
of
day
labor
,
and
private
or
public
contracts
,
file
a
detailed
cost
accounting
sheet
with
the
county
auditor
;
said
.
The
road
book
and
cost
sheets
shall
at
all
times
be
open
to
public
inspection.
Sec.
68.
Section
313.2,
Code
2014,
is
amended
to
read
as
follows:
313.2
“Road
systems”
defined
——
roadside
parks.
1.
The
roads
and
streets
of
the
state
are,
for
the
purpose
of
this
chapter
,
those
roads
and
streets
established
under
chapter
306
.
2.
a.
Whenever
the
board
of
supervisors
of
a
county
and
the
department
mutually
determine
that
a
portion
of
a
highway
under
the
jurisdiction
of
either
party
should
be
transferred
to
the
jurisdiction
of
the
other
party,
the
board
and
department
may
enter
into
an
agreement
to
effect
such
transfer.
Such
agreement
may
provide
that
each
party
may
undertake
or
share
responsibility
for
improving
said
road
with
the
costs
of
such
improvement
to
be
borne
entirely
by
either
the
county
or
the
department
or
equitably
divided
between
the
two
jurisdictions.
All
such
improvements
shall
be
completed
and
all
actual
costs
thereof
paid
or
reimbursed
prior
to
the
time
transfer
of
the
road
is
made.
In
carrying
out
such
agreement,
the
board
of
supervisors
may
expend
secondary
road
funds
of
the
county
and
the
department
may
expend
primary
road
funds.
b.
However,
prior
to
entering
into
the
agreement,
a
notice
of
intent
to
execute
such
agreement
shall
be
published
in
a
newspaper
of
general
circulation
within
the
county
and
the
cost
of
such
notice
shall
be
jointly
borne
by
the
department
and
the
board
of
supervisors.
If
one
hundred
or
more
residents
of
the
county
request
by
petition
or
in
writing
that
a
hearing
House
File
2423,
p.
21
be
held
in
regard
to
such
agreement
within
ten
days
after
the
publication
of
the
notice,
the
board
of
supervisors
and
the
department
shall
hold
such
a
hearing
not
more
than
seven
days
after
receiving
the
petition
or
written
instrument,
and
based
upon
evidence
presented
at
such
hearing
shall
reexamine
the
merits
of
executing
such
agreement
and
make
a
decision
in
regard
to
it.
3.
The
department
may,
for
the
purpose
of
affording
access
to
cities
or
state
parks,
or
for
the
purpose
of
shortening
the
direct
line
of
travel
on
important
routes,
or
to
effect
connections
with
interstate
roads
at
the
state
line,
add
such
road
or
roads
to
the
primary
system.
4.
The
department,
either
alone
or
in
cooperation
with
any
county,
shall
have
the
authority
to
utilize
any
land
acquired
incidental
to
the
acquisition
of
land
for
highway
right-of-way
and
to
also
accept
by
gift
,
lands
not
exceeding
two
acres
in
area
for
roadside
parks
and
parking
areas.
The
department
may
furnish
necessary
maintenance.
The
department
shall
also
have
authority
to
accept
by
gift
,
equipment
or
other
installations
incidental
to
the
use
of
said
parks
and
parking
areas.
Said
The
parks
and
parking
areas
shall
be
a
part
of
the
primary
road
system
and
the
department
may
at
its
discretion
sell
or
otherwise
dispose
of
said
the
lands.
5.
Reasonable
maintenance
and
surveillance
of
rest
area
sites
and
buildings
located
thereon
on
the
sites
shall
be
provided
by
employees
of
the
department
within
the
limits
of
appropriations
provided
for
such
purpose.
Sec.
69.
Section
313.28,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
When
the
department,
for
the
purpose
of
establishing,
constructing,
or
maintaining
any
primary
road,
determines
that
any
secondary
road
or
portion
thereof
is
necessary
for
a
detour
or
haul
road,
the
department,
after
consultation
with
the
county
board
of
supervisors
having
jurisdiction
of
the
route,
shall
by
order
temporarily
designate
the
secondary
road
or
portion
thereof
as
a
temporary
primary
road
detour
or
as
a
temporary
primary
road
haul
road,
and
the
department
shall
maintain
the
same
as
a
primary
road
until
it
shall
revoke
the
temporary
designation
order.
Prior
to
use
of
a
secondary
road
as
a
primary
road
haul
road
or
detour,
the
department
shall
designate
a
representative
to
inspect
the
secondary
road
with
the
county
engineer
to
determine
and
note
the
condition
of
the
road.
House
File
2423,
p.
22
Sec.
70.
Section
313.65,
Code
2014,
is
amended
to
read
as
follows:
313.65
Approval
of
taxing
bodies.
Before
any
bridge
owned
by
any
individual
or
private
corporation
shall
be
accepted
by
the
department
under
the
provisions
of
sections
313.59
to
313.64
,
the
said
proposal
and
acceptance
shall
first
be
approved
by
the
following
tax
levying
and
tax
certifying
bodies
located
in
the
said
tax
district:
1.
The
board
of
supervisors
,
the
.
2.
The
city
councils
and
the
.
3.
The
school
board
or
boards.
Sec.
71.
Section
313.66,
subsection
4,
Code
2014,
is
amended
to
read
as
follows:
4.
Before
the
purchase
of
any
such
bridge
shall
be
completed
by
the
department
under
the
provisions
of
this
section
,
the
purchase
thereof
shall
first
be
approved
by
the
following
tax
levying
and
tax
certifying
bodies
located
in
said
the
district:
a.
The
board
of
supervisors
,
the
.
b.
The
city
councils
,
and
the
.
c.
The
school
board
or
boards.
Sec.
72.
Section
317.25,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
a.
A
person
shall
not
import,
sell,
offer
for
sale,
or
distribute
teasel
in
this
state
in
any
form,
including
the
seeds,
any
of
the
following
plants:
(1)
Teasel
(Dipsacus)
biennial
,
the
multiflora
.
(2)
Multiflora
rose
(Rosa
multiflora)
,
purple
.
(3)
Purple
loosestrife
(Lythrum
salicaria)
,
purple
.
(4)
Purple
loosestrife
(Lythrum
virgatum)
,
garlic
.
(5)
Garlic
mustard
(Alliaria
petiolata)
,
oriental
.
(6)
Oriental
bittersweet
(Celastrus
orbiculatus)
,
.
(7)
Japanese
knotweed
(Fallopia
japonica)
,
or
.
(8)
Japanese
hop
(Humulus
japonicus)
,
including
the
seeds
of
those
plants,
in
any
form
in
this
state
.
b.
However,
this
subsection
paragraph
“a”
does
not
prohibit
the
sale,
offer
for
sale,
or
distribution
of
the
multiflora
rose
(Rosa
multiflora)
used
for
understock
for
either
cultivated
roses
or
ornamental
shrubs
in
gardens.
Sec.
73.
Section
321.24,
subsections
7
and
10,
Code
2014,
are
amended
to
read
as
follows:
7.
The
certificate
shall
contain
the
name
of
the
county
treasurer
or
of
the
department
and,
if
the
certificate
of
House
File
2423,
p.
23
title
is
printed,
the
signature
of
the
county
treasurer,
the
deputy
county
treasurer,
or
the
department
director
or
deputy
designee.
The
certificate
of
title
shall
contain
upon
the
reverse
side
a
form
for
assignment
of
title
or
interest
and
warranty
by
the
owner,
for
reassignments
by
a
dealer
licensed
in
this
state
or
in
another
state
if
the
state
in
which
the
dealer
is
licensed
permits
Iowa
licensed
dealers
to
similarly
reassign
certificates
of
title.
However,
titles
for
mobile
homes
or
manufactured
homes
shall
not
be
reassigned
by
licensed
dealers.
Notwithstanding
section
321.1,
subsection
17
,
as
used
in
this
paragraph
subsection,
“dealer”
means
every
person
engaged
in
the
business
of
buying,
selling,
or
exchanging
vehicles
of
a
type
required
to
be
registered
under
this
chapter
.
10.
A
vehicle
shall
be
registered
for
the
registration
year.
A
vehicle
registered
for
the
first
time
in
this
state
shall
be
registered
for
the
remaining
unexpired
months
of
the
registration
year
and
pay
an
annual
registration
fee
prorated
for
the
remaining
unexpired
months
of
the
registration
year
plus
a
fee
for
new
registration
if
applicable
pursuant
to
section
321.105A
.
Except
for
a
vehicle
registered
under
chapter
326
,
a
vehicle
registered
for
the
first
time
during
the
eleventh
month
of
the
owner’s
registration
year
may
be
registered
for
the
remaining
unexpired
months
of
the
registration
year
as
provided
in
this
paragraph
subsection
or
for
the
remaining
unexpired
months
of
the
registration
year
and
for
the
next
registration
year,
upon
payment
of
the
applicable
registration
fees.
Sec.
74.
Section
321.178,
subsection
2,
paragraph
a,
subparagraph
(2),
subparagraph
division
(b),
Code
2014,
is
amended
to
read
as
follows:
(b)
For
the
period
beginning
July
1,
2010,
through
June
30,
2011,
peace
officers
shall
issue
only
warning
citations
for
violations
of
subparagraph
division
(a).
The
department,
in
cooperation
with
the
department
of
public
safety,
shall
establish
educational
programs
to
foster
compliance
with
the
requirements
of
subparagraph
division
(a).
Sec.
75.
Section
321.180A,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
Notwithstanding
other
provisions
of
this
chapter
,
a
person
with
a
physical
disability,
who
is
not
suffering
from
a
convulsive
disorder
and
who
can
provide
a
favorable
medical
report,
whose
license
renewal
has
been
denied
under
section
House
File
2423,
p.
24
321.177,
subsection
6
or
7
,
or
whose
driver’s
license
has
been
suspended
under
section
321.210,
subsection
1
,
paragraph
“a”
,
subparagraph
(3),
upon
meeting
the
requirements
of
section
321.186
,
other
than
a
driving
demonstration
or
elimination
of
the
person’s
limitations
which
caused
the
denial
under
section
321.177,
subsection
6
or
7
,
or
suspension
under
section
321.210,
subsection
1
,
paragraph
“a”
,
subparagraph
(3),
and
upon
paying
the
fee
required
in
section
321.191
,
shall
be
issued
a
special
instruction
permit
by
the
department.
Upon
issuance
of
the
permit
the
denial
or
suspension
shall
be
stayed
and
the
stay
shall
remain
in
effect
as
long
as
the
permit
is
valid.
Sec.
76.
Section
321.180B,
subsection
6,
paragraph
b,
Code
2014,
is
amended
to
read
as
follows:
b.
For
the
period
beginning
July
1,
2010,
through
June
30,
2011,
peace
officers
shall
issue
only
warning
citations
for
violations
of
paragraph
“a”
.
The
department,
in
cooperation
with
the
department
of
public
safety,
shall
establish
educational
programs
to
foster
compliance
with
the
requirements
of
paragraph
“a”
.
Sec.
77.
Section
321.194,
subsection
1,
paragraph
d,
subparagraph
(2),
Code
2014,
is
amended
to
read
as
follows:
(2)
For
the
period
beginning
July
1,
2010,
through
June
30,
2011,
peace
officers
shall
issue
only
warning
citations
for
violations
of
subparagraph
(1).
The
department,
in
cooperation
with
the
department
of
public
safety,
shall
establish
educational
programs
to
foster
compliance
with
the
requirements
of
subparagraph
(1).
Sec.
78.
Section
321.498,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
The
acceptance
by
any
nonresident
of
this
state
of
the
privileges
extended
by
the
laws
of
this
state
to
nonresident
operators
or
owners
of
operating
a
motor
vehicle,
or
having
the
same
operated,
within
this
state
shall
be
deemed
to
be
all
of
the
following
:
a.
An
agreement
by
the
nonresident
that
the
nonresident
shall
be
subject
to
the
jurisdiction
of
the
district
court
of
this
state
over
all
civil
actions
and
proceedings
against
the
nonresident
for
damages
to
person
or
property
growing
or
arising
out
of
such
use
and
operation
,
and
.
b.
An
appointment
by
such
nonresident
of
the
director
of
this
state
as
the
nonresident’s
lawful
attorney
upon
whom
may
be
served
all
original
notices
of
suit
pertaining
to
such
House
File
2423,
p.
25
actions
and
proceedings
,
and
.
c.
An
agreement
by
such
nonresident
that
any
original
notice
of
suit
so
served
shall
be
of
the
same
legal
force
and
validity
as
if
personally
served
on
the
nonresident
in
this
state.
Sec.
79.
Section
321.555,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
As
used
in
this
division
section
and
sections
321.556
through
321.562
,
“habitual
offender”
means
any
person
who
has
accumulated
convictions
for
separate
and
distinct
offenses
described
in
subsection
1,
2,
or
3
,
committed
after
July
1,
1974,
for
which
final
convictions
have
been
rendered,
as
follows:
Sec.
80.
Section
321.562,
Code
2014,
is
amended
to
read
as
follows:
321.562
Rule
of
construction.
Nothing
in
sections
321.555
through
321.561
or
this
division
section
shall
be
construed
as
amending,
modifying,
or
repealing
any
existing
law
of
this
state
or
any
ordinance
of
any
political
subdivision
relating
to
the
operation
of
motor
vehicles,
the
licensing
of
persons
to
operate
motor
vehicles,
or
providing
penalties
for
the
violation
thereof.
Sec.
81.
Section
321A.8,
Code
2014,
is
amended
to
read
as
follows:
321A.8
Application
to
unlicensed
drivers
and
unregistered
motor
vehicles.
In
case
the
operator
or
the
owner
of
a
motor
vehicle
involved
in
an
accident
within
this
state
has
no
license
or
registration,
the
operator
or
owner
shall
not
be
allowed
a
license
or
registration
until
the
operator
or
owner
has
complied
with
the
requirements
of
sections
321A.4
to
through
321A.7,
this
section,
and
sections
321A.9
through
321A.11
to
the
same
extent
that
would
be
necessary
if,
at
the
time
of
the
accident,
the
operator
or
owner
had
held
a
license
and
registration.
Sec.
82.
Section
321A.9,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
The
security
required
under
sections
321A.4
to
through
321A.8,
this
section,
and
sections
321A.10
and
321A.11
shall
be
in
such
form
and
in
such
amount
as
the
department
may
require
but
in
no
case
in
excess
of
the
limits
specified
in
section
321A.5
in
reference
to
the
acceptable
limits
of
a
policy
or
bond.
The
person
depositing
security
shall
specify
in
writing
the
person
or
persons
on
whose
behalf
the
deposit
is
made
House
File
2423,
p.
26
and,
at
any
time
while
such
deposit
is
in
the
custody
of
the
department
or
state
treasurer,
the
person
depositing
it
may,
in
writing,
amend
the
specification
of
the
person
or
persons
on
whose
behalf
the
deposit
is
made
to
include
an
additional
person
or
persons;
provided,
however,
that
a
single
deposit
of
security
shall
be
applicable
only
on
behalf
of
persons
required
to
furnish
security
because
of
the
same
accident.
Sec.
83.
Section
321A.10,
Code
2014,
is
amended
to
read
as
follows:
321A.10
Custody,
disposition,
and
return
of
security.
Security
deposited
in
compliance
with
the
requirements
of
sections
321A.4
to
through
321A.9,
this
section,
and
section
321A.11
shall
be
placed
by
the
department
in
the
custody
of
the
state
treasurer
and
shall
be
applicable
only
to
the
payment
of
a
judgment
or
judgments
rendered
against
the
person
or
persons
on
whose
behalf
the
deposit
was
made,
for
damages
arising
out
of
the
accident
in
question
in
an
action
at
law,
begun
not
later
than
one
year
after
the
date
of
such
accident,
or
within
one
year
after
the
date
of
deposit
of
any
security
under
subsection
3
of
section
321A.7
,
and
such
deposit
or
any
balance
thereof
shall
be
returned
to
the
depositor
or
the
depositor’s
personal
representative
when
evidence
satisfactory
to
the
department
has
been
filed
with
the
department
that
there
has
been
a
release
from
liability,
or
a
final
adjudication
of
nonliability,
or
a
warrant
for
confession
of
judgment,
or
a
duly
acknowledged
agreement,
in
accordance
with
subsection
4
of
section
321A.6
,
or
whenever,
after
the
expiration
of
one
year
from
the
date
of
the
accident,
or
within
one
year
after
the
date
of
deposit
of
any
security
under
subsection
3
of
section
321A.7
,
the
department
shall
be
given
reasonable
evidence
that
there
is
no
such
action
pending
and
no
judgment
rendered
in
such
action
left
unpaid.
Sec.
84.
Section
321A.13,
subsection
3,
Code
2014,
is
amended
to
read
as
follows:
3.
Any
person
whose
license,
registration,
or
nonresident’s
operating
privilege
has
been
suspended
or
is
about
to
be
suspended
or
shall
become
subject
to
suspension
under
the
provisions
of
sections
321A.12
to
,
this
section,
and
sections
321A.14
through
321A.29
may
be
relieved
from
the
effect
of
such
judgment
as
hereinbefore
prescribed
in
said
sections
by
filing
with
the
department
an
affidavit
stating
that
at
the
time
of
the
accident
upon
which
such
judgment
has
been
rendered
the
affiant
was
insured,
that
the
insurer
is
liable
to
pay
such
House
File
2423,
p.
27
judgment,
and
the
reason,
if
known,
why
such
insurance
company
has
not
paid
such
judgment.
Such
a
person
shall
also
file
the
original
policy
of
insurance
or
a
certified
copy
thereof,
if
available,
and
such
other
documents
as
the
department
may
require
to
show
that
the
loss,
injury,
or
damage
for
which
such
judgment
was
rendered,
was
covered
by
such
policy
of
insurance.
If
the
department
is
satisfied
from
such
papers
that
such
insurer
was
authorized
to
issue
such
policy
of
insurance
at
the
time
and
place
of
issuing
such
policy
and
that
such
insurer
is
liable
to
pay
such
judgment,
at
least
to
the
extent
and
for
the
amounts
required
in
this
chapter
,
the
department
shall
not
suspend
such
license
or
registration
or
nonresident’s
operating
privilege,
or
if
already
suspended
shall
reinstate
them.
Sec.
85.
Section
321J.17,
subsection
3,
Code
2014,
is
amended
to
read
as
follows:
3.
The
department
shall
also
require
certification
of
installation
of
an
ignition
interlock
device
of
a
type
approved
by
the
commissioner
of
public
safety
on
all
motor
vehicles
owned
or
operated
by
any
person
seeking
reinstatement
following
a
second
or
subsequent
revocation
under
section
321J.4
,
321J.9
,
or
321J.12
.
The
requirement
for
the
installation
of
an
approved
ignition
interlock
device
shall
be
for
one
year
from
the
date
of
reinstatement
unless
a
longer
time
period
is
required
by
statute.
The
one-year
period
a
person
is
required
to
maintain
an
ignition
interlock
device
under
this
subsection
shall
be
reduced
by
any
period
of
time
the
person
held
a
valid
temporary
restricted
license
during
the
period
of
the
revocation
for
the
occurrence
from
which
the
arrest
arose.
The
person
shall
not
operate
any
motor
vehicle
which
is
not
equipped
with
an
approved
ignition
interlock
device
during
the
period
in
which
an
ignition
interlock
device
must
be
maintained,
and
the
department
shall
not
grant
reinstatement
unless
the
person
certifies
installation
of
an
ignition
interlock
device
as
required
in
this
subsection
.
Sec.
86.
Section
331.301,
subsection
6,
paragraph
b,
Code
2014,
is
amended
to
read
as
follows:
b.
A
county
shall
not
impose
any
fee
or
charge
on
any
individual
or
business
licensed
by
the
plumbing
and
mechanical
systems
board
for
the
right
to
perform
plumbing,
mechanical,
HVAC,
refrigeration,
sheet
metal,
or
hydronic
systems
work
within
the
scope
of
the
license.
This
paragraph
does
not
prohibit
a
county
from
charging
fees
for
the
issuance
of
permits
for,
and
inspections
of,
work
performed
in
its
House
File
2423,
p.
28
jurisdiction.
Sec.
87.
Section
364.3,
subsection
3,
paragraph
b,
Code
2014,
is
amended
to
read
as
follows:
b.
A
city
shall
not
impose
any
fee
or
charge
on
any
individual
or
business
licensed
by
the
plumbing
and
mechanical
systems
board
for
the
right
to
perform
plumbing,
mechanical,
HVAC,
refrigeration,
sheet
metal,
or
hydronic
systems
work
within
the
scope
of
the
license.
This
paragraph
does
not
prohibit
a
city
from
charging
fees
for
the
issuance
of
permits
for,
and
inspections
of,
work
performed
in
its
jurisdiction.
Sec.
88.
Section
384.3A,
subsection
3,
paragraph
j,
Code
2014,
is
amended
to
read
as
follows:
j.
For
franchise
fees
assessed
and
collected
by
a
city
in
excess
of
five
percent
of
gross
revenues
generated
from
sales
of
the
franchisee
within
the
city
pursuant
to
section
364.2,
subsection
4
,
paragraph
“f”
,
subparagraph
(1),
subparagraph
division
(b),
during
fiscal
years
beginning
on
or
after
July
1,
2013,
but
before
July
1,
2030,
the
adjustment,
renewal,
or
extension
of
any
part
or
all
of
the
legal
indebtedness
of
a
city,
whether
evidenced
by
bonds,
warrants,
court-approved
settlements,
court-approved
compromises,
or
judgments,
or
the
funding
or
refunding
of
the
same,
if
such
legal
indebtedness
relates
to
restitution,
a
refund,
or
a
return
ordered
by
a
court
of
competent
jurisdiction
for
franchise
fees
assessed
and
collected
by
the
city
before
June
30
20
,
2013.
This
paragraph
“j”
is
repealed
July
1,
2030.
Sec.
89.
Section
422.32,
subsection
1,
Code
2014,
is
amended
by
adding
the
following
new
paragraph:
NEW
PARAGRAPH
.
0g.
“Income
from
sources
within
this
state”
means
income
from
real,
tangible,
or
intangible
property
located
or
having
a
situs
in
this
state.
Sec.
90.
Section
422.33,
subsection
1,
unnumbered
paragraph
2,
Code
2014,
is
amended
by
striking
the
unnumbered
paragraph.
Sec.
91.
Section
423A.6,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
The
director
of
revenue
shall
administer
the
state
and
local
hotel
and
motel
tax
as
nearly
as
possible
in
conjunction
with
the
administration
of
the
state
sales
tax
law,
except
that
portion
of
the
law
which
implements
the
streamlined
sales
and
use
tax
agreement.
The
director
shall
provide
appropriate
forms,
or
provide
on
the
regular
state
tax
forms,
for
reporting
state
and
local
hotel
and
motel
tax
liability.
All
moneys
received
or
refunded
one
hundred
eighty
days
after
the
date
House
File
2423,
p.
29
on
which
a
city
or
county
terminates
its
local
hotel
and
motel
tax
and
all
moneys
received
from
the
state
hotel
and
motel
tax
shall
be
deposited
in
or
withdrawn
from
the
general
fund
of
the
state.
Beginning
the
first
day
of
the
calendar
quarter
beginning
on
the
reinvestment
district’s
commencement
date,
the
director
of
revenue
shall,
subject
to
remittance
limitations
established
by
the
economic
development
authority
board
pursuant
to
section
15J.4,
subsection
3
,
transfer
from
the
general
fund
of
the
state
to
a
district
account
created
in
the
state
reinvestment
district
fund
for
each
reinvestment
district
established
under
chapter
15J
,
the
amount
of
the
new
state
hotel
and
motel
tax
revenue,
determined
in
section
15J.5,
subsection
2
,
paragraph
“b”
,
in
the
district.
Such
transfers
shall
cease
pursuant
to
section
15J.8
.
Sec.
92.
Section
433.2,
Code
2014,
is
amended
to
read
as
follows:
433.2
Additional
statement.
Upon
the
receipt
of
said
the
statements
required
in
section
433.1
from
the
several
companies,
the
director
of
revenue
shall
examine
said
the
statements
and
if
.
If
the
director
shall
deem
deems
the
same
statements
insufficient
and
that
further
information
is
requisite,
the
director
shall
require
the
officer
making
same
the
statements
to
make
such
other
or
further
statement
as
the
director
may
desire.
Sec.
93.
Section
433.4,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
The
director
of
revenue
shall
on
or
before
October
31
each
year,
proceed
to
find
the
actual
value
of
the
property
of
these
telegraph
and
telephone
companies
in
this
state
that
is
used
by
the
companies
in
the
transaction
of
telegraph
and
telephone
business,
taking
into
consideration
the
information
obtained
from
the
statements
required,
and
any
further
information
the
director
can
obtain,
using
the
same
as
a
means
for
determining
the
actual
value
of
the
property
of
these
the
companies
within
this
state.
The
director
shall
also
take
into
consideration
the
valuation
of
all
property
of
these
the
companies,
including
franchises
and
the
use
of
the
property
in
connection
with
lines
outside
the
state,
and
making
these
deductions
as
may
be
necessary
on
account
of
extra
value
of
property
outside
the
state
as
compared
with
the
value
of
property
in
the
state,
in
order
that
the
actual
value
of
the
property
of
the
company
within
this
state
may
be
ascertained.
The
assessment
shall
include
all
property
of
every
kind
House
File
2423,
p.
30
and
character
whatsoever,
real,
personal,
or
mixed,
used
by
the
companies
in
the
transaction
of
telegraph
and
telephone
business.
The
property
so
included
in
the
assessment
shall
not
be
taxed
in
any
other
manner
than
as
provided
in
this
chapter
.
Sec.
94.
Section
437A.3,
subsection
18,
paragraph
a,
subparagraph
(2),
Code
2014,
is
amended
to
read
as
follows:
(2)
An
electric
power
generating
plant
where
the
acquisition
cost
of
all
interests
acquired
exceeds
ten
million
dollars.
For
purposes
of
this
paragraph
subparagraph
,
“electric
power
generating
plant”
means
each
nameplate
rated
electric
power
generating
plant
owned
solely
or
jointly
by
any
person
or
electric
power
facility
financed
under
the
provisions
of
chapter
28F
or
476A
in
which
electrical
energy
is
produced
from
other
forms
of
energy,
including
all
equipment
used
in
the
production
of
such
energy
through
its
step-up
transformer.
Sec.
95.
Section
441.4,
Code
2014,
is
amended
to
read
as
follows:
441.4
Removal
of
member.
A
member
of
this
examining
board
may
be
removed
by
the
voting
unit
of
the
conference
board
by
which
the
member
was
appointed
but
only
after
specific
charges
have
been
filed
and
a
public
hearing
held,
if
a
public
hearing
is
requested
by
the
discharged
member
of
the
board.
Subsequent
appointments
and
an
appointment
to
fill
a
vacancy
shall
be
made
in
the
same
way
as
the
original
appointment.
Sec.
96.
Section
452A.6A,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
A
refiner,
supplier,
terminal
operator,
or
terminal
owner
who
in
the
ordinary
course
of
business
sells
or
transports
a
conventional
blendstock
for
oxygenate
blending,
gasoline
unblended
or
blended
with
a
biofuel,
or
diesel
fuel
unblended
or
blended
with
a
biofuel
shall
not
refuse
to
sell
or
transport
to
a
distributor
or
dealer
any
conventional
blendstock
for
oxygenate
blending,
unblended
gasoline,
or
unblended
diesel
fuel
that
is
at
the
terminal,
based
on
the
distributor’s
or
dealer’s
intent
to
use
the
conventional
blendstock
for
oxygenate
blending
,
or
to
blend
the
gasoline
or
diesel
fuel
with
a
biofuel.
Sec.
97.
Section
455A.20,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
The
duties
of
the
county
resource
enhancement
committee
are
to
coordinate
the
resource
enhancement
program,
plans,
and
proposed
projects
developed
by
cities,
county
conservation
House
File
2423,
p.
31
board,
and
soil
and
water
conservation
district
commissioners
for
funding
under
this
division
subchapter
.
The
county
committee
shall
review
and
comment
upon
all
projects
before
they
are
submitted
for
funding
under
section
455A.19
.
Each
county
committee
shall
propose
a
five-year
program
plan
which
includes
a
one-year
proposed
expenditure
plan
and
submit
it
to
the
department.
Sec.
98.
Section
461.1,
Code
2014,
is
amended
to
read
as
follows:
461.1
Title.
This
Act
chapter
shall
be
known
and
may
be
cited
as
the
“Natural
Resources
and
Outdoor
Recreation
Act”
.
Sec.
99.
Section
462A.49,
Code
2014,
is
amended
to
read
as
follows:
462A.49
Prohibited
use
of
“applied
for”
card.
No
A
manufacturer
or
dealer
shall
not
permit
the
use
of
such
a
“registration
applied
for”
card
unless
an
application
for
a
registration
certificate
has
been
made.
Sec.
100.
Section
462A.77,
subsections
4
and
9,
Code
2014,
are
amended
to
read
as
follows:
4.
Every
owner
of
a
vessel
subject
to
titling
under
this
chapter
shall
apply
to
the
county
recorder
for
issuance
of
a
certificate
of
title
for
the
vessel
within
thirty
days
after
acquisition.
The
application
shall
be
on
forms
the
department
prescribes,
and
accompanied
by
the
required
fee.
The
application
shall
be
signed
and
sworn
to
before
a
notarial
officer
as
provided
in
chapter
9B
or
other
person
who
administers
oaths,
or
shall
include
a
certification
signed
in
writing
containing
substantially
the
representation
that
statements
made
are
true
and
correct
to
the
best
of
the
applicant’s
knowledge,
information,
and
belief,
under
penalty
of
perjury.
The
application
shall
contain
the
date
of
sale
and
gross
price
of
the
vessel
or
the
fair
market
value
if
no
sale
immediately
preceded
the
transfer,
and
any
additional
information
the
department
requires.
If
the
application
is
made
for
a
vessel
last
previously
registered
or
titled
in
another
state
or
foreign
country,
it
shall
contain
this
information
and
any
other
information
the
department
requires.
9.
A
person
who
owns
a
vessel
which
is
not
required
to
have
a
certificate
of
title
may
apply
for
and
receive
a
certificate
of
title
for
the
vessel
and
the
vessel
shall
subsequently
be
subject
to
the
requirements
of
this
division
subchapter
as
though
the
vessel
was
required
to
be
titled.
House
File
2423,
p.
32
Sec.
101.
Section
466.9,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
An
on-site
wastewater
systems
assistance
fund
is
established
as
a
separate
fund
in
the
state
treasury
under
the
control
of
the
department
of
natural
resources
.
Moneys
in
the
fund
are
appropriated
to
the
department
of
natural
resources
for
the
exclusive
purpose
of
supporting
and
administering
the
on-site
wastewater
systems
assistance
program
as
established
in
section
466.8
.
Sec.
102.
Section
466.9,
subsection
3,
paragraph
a,
subparagraph
(1),
Code
2014,
is
amended
to
read
as
follows:
(1)
The
financing
account
which
shall
be
used
for
the
exclusive
purpose
of
providing
financing
to
homeowners
with
for
improving
on-site
wastewater
systems
under
the
on-site
wastewater
systems
assistance
program.
Sec.
103.
Section
468.69,
Code
2014,
is
amended
to
read
as
follows:
468.69
Bonds
received
for
assessments.
Bonds
issued
for
the
cost
of
construction,
maintenance
,
or
repair
of
any
drainage
or
levee
district,
or
for
the
refunding
of
any
obligation
of
such
district
,
may
be
acquired
by
any
taxpayer
or
group
of
taxpayers
of
such
district
,
and
applied
at
their
face
value
in
the
order
of
their
priority,
if
any
priority
exists
between
bonds
of
the
same
issue,
upon
the
payment
of
the
delinquent
and/or
or
future
assessments
levied
against
the
property
of
such
taxpayers
to
pay
off
the
bonds
so
acquired
;
the
.
The
interest
coupons
attached
to
such
bonds
,
may
likewise
be
applied
at
their
face
value
to
the
payment
of
assessments
for
interest
accounts,
delinquent
or
future.
Sec.
104.
Section
490.728,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
Unless
otherwise
provided
in
the
articles
of
incorporation,
directors
are
elected
by
a
plurality
of
the
votes
cast
by
the
shares
entitled
to
vote
be
voted
in
the
election
at
a
meeting
at
which
a
quorum
is
present.
Sec.
105.
Section
490.728,
subsection
4,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
Shares
otherwise
entitled
to
vote
be
voted
cumulatively
shall
not
be
voted
cumulatively
at
a
particular
meeting
unless
any
of
the
following
applies:
Sec.
106.
Section
490.860,
subsection
6,
paragraph
b,
Code
2014,
is
amended
to
read
as
follows:
b.
If
the
transaction
is
not
brought
before
the
board
of
House
File
2423,
p.
33
directors
of
the
corporation,
or
its
committee,
for
action
under
section
490.862
,
at
the
time
at
which
the
corporation,
or
an
entity
controlled
by
the
corporation,
becomes
legally
obligated
to
consummate
the
transaction.
Sec.
107.
Section
499.66,
subsection
2,
paragraph
c,
Code
2014,
is
amended
to
read
as
follows:
c.
The
fair
value
of
a
dissenting
member’s
interest
in
the
old
association
shall
be
determined
as
of
the
day
preceding
the
merger
or
consolidation
by
taking
the
lesser
of
either
the
issue
price
of
the
dissenting
member’s
membership,
common
stock,
deferred
patronage
dividends,
and
preferred
stock,
or
the
amount
determined
by
subtracting
the
old
association’s
debts
from
the
fair
market
value
of
the
old
association’s
assets,
dividing
the
remainder
by
the
total
issue
price
of
all
memberships,
common
stock,
preferred
stock,
and
revolving
funds,
and
then
multiplying
the
quotient
from
this
division
equation
by
the
total
issue
price
of
a
dissenting
member’s
membership,
common
stock,
preferred
stock,
and
revolving
fund
interest.
Sec.
108.
Section
501.616,
subsection
3,
Code
2014,
is
amended
to
read
as
follows:
3.
The
fair
value
of
a
dissenting
member’s
interest
in
the
old
cooperative
shall
be
determined
as
of
the
day
preceding
the
merger
or
consolidation
by
taking
the
lesser
of
either
the
issue
price
of
the
dissenting
member’s
membership,
deferred
patronage,
and
any
other
interests
in
the
cooperative,
or
the
amount
determined
by
subtracting
the
old
cooperative’s
debts
from
the
fair
market
value
of
the
old
cooperative’s
assets,
dividing
the
remainder
by
the
total
issue
price
of
all
memberships,
deferred
patronage,
and
all
other
interests,
and
then
multiplying
the
quotient
from
this
division
equation
by
the
total
issue
price
of
a
dissenting
member’s
membership,
deferred
patronage,
and
other
interests.
Sec.
109.
Section
501B.7,
subsection
7,
Code
2014,
is
amended
to
read
as
follows:
7.
A
statement
of
authority
filed
by
in
the
office
of
the
county
recorder
as
provided
in
subsection
2
is
effective
until
amended
or
canceled,
unless
an
earlier
cancellation
date
is
specified
in
the
statement.
Sec.
110.
Section
502.412,
subsection
3,
Code
2014,
is
amended
to
read
as
follows:
3.
Disciplinary
penalties
——
registrants.
If
the
administrator
finds
that
the
order
is
in
the
public
interest
House
File
2423,
p.
34
and
subsection
4
,
paragraphs
“a”
through
“f”
,
“h”
,
“i”
,
“j”
,
“l”
,
or
“m”
,
authorizes
the
action,
an
order
under
this
chapter
may
censure,
impose
a
bar,
or
impose
a
civil
penalty
in
an
amount
not
to
exceed
a
maximum
of
ten
thousand
dollars
for
a
single
violation
or
one
million
dollars
for
more
than
one
violation,
or
in
an
amount
as
agreed
to
by
the
parties,
on
a
registrant,
and,
if
the
registrant
is
a
broker-dealer
or
investment
adviser,
on
a
partner,
officer,
director,
or
person
having
a
similar
status
or
performing
similar
functions,
or
on
a
person
directly
or
indirectly
in
control,
of
the
broker-dealer
or
investment
adviser.
Sec.
111.
Section
508C.3,
subsection
1,
paragraph
e,
Code
2014,
is
amended
by
striking
the
paragraph.
Sec.
112.
Section
508C.3,
subsection
1,
paragraph
f,
Code
2014,
is
amended
to
read
as
follows:
f.
Coverage
under
this
chapter
shall
be
provided
to
a
A
person
who
is
a
resident
of
this
state
and,
only
in
special
circumstances,
to
a
nonresident.
In
order
to
avoid
duplicate
coverage,
if
a
person
who
would
otherwise
receive
coverage
under
this
chapter
is
provided
coverage
under
the
laws
of
any
other
state,
that
person
shall
not
be
provided
coverage
under
this
chapter
.
In
determining
the
application
of
the
provisions
of
this
paragraph
in
situations
where
a
person
could
be
provided
coverage
by
the
association
of
more
than
one
state,
whether
as
an
owner,
payee,
beneficiary,
or
assignee,
this
chapter
shall
be
construed
in
conjunction
with
other
state
laws
to
result
in
coverage
by
the
association
of
only
one
state.
Sec.
113.
Section
508C.3,
Code
2014,
is
amended
by
adding
the
following
new
subsection:
NEW
SUBSECTION
.
2A.
Coverage
under
this
chapter
shall
not
be
provided
to
any
of
the
following:
a.
A
person
who
is
a
payee,
or
the
beneficiary
of
a
payee
if
the
payee
is
deceased,
of
a
contract
owner
who
is
a
resident
of
this
state,
if
the
payee
or
the
beneficiary
of
the
payee
is
provided
any
coverage
by
the
association
of
another
state.
b.
A
person
who
is
covered
pursuant
to
subsection
1,
paragraph
“c”
if
that
person
is
provided
any
coverage
by
the
association
of
another
state.
Sec.
114.
Section
508C.3,
subsection
3,
paragraph
o,
subparagraph
(1),
Code
2014,
is
amended
to
read
as
follows:
(1)
Dividends
of
or
experience
rating
credits.
Sec.
115.
Section
514I.8,
subsection
2,
paragraph
c,
Code
2014,
is
amended
to
read
as
follows:
House
File
2423,
p.
35
c.
Is
a
member
of
a
family
whose
income
does
not
exceed
three
hundred
percent
of
the
federal
poverty
level,
as
defined
in
42
U.S.C.
§
9902(2),
including
any
revision
required
by
such
section,
and
in
accordance
with
the
federal
Children’s
Health
Insurance
Program
Reauthorization
Act
of
2009,
Pub.
L.
No.
111-3.
The
modified
adjusted
gross
income
methodology
prescribed
in
section
2101
of
the
federal
Patient
Protection
and
Affordable
Care
Act,
Pub.
L.
No.
111-148,
shall
be
used
to
determine
family
income
under
this
paragraph.
Sec.
116.
Section
515.35,
subsection
4,
paragraphs
n
and
o,
Code
2014,
are
amended
to
read
as
follows:
n.
Other
investments.
(1)
A
company
organized
under
this
chapter
may
invest
up
to
five
percent
of
its
admitted
assets
in
securities
or
property
of
any
kind,
without
restrictions
or
limitations
except
those
imposed
on
business
corporations
in
general.
(2)
A
company
organized
under
this
chapter
may
invest
its
assets
in
any
additional
forms
not
specifically
included
in
paragraphs
“a”
through
“o”
“m”
and
this
paragraph
when
authorized
by
rules
adopted
by
the
commissioner.
o.
Rules.
The
commissioner
may
adopt
rules
pursuant
to
chapter
17A
to
carry
out
the
purposes
and
provisions
of
this
section
.
Sec.
117.
Section
515.35,
Code
2014,
is
amended
by
adding
the
following
new
subsection:
NEW
SUBSECTION
.
5.
Rules.
The
commissioner
may
adopt
rules
pursuant
to
chapter
17A
to
carry
out
the
purposes
and
provisions
of
this
section.
Sec.
118.
Section
521B.104,
subsection
2,
paragraph
b,
Code
2014,
is
amended
to
read
as
follows:
b.
Is
regulated,
supervised,
and
examined
by
United
States
federal
or
state
authorities
having
regulatory
authority
over
banks
and
trust
companies.
Sec.
119.
Section
535.2,
subsection
1,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
Except
as
provided
in
subsection
2
hereof
,
the
rate
of
interest
shall
be
five
cents
on
the
hundred
by
the
year
in
the
following
cases,
unless
the
parties
shall
agree
in
writing
for
the
payment
of
interest
at
a
rate
not
exceeding
the
rate
permitted
by
subsection
3
:
Sec.
120.
Section
543B.20,
Code
2014,
is
amended
to
read
as
follows:
543B.20
Examination.
House
File
2423,
p.
36
Examinations
for
registration
a
license
shall
be
given
as
often
as
deemed
necessary
by
the
real
estate
commission,
but
no
less
than
one
time
per
year.
Each
applicant
for
a
license
must
pass
an
examination
authorized
by
the
commission
and
administered
by
the
commission
or
persons
designated
by
the
commission.
The
examination
shall
be
of
scope
and
wording
sufficient
in
the
judgment
of
the
commission
to
establish
the
competency
of
the
applicant
to
act
as
a
real
estate
broker
or
salesperson
in
a
manner
to
protect
the
interests
of
the
public.
An
examination
for
a
real
estate
broker
shall
be
of
a
more
exacting
nature
than
that
for
a
real
estate
salesperson
and
require
higher
standards
of
knowledge
of
real
estate.
The
identity
of
the
persons
taking
the
examinations
shall
be
concealed
until
after
the
examination
has
been
graded.
A
person
who
fails
to
pass
either
examination
once
may
immediately
apply
to
take
the
next
available
examination.
Thereafter,
the
applicant
may
take
the
examination
at
the
discretion
of
the
commission.
An
applicant
who
has
failed
either
examination
may
request
in
writing
information
from
the
commission
concerning
the
applicant’s
examination
grade
and
subject
areas
or
questions
which
the
applicant
failed
to
answer
correctly,
except
that
if
the
commission
administers
a
uniform,
standardized
examination,
the
commission
is
only
required
to
provide
the
examination
grade
and
other
information
concerning
the
applicant’s
examination
results
which
is
available
to
the
commission.
Sec.
121.
Section
543B.46,
subsections
2
and
3,
Code
2014,
are
amended
to
read
as
follows:
2.
Each
broker
shall
notify
the
real
estate
commission
of
the
name
of
each
bank
or
,
savings
association
,
or
credit
union
in
which
a
trust
account
is
maintained
and
also
the
name
of
the
account
on
forms
provided
therefor.
3.
Each
broker
shall
authorize
the
real
estate
commission
to
examine
each
trust
account
and
shall
obtain
the
certification
of
the
bank
or
,
savings
association
,
or
credit
union
attesting
to
each
trust
account
and
consenting
to
the
examination
and
audit
of
each
account
by
a
duly
authorized
representative
of
the
commission.
The
certification
and
consent
shall
be
furnished
on
forms
prescribed
by
the
commission.
This
subsection
does
not
apply
to
an
individual
farm
account
maintained
in
the
name
of
the
owner
or
owners
for
the
purpose
of
conducting
ongoing
farm
business
whether
it
is
conducted
by
the
farm
owner
or
by
an
agent
or
farm
manager
when
the
account
House
File
2423,
p.
37
is
part
of
a
farm
management
agreement
between
the
owner
and
agent
or
manager.
This
subsection
also
does
not
apply
to
an
individual
property
management
account
maintained
in
the
name
of
the
owner
or
owners
for
the
purpose
of
conducting
ongoing
property
management
whether
it
is
conducted
by
the
property
owner
or
by
an
agent
or
manager
when
the
account
is
part
of
a
property
management
agreement
between
the
owner
and
agent
or
manager.
Sec.
122.
Section
554.3312,
subsection
2,
paragraph
a,
Code
2014,
is
amended
to
read
as
follows:
a.
The
claim
becomes
enforceable
at
the
later
of
(i)
the
time
the
claim
is
asserted,
or
(ii)
the
ninetieth
day
following
the
date
of
the
check,
in
the
case
of
a
cashier’s
check
or
teller’s
check,
or
the
ninetieth
day
following
the
date
of
the
acceptance,
in
the
case
of
a
certified
check.
Sec.
123.
Section
554.3504,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
Presentment
for
payment
or
acceptance
of
an
instrument
is
excused
if
the
person
entitled
to
present
the
instrument
cannot
with
reasonable
diligence
make
presentment
,
;
the
maker
or
acceptor
has
repudiated
an
obligation
to
pay
the
instrument
or
is
dead
or
in
insolvency
proceedings
,
;
by
the
terms
of
the
instrument
presentment
is
not
necessary
to
enforce
the
obligation
of
endorsers
or
the
drawer
,
;
the
drawer
or
endorser
whose
obligation
is
being
enforced
has
waived
presentment
or
otherwise
has
no
reason
to
expect
or
right
to
require
that
the
instrument
be
paid
or
accepted
,
;
or
the
drawer
instructed
the
drawee
not
to
pay
or
accept
the
draft
or
the
drawee
was
not
obligated
to
the
drawer
to
pay
the
draft.
Sec.
124.
Section
554.9502,
subsection
3,
paragraph
c,
Code
2014,
is
amended
to
read
as
follows:
c.
the
record
satisfies
the
requirements
for
a
financing
statement
in
this
section
,
but
:
(1)
the
record
need
not
indicate
that
it
is
to
be
filed
in
the
real
property
records;
and
(2)
the
record
sufficiently
provides
the
name
of
a
debtor
who
is
an
individual
if
it
provides
the
individual
name
of
the
debtor
or
the
surname
and
first
personal
name
of
the
debtor,
even
if
the
debtor
is
an
individual
to
whom
section
554.9503,
subsection
1
,
paragraph
“d”
applies;
and
Sec.
125.
Section
559.2,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
The
term
“power
to
appoint”
as
used
in
section
559.1
this
House
File
2423,
p.
38
chapter
,
shall
mean
and
include
all
powers
which
are
in
substance
and
effect
powers
of
appointment,
regardless
of
the
language
used
in
creating
them
and
whether
they
are:
Sec.
126.
Section
572.13A,
subsection
3,
paragraphs
a
and
c,
Code
2014,
are
amended
to
read
as
follows:
a.
At
the
time
a
notice
of
commencement
of
work
is
posted
on
the
mechanics’
notice
and
lien
registry
internet
site,
the
administrator
shall
assign
a
mechanics’
notice
and
lien
registry
number
and
send
a
copy
of
the
owner
notice
described
in
section
572.13
.
The
owner
notice
shall
contain
the
following
language:
Persons
or
companies
furnishing
labor
or
materials
for
the
improvement
of
real
property
may
enforce
a
lien
upon
the
improved
property
if
they
are
not
paid
for
their
contributions,
even
if
the
parties
have
no
direct
contractual
relationship
with
the
owner.
The
mechanics’
notice
and
lien
registry
internet
site
provides
a
listing
of
all
persons
or
companies
furnishing
labor
or
materials
who
have
posted
a
lien
or
who
may
post
a
lien
upon
the
improved
property.
If
the
person
or
company
has
posted
its
notice
or
lien
to
the
mechanics’
notice
and
lien
registry
internet
site
,
you
may
be
required
to
pay
the
person
or
company
even
if
you
have
paid
the
general
contractor
the
full
amount
due.
Therefore,
check
the
mechanics’
notice
and
lien
registry
internet
site
for
information
about
the
property
including
persons
or
companies
furnishing
labor
or
materials
before
paying
your
general
contractor.
In
addition,
when
making
payment
to
your
general
contractor,
it
is
important
to
obtain
lien
waivers
from
your
general
contractor
and
from
persons
or
companies
registered
as
furnishing
labor
or
materials
to
your
property.
The
information
in
the
mechanics’
notice
and
lien
registry
is
posted
on
the
internet
site
of
the
mechanics’
notice
and
lien
registry.
c.
The
notice
described
in
subsection
1
shall
be
sent
to
the
owner’s
address
as
posted
to
the
mechanics’
notice
and
lien
registry
internet
site
by
the
general
contractor,
owner-builder,
or
subcontractor.
If
the
owner’s
address
is
different
than
the
property
address,
a
copy
of
the
notice
shall
also
be
sent
to
the
property
address,
addressed
to
the
owner
if
a
mailing
address
has
been
assigned
to
the
property
by
the
United
States
postal
service.
Sec.
127.
Section
572.13B,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
At
the
time
a
preliminary
notice
is
posted
to
the
House
File
2423,
p.
39
mechanics’
notice
and
lien
registry
internet
site
,
the
administrator
shall
send
notification
to
the
owner,
including
the
owner
notice
described
in
section
572.13,
subsection
1
,
and
shall
post
the
mailing
of
the
notice
on
the
mechanics’
notice
and
lien
registry
internet
site
as
prescribed
by
the
administrator
pursuant
to
rule.
Notices
under
this
section
shall
not
be
sent
to
owner-builders.
Upon
request,
the
administrator
shall
provide
proof
of
service
at
no
cost
for
the
notice
required
under
this
section
.
Sec.
128.
Section
572.33A,
subsection
1,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
An
owner
of
a
building,
land,
or
improvement
upon
which
a
mechanic’s
lien
of
a
subcontractor
may
be
posted
,
is
not
required
to
pay
the
general
contractor
for
compensation
for
work
done
or
material
furnished
for
the
building,
land,
or
improvement
until
the
expiration
of
ninety
days
after
the
completion
of
the
building
or
improvement
unless
the
general
contractor
furnishes
to
the
owner
one
of
the
following:
Sec.
129.
Section
572.34,
subsection
6,
Code
2014,
is
amended
to
read
as
follows:
6.
The
administrator
shall
charge
and
collect
fees
as
established
by
rule
necessary
for
the
administration
and
maintenance
of
the
registry
and
the
registry’s
internet
site.
The
administrator
shall
not
charge
a
posting
fee
for
a
preliminary
notice
required
pursuant
to
this
chapter
that
exceeds
the
cost
of
sending
such
notice
by
certified
mail
with
restricted
delivery
and
return
receipt.
The
administrator
shall
not
charge
a
posting
fee
that
exceeds
forty
dollars
for
a
mechanic’s
lien
that
exceeds
forty
dollars
.
Sec.
130.
Section
589.4,
Code
2014,
is
amended
to
read
as
follows:
589.4
Acknowledgments
by
corporation
officers.
The
acknowledgments
of
all
deeds,
mortgages,
or
other
instruments
in
writing
taken
or
certified
more
than
ten
years
earlier,
which
instruments
have
been
recorded
in
the
recorder’s
office
of
any
county
of
this
state,
including
acknowledgments
of
instruments
made
by
a
corporation,
or
to
which
the
corporation
was
a
party,
or
under
which
the
corporation
was
a
beneficiary,
and
which
have
been
acknowledged
before
or
certified
by
a
notarial
officer
as
provided
in
chapter
9B
who
was
at
the
time
of
the
acknowledgment
or
certifying
a
stockholder
or
officer
in
the
corporation,
are
legal
and
valid
official
acts
of
the
notaries
public
notarial
officers
,
and
House
File
2423,
p.
40
entitle
the
instruments
to
be
recorded,
anything
in
the
laws
of
the
state
of
Iowa
in
regard
to
acknowledgments
to
the
contrary
notwithstanding.
This
section
does
not
affect
pending
litigation.
Sec.
131.
Section
589.5,
Code
2014,
is
amended
to
read
as
follows:
589.5
Acknowledgments
by
stockholders.
All
deeds
and
conveyances
of
lands
within
this
state
executed
more
than
ten
years
earlier,
but
which
have
been
acknowledged
or
proved
according
to
and
in
compliance
with
the
laws
of
this
state
before
a
notarial
officer
as
provided
in
chapter
9B
or
other
official
authorized
by
law
to
take
acknowledgments
who
was,
at
the
time
of
the
acknowledgment,
an
officer
or
stockholder
of
a
corporation
interested
in
the
deed
or
conveyance,
or
otherwise
interested
in
the
deeds
or
conveyances,
are,
if
otherwise
valid,
valid
in
law
as
though
acknowledged
or
proved
before
an
officer
not
interested
in
the
deeds
or
conveyances;
and
if
recorded
more
than
ten
years
earlier,
in
the
respective
counties
in
which
the
lands
are,
the
records
are
valid
in
law
as
though
the
deeds
and
conveyances,
so
acknowledged
or
proved
and
recorded,
had,
prior
to
being
recorded,
been
acknowledged
or
proved
before
an
a
notarial
officer
having
no
interest
in
the
deeds
or
conveyances.
Sec.
132.
Section
602.8103A,
subsection
3,
Code
2014,
is
amended
to
read
as
follows:
3.
If
a
request
is
made
pursuant
to
subsection
1
,
within
seven
days
of
the
filing
of
the
final
briefs
in
the
appeal,
the
clerk
of
the
district
court
shall
transmit
any
of
the
remaining
record
to
the
clerk
of
the
supreme
court
within
seven
days
of
the
filing
of
the
final
briefs
in
the
appeal
.
Sec.
133.
Section
602.11105,
subsection
1,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
Commencing
one
year
prior
to
each
category
of
employees
becoming
state
employees
as
a
result
of
this
Act
1983
Acts,
ch.
186
,
new
employees
shall
not
be
hired
and
vacancies
shall
not
be
filled,
except
as
provided
in
subsection
2
,
with
respect
to
any
of
the
following
agencies
or
positions:
Sec.
134.
Section
602.11106,
Code
2014,
is
amended
to
read
as
follows:
602.11106
Employee
reclassification
moratorium.
Commencing
one
year
prior
to
county
employees
becoming
state
employees
as
a
result
of
this
Act
1983
Acts,
ch.
186
,
the
county
employees
shall
not
be
promoted
or
demoted,
and
shall
House
File
2423,
p.
41
not
be
subject
to
a
reduction
in
salary
or
a
reduction
in
other
employee
benefits,
except
after
approval
by
the
chief
judge
of
the
judicial
district.
An
employer
wishing
to
take
any
of
these
actions
shall
apply
to
the
chief
judge
in
a
writing
that
discloses
the
proposed
action,
the
reasons
for
the
action,
and
the
statutory
or
other
authority
for
the
action.
The
chief
judge
shall
not
approve
any
proposed
action
that
is
in
violation
of
an
employee’s
rights
or
that
is
extraordinary
when
compared
with
customary
practices
and
procedures
of
the
employer.
The
chief
judge
shall
obtain
the
advice
of
the
district
judges
of
the
judicial
district
respecting
decisions
to
be
made
under
this
section
.
Sec.
135.
Section
602.11107,
subsections
1
and
5,
Code
2014,
are
amended
to
read
as
follows:
1.
Commencing
on
the
date
when
each
category
of
employees
becomes
state
employees
as
a
result
of
this
Act
1983
Acts,
ch.
186
,
public
property
referred
to
in
subsection
2
that
on
the
day
prior
to
that
date
is
in
the
custody
of
a
person
or
agency
referred
to
in
subsection
3
shall
not
become
property
of
the
judicial
branch
but
shall
be
devoted
for
the
use
of
the
judicial
branch
in
its
course
of
business.
The
judicial
branch
shall
only
be
responsible
for
maintenance
contracts
or
contracts
for
purchase
entered
into
by
the
judicial
branch.
Upon
replacement
of
the
property
by
the
judicial
branch,
the
property
shall
revert
to
the
use
of
the
appropriate
county.
However,
if
the
property
is
personal
property
of
a
historical
nature,
the
property
shall
not
become
property
of
the
judicial
branch,
and
the
county
shall
make
the
property
available
to
the
judicial
branch
for
the
judicial
branch’s
use
within
the
county
courthouse
until
the
court
no
longer
wishes
to
use
the
property,
at
which
time
the
property
shall
revert
to
the
use
of
the
appropriate
county.
5.
Personal
property
of
a
type
that
is
subject
to
subsections
1
through
3
shall
be
subject
to
the
control
of
the
chief
judge
of
the
judicial
district
commencing
on
the
date
when
each
category
of
employees
becomes
state
employees
as
a
result
of
this
Act
1983
Acts,
ch.
186
.
On
and
after
that
date
the
chief
judge
of
the
judicial
district
may
issue
necessary
orders
to
preserve
the
use
of
the
property
by
the
district
court.
Commencing
on
that
date,
the
chief
judge,
subject
to
the
direction
of
the
supreme
court,
shall
establish
and
maintain
an
inventory
of
property
used
by
the
district
court.
Sec.
136.
Section
631.8,
subsections
4,
5,
and
6,
Code
2014,
House
File
2423,
p.
42
are
amended
to
read
as
follows:
4.
In
small
claims
actions,
a
counterclaim,
cross
claim,
or
intervention
in
a
greater
amount
than
that
of
a
small
claim
shall
be
in
the
form
of
a
regular
pleading.
A
copy
shall
be
filed
for
each
existing
party.
New
parties,
when
permitted
by
order,
may
be
brought
in
under
rule
of
civil
procedure
1.246
and
shall
be
given
notice
under
the
rules
of
civil
procedure
pertaining
to
commencement
of
actions.
The
court
shall
either
order
such
counterclaim,
cross
claim,
or
intervention
to
be
tried
by
regular
procedure
and
the
other
claim
to
be
heard
under
this
division
chapter
,
or
order
the
entire
action
to
be
tried
by
regular
procedure.
5.
In
regular
action,
when
a
party
joins
a
small
claim
with
one
which
is
not
a
small
claim,
regular
procedure
shall
apply
to
both
unless
the
court
transfers
the
small
claim
to
the
small
claims
docket
for
hearing
under
this
division
chapter
.
6.
In
regular
actions,
a
counterclaim,
cross
claim,
or
intervention
in
the
amount
of
a
small
claim
shall
be
pleaded,
tried,
and
determined
by
regular
procedure,
unless
the
court
transfers
the
small
claim
to
the
small
claims
docket
for
hearing
under
this
division
chapter
.
Sec.
137.
Section
633.304,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
On
admission
of
a
will
to
probate,
the
executor,
as
soon
as
letters
are
issued,
shall
cause
notice
to
be
published
once
each
week
for
two
consecutive
weeks
in
a
daily
or
weekly
newspaper
of
general
circulation
published
in
the
county
in
which
the
estate
is
pending
and
at
any
time
during
the
pendency
of
administration
that
the
executor
has
knowledge
of
the
name
and
address
of
a
person
believed
to
own
or
possess
a
claim
which
will
not
or
may
not
be
paid
or
otherwise
satisfied
during
administration,
provide
notice
by
ordinary
mail
to
each
such
claimant
at
the
claimant’s
last
known
address,
and
as
soon
as
practicable
give
notice,
except
to
any
executor,
by
ordinary
mail
to
the
surviving
spouse,
each
heir
of
the
decedent
,
and
each
devisee
under
the
will
admitted
to
probate
whose
identities
are
reasonably
ascertainable,
at
such
persons’
last
known
addresses,
a
that
gives
notice
of
admission
of
the
will
to
probate
and
of
the
appointment
of
the
executor
,
in
which
.
In
the
notice
shall
be
included
a
notice
that
any
action
to
set
aside
the
probate
of
the
will
must
be
brought
within
the
later
to
occur
of
four
months
from
the
date
of
the
second
publication
of
the
notice
or
one
month
from
the
date
of
mailing
of
this
House
File
2423,
p.
43
notice
or
thereafter
be
forever
barred,
and
in
which
shall
be
included
a
notice
to
debtors
to
make
payment,
and
a
notice
to
creditors
having
claims
against
the
estate
to
file
them
with
the
clerk
within
four
months
from
the
second
publication
of
the
notice,
or
thereafter
be
forever
barred.
Sec.
138.
Section
656.3,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
The
notice
provided
for
in
section
656.2
may
be
served
on
a
judgment
creditor
of
a
deceased
vendor
vendee
or
on
any
other
person
who
is,
as
a
matter
of
record,
interested
in
the
estate
of
a
deceased
vendor
vendee
in
the
manner
provided
in
section
654.4A,
subsections
4
and
5
.
Sec.
139.
Section
692A.101,
subsection
1,
paragraph
b,
Code
2014,
is
amended
to
read
as
follows:
b.
Any
conviction
for
an
offense
specified
in
the
laws
of
another
jurisdiction
or
any
conviction
for
an
offense
prosecuted
in
federal,
military,
or
foreign
court
,
that
is
comparable
to
an
offense
listed
in
paragraph
“a”
shall
be
considered
an
aggravated
offense
for
purposes
of
registering
under
this
chapter
.
Sec.
140.
Section
692A.101,
subsection
2,
paragraph
b,
Code
2014,
is
amended
to
read
as
follows:
b.
Any
offense
specified
in
the
laws
of
another
jurisdiction
or
prosecuted
in
a
federal,
military,
or
foreign
court
,
that
is
comparable
to
an
offense
listed
in
paragraph
“a”
shall
be
considered
an
aggravated
offense
against
a
minor
if
such
an
offense
was
committed
against
a
minor
or
otherwise
involves
a
minor.
Sec.
141.
Section
692A.102,
subsection
1,
paragraph
a,
subparagraph
(18),
Code
2014,
is
amended
to
read
as
follows:
(18)
Any
sex
offense
specified
in
the
laws
of
another
jurisdiction
,
or
any
sex
offense
that
may
be
prosecuted
in
federal,
military,
or
foreign
court,
that
is
comparable
to
an
offense
listed
in
subparagraphs
(1)
through
(17).
Sec.
142.
Section
692A.102,
subsection
1,
paragraph
b,
subparagraph
(28),
Code
2014,
is
amended
to
read
as
follows:
(28)
Any
sex
offense
specified
in
the
laws
of
another
jurisdiction
,
or
any
sex
offense
that
may
be
prosecuted
in
a
federal,
military,
or
foreign
court,
that
is
comparable
to
an
offense
listed
in
subparagraphs
(1)
through
(27).
Sec.
143.
Section
692A.102,
subsection
1,
paragraph
c,
subparagraph
(41),
Code
2014,
is
amended
to
read
as
follows:
(41)
Any
sex
offense
specified
in
the
laws
of
another
House
File
2423,
p.
44
jurisdiction
,
or
any
sex
offense
that
may
be
prosecuted
in
federal,
military,
or
foreign
court,
that
is
comparable
to
an
offense
listed
in
subparagraphs
(1)
through
(40).
Sec.
144.
Section
702.17,
Code
2014,
is
amended
to
read
as
follows:
702.17
Sex
act.
The
term
“sex
act”
or
“sexual
activity”
means
any
sexual
contact
between
two
or
more
persons
by
any
of
the
following
:
penetration
1.
Penetration
of
the
penis
into
the
vagina
or
anus
;
contact
.
2.
Contact
between
the
mouth
and
genitalia
or
by
contact
between
the
genitalia
of
one
person
and
the
genitalia
or
anus
of
another
person
;
contact
.
3.
Contact
between
the
finger
or
hand
of
one
person
and
the
genitalia
or
anus
of
another
person,
except
in
the
course
of
examination
or
treatment
by
a
person
licensed
pursuant
to
chapter
148
,
148C
,
151
,
or
152
;
ejaculation
.
4.
Ejaculation
onto
the
person
of
another
;
or
by
.
5.
By
use
of
artificial
sexual
organs
or
substitutes
therefor
in
contact
with
the
genitalia
or
anus.
Sec.
145.
Section
715A.1,
Code
2014,
is
amended
to
read
as
follows:
715A.1
Definitions.
As
used
in
this
chapter:
1.
“Credit
card”
means
a
writing
purporting
to
evidence
an
undertaking
to
pay
for
property
or
services
delivered
or
rendered
to
or
upon
the
order
of
a
designated
person
or
bearer
and
includes
a
debit
card
or
access
device
used
to
engage
in
an
electronic
transfer
of
funds
through
a
satellite
terminal
as
defined
in
section
527.2,
subsection
20.
1.
2.
As
used
in
this
chapter
the
term
“writing”
“Writing”
includes
printing
or
any
other
method
of
recording
information,
and
includes
money,
coins,
tokens,
stamps,
seals,
credit
cards,
badges,
trademarks,
and
other
symbols
of
value,
right,
privilege,
or
identification.
2.
As
used
in
this
chapter
the
term
“credit
card”
means
a
writing
purporting
to
evidence
an
undertaking
to
pay
for
property
or
services
delivered
or
rendered
to
or
upon
the
order
of
a
designated
person
or
bearer
and
includes
a
debit
card
or
access
device
used
to
engage
in
an
electronic
transfer
of
funds
through
a
satellite
terminal
as
defined
in
section
527.2,
subsection
20
.
House
File
2423,
p.
45
Sec.
146.
Section
715A.6,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
a.
An
offense
under
this
section
is
a
class
“C”
felony
if
the
value
of
the
property
or
services
secured
or
sought
to
be
secured
by
means
of
the
credit
card
is
greater
than
ten
thousand
dollars.
b.
If
the
value
of
the
property
or
services
secured
or
sought
to
be
secured
by
means
of
the
credit
card
is
greater
than
one
thousand
dollars
but
not
more
than
ten
thousand
dollars,
an
offense
under
this
section
is
a
class
“D”
felony
,
otherwise
the
.
c.
If
the
value
of
the
property
or
services
secured
or
sought
to
be
secured
by
means
of
the
credit
card
is
one
thousand
dollars
or
less,
an
offense
under
this
section
is
an
aggravated
misdemeanor.
Sec.
147.
Section
717B.3,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
A
person
who
impounds
or
confines,
in
any
place,
an
animal
is
guilty
of
animal
neglect
,
if
the
person
does
any
of
the
following:
fails
a.
Fails
to
supply
the
animal
during
confinement
with
a
sufficient
quantity
of
food
or
water
;
fails
.
b.
Fails
to
provide
a
confined
dog
or
cat
with
adequate
shelter
;
or
tortures
.
c.
Tortures
,
deprives
of
necessary
sustenance,
mutilates,
beats,
or
kills
an
animal
by
any
means
which
causes
unjustified
pain,
distress,
or
suffering.
Sec.
148.
Section
724.1,
Code
2014,
is
amended
to
read
as
follows:
724.1
Offensive
weapons.
1.
An
offensive
weapon
is
any
device
or
instrumentality
of
the
following
types:
1.
a.
A
machine
gun.
A
machine
gun
is
a
firearm
which
shoots
or
is
designed
to
shoot
more
than
one
shot,
without
manual
reloading,
by
a
single
function
of
the
trigger.
2.
b.
A
short-barreled
rifle
or
short-barreled
shotgun.
A
short-barreled
rifle
or
short-barreled
shotgun
is
a
rifle
with
a
barrel
or
barrels
less
than
sixteen
inches
in
length
or
a
shotgun
with
a
barrel
or
barrels
less
than
eighteen
inches
in
length,
as
measured
from
the
face
of
the
closed
bolt
or
standing
breech
to
the
muzzle,
or
any
rifle
or
shotgun
with
an
overall
length
less
than
twenty-six
inches.
3.
c.
Any
weapon
other
than
a
shotgun
or
muzzle
loading
House
File
2423,
p.
46
rifle,
cannon,
pistol,
revolver
or
musket,
which
fires
or
can
be
made
to
fire
a
projectile
by
the
explosion
of
a
propellant
charge,
which
has
a
barrel
or
tube
with
the
bore
of
more
than
six-tenths
of
an
inch
in
diameter,
or
the
ammunition
or
projectile
therefor,
but
not
including
antique
weapons
kept
for
display
or
lawful
shooting.
4.
d.
A
bomb,
grenade,
or
mine,
whether
explosive,
incendiary,
or
poison
gas;
any
rocket
having
a
propellant
charge
of
more
than
four
ounces;
any
missile
having
an
explosive
charge
of
more
than
one-quarter
ounce;
or
any
device
similar
to
any
of
these.
5.
e.
A
ballistic
knife.
A
ballistic
knife
is
a
knife
with
a
detachable
blade
which
is
propelled
by
a
spring-operated
mechanism,
elastic
material,
or
compressed
gas.
6.
f.
Any
part
or
combination
of
parts
either
designed
or
intended
to
be
used
to
convert
any
device
into
an
offensive
weapon
as
described
in
subsections
1
to
5
of
this
section
paragraphs
“a”
through
“e”
,
or
to
assemble
into
such
an
offensive
weapon,
except
magazines
or
other
parts,
ammunition,
or
ammunition
components
used
in
common
with
lawful
sporting
firearms
or
parts
including
but
not
limited
to
barrels
suitable
for
refitting
to
sporting
firearms.
7.
g.
Any
bullet
or
projectile
containing
any
explosive
mixture
or
chemical
compound
capable
of
exploding
or
detonating
prior
to
or
upon
impact,
or
any
shotshell
or
cartridge
containing
exothermic
pyrophoric
misch
metal
as
a
projectile
which
is
designed
to
throw
or
project
a
flame
or
fireball
to
simulate
a
flamethrower.
8.
h.
Any
mechanical
device
specifically
constructed
and
designed
so
that
when
attached
to
a
firearm
silences,
muffles,
or
suppresses
the
sound
when
fired.
However,
this
subsection
paragraph
does
not
apply
to
a
mechanical
device
possessed
and
used
by
a
person
solely
for
the
purpose
of
shooting
a
deer
pursuant
to
an
approved
city
special
deer
population
control
plan
if
the
person
has
a
valid
federal
permit
to
possess
and
use
the
mechanical
device.
9.
2.
An
offensive
weapon
or
part
or
combination
of
parts
therefor
shall
not
include
the
following:
a.
An
antique
firearm.
An
antique
firearm
is
any
firearm
,
(
including
any
firearm
with
a
matchlock,
flintlock,
percussion
cap,
or
similar
type
of
ignition
system
)
,
manufactured
in
or
before
1898
or
any
firearm
which
is
a
replica
of
such
a
firearm
if
such
replica
is
not
designed
or
redesigned
for
using
House
File
2423,
p.
47
conventional
rimfire
or
centerfire
ammunition
or
which
uses
only
rimfire
or
centerfire
fixed
ammunition
which
is
no
longer
manufactured
in
the
United
States
and
which
is
not
readily
available
in
the
ordinary
channels
of
commercial
trade.
b.
A
collector’s
item.
A
collector’s
item
is
any
firearm
other
than
a
machine
gun
that
by
reason
of
its
date
of
manufacture,
value,
design,
and
other
characteristics
is
not
likely
to
be
used
as
a
weapon.
The
commissioner
of
public
safety
shall
designate
by
rule
firearms
which
the
commissioner
determines
to
be
collector’s
items
and
shall
revise
or
update
the
list
of
firearms
at
least
annually.
c.
Any
device
which
is
not
designed
or
redesigned
for
use
as
a
weapon;
any
device
which
is
designed
solely
for
use
as
a
signaling,
pyrotechnic,
line-throwing,
safety,
or
similar
device;
or
any
firearm
which
is
unserviceable
by
reason
of
being
unable
to
discharge
a
shot
by
means
of
an
explosive
and
is
incapable
of
being
readily
restored
to
a
firing
condition.
Sec.
149.
Section
809A.16,
subsection
4,
Code
2014,
is
amended
to
read
as
follows:
4.
After
final
disposition
of
all
claims
and
answers
timely
filed
in
an
action
in
rem,
or
after
final
judgment
and
disposition
of
all
claims
timely
filed
in
an
action
in
personam,
the
court
shall
enter
an
order
that
the
state
has
clear
title
to
the
forfeited
property
interest.
Title
to
the
forfeited
property
interest
and
its
proceeds
shall
be
deemed
to
have
vested
in
the
state
on
the
commission
of
the
conduct
giving
rise
to
the
forfeiture
under
this
chapter
.
Sec.
150.
Section
904.905,
subsection
1,
paragraph
a,
Code
2014,
is
amended
to
read
as
follows:
a.
An
amount
the
inmate
may
be
legally
obligated
to
pay
for
the
support
of
the
inmate’s
dependents,
the
amount
of
which
shall
be
paid
to
the
dependents
through
the
department
of
human
services
located
in
office
or
unit
serving
the
county
or
city
in
which
the
dependents
reside.
Sec.
151.
Section
905.12,
subsection
1,
paragraph
a,
Code
2014,
is
amended
to
read
as
follows:
a.
An
amount
the
resident
may
be
legally
obligated
to
pay
for
the
support
of
dependents,
which
shall
be
paid
to
the
dependents
directly
or
through
the
department
of
human
services
in
office
or
unit
serving
the
county
in
which
the
dependents
reside.
For
the
purpose
of
this
paragraph,
“legally
obligated”
means
under
a
court
order.
Sec.
152.
REPEAL.
Sections
225C.7,
225C.12,
225C.18,
and
House
File
2423,
p.
48
260G.7,
Code
2014,
are
repealed.
Sec.
153.
2013
Iowa
Acts,
chapter
24,
section
13,
is
amended
to
read
as
follows:
SEC.
13.
NEW
SECTION
.
249A.49
Internet
site
——
providers
found
in
violation
of
medical
assistance
program.
1.
The
director
shall
maintain
on
the
department’s
internet
site,
in
a
manner
readily
accessible
by
the
public,
all
of
the
following:
a.
A
list
of
all
providers
that
the
department
has
terminated,
suspended,
or
placed
on
probation.
b.
A
list
of
all
providers
that
have
failed
to
return
an
identified
overpayment
of
medical
assistance
within
the
time
frame
specified
in
section
249A.41
249A.39
.
c.
A
list
of
all
providers
found
liable
for
a
false
claims
law
violation
related
to
the
medical
assistance
program
under
chapter
685
.
2.
The
director
shall
take
all
appropriate
measures
to
safeguard
the
protected
health
information,
social
security
numbers,
and
other
information
of
the
individuals
involved,
which
may
be
redacted
or
omitted
as
provided
in
rule
of
civil
procedure
1.422.
A
provider
shall
not
be
included
on
the
internet
site
until
all
administrative
and
judicial
remedies
relating
to
the
violation
have
been
exhausted.
Sec.
154.
Section
456A.38,
subsection
4,
as
enacted
by
2013
Iowa
Acts,
chapter
64,
section
1,
is
amended
to
read
as
follows:
4.
The
department
shall
execute
a
lease
with
a
beginning
farmer
selected
to
participate
in
the
program
after
such
person
has
been
certified
by
the
agricultural
development
authority
as
a
beginning
farmer
who
meets
the
requirements
of
the
authority,
which
shall
be
based
on
section
175.12,
subsection
3
,
paragraphs
“a”
,
“c”
,
“f”
,
and
“g”
.
Sec.
155.
2013
Iowa
Acts,
chapter
125,
section
25,
subsection
1,
is
amended
to
read
as
follows:
1.
The
sections
of
this
Act
amending
sections
section
2.48
,
section
175.8
,
subsection
2,
and
sections
175.37
,
422.11M
,
and
422.33
,
are
repealed.
The
Code
editor
shall
revise
the
applicable
Code
language
to
that
language
existing
in
the
2013
Code
of
Iowa.
Sec.
156.
2013
Iowa
Acts,
chapter
130,
section
22,
is
amended
by
striking
that
section
and
inserting
in
lieu
thereof
the
following:
SEC.
22.
Section
222.61,
Code
2014,
is
amended
to
read
as
House
File
2423,
p.
49
follows:
222.61
Residency
determined.
When
a
county
receives
an
application
on
behalf
of
any
person
for
admission
to
a
resource
center
or
a
special
unit
or
when
a
court
issues
an
order
committing
any
person
to
a
resource
center
or
a
special
unit
,
the
board
of
supervisors
shall
refer
the
determination
of
residency
to
the
central
point
of
coordination
process
to
determine
and
certify
that
the
residence
of
the
person
is
in
one
of
the
following:
1.
In
the
county
in
which
the
application
is
received
or
in
which
the
court
is
located
.
2.
In
some
other
county
of
the
state.
3.
In
another
state
or
in
a
foreign
country.
4.
Unknown.
Sec.
157.
2013
Iowa
Acts,
chapter
130,
section
23,
is
amended
to
read
as
follows:
SEC.
23.
Section
222.64,
Code
2013,
is
amended
to
read
as
follows:
222.64
Foreign
state
or
country
or
unknown
legal
settlement.
If
the
legal
settlement
of
the
person
is
determined
by
the
board
of
supervisors
through
the
central
point
of
coordination
process
to
be
in
a
foreign
state
or
country
or
is
determined
to
be
unknown,
the
board
of
supervisors
shall
certify
the
determination
to
the
administrator.
The
certification
shall
be
accompanied
by
a
copy
of
the
evidence
supporting
the
determination.
The
care
of
the
person
shall
be
as
arranged
by
the
board
of
supervisors
or
by
an
order
as
the
court
may
enter
.
Application
for
admission
may
be
made
pending
investigation
by
the
administrator.
DIVISION
II
CORRESPONDING
REFERENCE
CORRECTIONS
Sec.
158.
Section
135.180,
subsection
3,
Code
2014,
is
amended
to
read
as
follows:
3.
The
program
shall
provide
stipends
to
support
psychiatrist
positions
with
an
emphasis
on
securing
and
retaining
medical
directors
at
community
mental
health
centers,
providers
of
mental
health
services
to
county
residents
pursuant
to
a
waiver
approved
under
section
225C.7,
subsection
3
,
Code
2011,
and
hospital
psychiatric
units
that
are
located
in
mental
health
professional
shortage
areas.
Sec.
159.
Section
161A.51,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
In
the
application
the
commissioners
shall
state
that
House
File
2423,
p.
50
entry
on
the
premises
is
mandated
by
the
laws
of
this
state
or
that
entry
is
needed
to
conduct
soil
sampling
necessary
to
classify
soil
in
the
district
as
specified
in
section
161A.44,
subsection
1
,
paragraph
“a”
,
or
to
determine
whether
soil
erosion
is
occurring
on
the
property
in
violation
of
the
district’s
regulations.
The
application
shall
describe
the
area
or
premises,
give
the
date
of
the
last
known
investigation
or
sampling,
give
the
date
and
time
of
the
proposed
inspection,
declare
the
need
for
such
inspection,
recite
that
notice
of
desire
to
make
an
inspection
has
been
given
to
affected
persons
and
that
admission
was
refused
if
that
be
the
fact,
and
state
that
the
inspection
has
no
purpose
other
than
to
carry
out
the
purpose
of
the
statute,
ordinance
or
regulation
pursuant
to
which
the
inspection
is
to
be
made.
Sec.
160.
Section
422.15,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
Every
partnership,
including
limited
partnerships,
doing
business
in
this
state,
or
deriving
income
from
sources
within
this
state
as
defined
in
section
422.33
422.32
,
subsection
1
,
paragraph
“0g”
,
shall
make
a
return,
stating
specifically
the
net
income
and
capital
gains
(
or
losses
)
reported
on
the
federal
partnership
return,
the
names
and
addresses
of
the
partners,
and
their
respective
shares
in
said
amounts.
DIVISION
III
UPDATES
TO
FEDERAL
CITATIONS
Sec.
161.
Section
11.2,
subsection
3,
paragraph
d,
Code
2014,
is
amended
to
read
as
follows:
d.
The
review
of
the
most
recent
annual
report
to
shareholders
of
an
open-end
management
investment
company
or
an
unincorporated
investment
company
or
investment
trust
registered
with
the
federal
securities
and
exchange
commission
under
the
federal
Investment
Company
Act
of
1940,
15
U.S.C.
§
80a
§80a-1
et
seq.
,
pursuant
to
17
C.F.R.
§
270.30d-1
or
the
review,
by
the
person
performing
the
audit,
of
the
most
recent
annual
report
to
shareholders,
call
reports,
or
the
findings
pursuant
to
a
regular
examination
under
state
or
federal
law,
to
the
extent
the
findings
are
not
confidential,
of
a
bank,
savings
and
loan
association,
or
credit
union
shall
satisfy
the
review
requirements
of
this
subsection
.
Sec.
162.
Section
11.6,
subsection
1,
paragraph
c,
subparagraph
(3),
Code
2014,
is
amended
to
read
as
follows:
(3)
The
review
by
the
auditor
of
the
most
recent
annual
report
to
shareholders
of
an
open-end
management
investment
House
File
2423,
p.
51
company
or
an
unincorporated
investment
company
or
investment
trust
registered
with
the
federal
securities
and
exchange
commission
under
the
federal
Investment
Company
Act
of
1940,
15
U.S.C.
§
80a
§80a-1
et
seq.
,
pursuant
to
17
C.F.R.
§
270.30d-1
or
the
review,
by
the
auditor,
of
the
most
recent
annual
report
to
shareholders,
call
reports,
or
the
findings
pursuant
to
a
regular
examination
under
state
or
federal
law,
to
the
extent
the
findings
are
not
confidential,
of
a
bank,
savings
and
loan
association,
or
credit
union
shall
satisfy
the
review
requirements
of
this
paragraph.
Sec.
163.
Section
12B.10,
subsection
4,
paragraph
a,
subparagraph
(7),
Code
2014,
is
amended
to
read
as
follows:
(7)
An
open-end
management
investment
company
organized
in
trust
form
registered
with
the
federal
securities
and
exchange
commission
under
the
federal
Investment
Company
Act
of
1940,
15
U.S.C.
§
80a
§80a-1
et
seq.
,
and
operated
in
accordance
with
17
C.F.R.
§
270.2a-7.
Sec.
164.
Section
12C.16,
subsection
1,
paragraph
b,
subparagraph
(1),
subparagraph
division
(f),
Code
2014,
is
amended
to
read
as
follows:
(f)
Investments
in
an
open-end
management
investment
company
registered
with
the
federal
securities
and
exchange
commission
under
the
federal
Investment
Company
Act
of
1940,
15
U.S.C.
§
80a
§80a-1
et
seq.
,
which
is
operated
in
accordance
with
17
C.F.R.
§
270.2a-7.
Sec.
165.
Section
12C.16,
subsection
1,
paragraph
b,
subparagraph
(2),
Code
2014,
is
amended
to
read
as
follows:
(2)
Direct
obligations
of,
or
obligations
that
are
insured
or
fully
guaranteed
as
to
principal
and
interest
by,
the
United
States
of
America,
which
may
be
used
to
secure
the
deposit
of
public
funds
under
subparagraph
(1),
subparagraph
division
(a),
include
investments
in
an
investment
company
or
investment
trust
registered
under
the
federal
Investment
Company
Act
of
1940,
15
U.S.C.
§
80a
§80a-1
et
seq.
,
the
portfolio
of
which
is
limited
to
the
United
States
government
obligations
described
in
subparagraph
(1),
subparagraph
division
(a),
and
to
repurchase
agreements
fully
collateralized
by
the
United
States
government
obligations
described
in
subparagraph
(1),
subparagraph
division
(a),
if
the
investment
company
or
investment
trust
takes
delivery
of
the
collateral
either
directly
or
through
an
authorized
custodian.
Sec.
166.
Section
29A.23,
Code
2014,
is
amended
to
read
as
follows:
House
File
2423,
p.
52
29A.23
Roll
of
retired
officers
and
enlisted
personnel.
An
officer
or
enlisted
person
who
is
a
member
of
the
Iowa
national
guard
who
has
completed
twenty
years
of
military
service
under
10
U.S.C.
§
1331(d)
§12731
,
as
evidenced
by
a
letter
of
notification
of
retired
pay
at
age
sixty,
shall
upon
retirement
from
the
Iowa
national
guard
and
written
request
to
the
adjutant
general
be
placed
by
order
of
the
commander
in
chief
on
a
roll
in
the
office
of
the
adjutant
general
to
be
known
as
the
“roll
of
retired
national
guard
military
personnel”.
A
member
registered
on
the
roll
is
entitled
to
wear
the
uniform
of
the
rank
last
held
on
state
or
other
occasions
of
ceremony,
when
the
wearing
of
such
uniform
is
not
in
conflict
with
federal
law.
Sec.
167.
Section
125.10,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
Prepare
and
submit
a
state
plan
subject
to
approval
by
the
board
and
in
accordance
with
the
provisions
of
42
U.S.C.
§
4573
§300x-21
et
seq
.
The
state
plan
shall
designate
the
department
as
the
sole
agency
for
supervising
the
administration
of
the
plan.
Sec.
168.
Section
125.93,
Code
2014,
is
amended
to
read
as
follows:
125.93
Commitment
records
——
confidentiality.
Records
of
the
identity,
diagnosis,
prognosis,
or
treatment
of
a
person
which
are
maintained
in
connection
with
the
provision
of
substance
abuse
treatment
services
are
confidential,
consistent
with
the
requirements
of
section
125.37
,
and
with
the
federal
confidentiality
regulations
authorized
by
the
federal
Drug
Abuse
Office
and
Treatment
Act,
21
U.S.C.
§
1175
(1976)
42
U.S.C.
§290ee
and
the
federal
Comprehensive
Alcohol
Abuse
and
Alcoholism
Prevention,
Treatment
and
Rehabilitation
Act,
42
U.S.C.
§
4582
(1976)
§290dd-2
.
Sec.
169.
Section
198.7,
subsection
1,
paragraph
f,
Code
2014,
is
amended
to
read
as
follows:
f.
If
it
is,
or
it
bears
or
contains
a
new
animal
drug
which
is
unsafe
within
the
meaning
of
the
federal
Food,
Drug,
and
Cosmetic
Act,
21
U.S.C.
§
512
§801
et
seq
.
Sec.
170.
Section
225C.3,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
The
division
is
designated
the
state
developmental
disabilities
agency
for
the
purpose
of
directing
the
benefits
of
the
federal
Developmental
Disabilities
Services
and
House
File
2423,
p.
53
Facilities
Construction
Assistance
and
Bill
of
Rights
Act,
42
U.S.C.
§
6001
§15001
et
seq.
Sec.
171.
Section
225C.35,
subsection
3,
Code
2014,
is
amended
to
read
as
follows:
3.
“Family
member”
means
a
person
less
than
eighteen
years
of
age
who
by
educational
determination
has
a
moderate,
severe,
or
profound
educational
disability
or
special
health
care
needs
or
who
otherwise
meets
the
definition
of
developmental
disability
in
the
federal
Developmental
Disabilities
Assistance
and
Bill
of
Rights
Act,
section
102(5),
as
codified
in
42
U.S.C.
§
6001(5)
§15002
.
The
department
shall
adopt
rules
establishing
procedures
for
determining
whether
a
child
has
a
developmental
disability.
Sec.
172.
Section
225C.47,
subsection
1,
paragraph
b,
Code
2014,
is
amended
to
read
as
follows:
b.
“Individual
with
a
disability”
means
an
individual
who
is
less
than
twenty-two
years
of
age
and
meets
the
definition
of
developmental
disability
in
42
U.S.C.
§
6001
§15002
.
Sec.
173.
Section
229.22,
subsection
5,
Code
2014,
is
amended
to
read
as
follows:
5.
The
department
of
public
safety
shall
prescribe
the
form
to
be
used
when
a
law
enforcement
agency
desires
notification
under
this
section
from
a
facility
or
hospital
prior
to
discharge
of
a
person
admitted
to
the
facility
or
hospital
and
for
whom
an
arrest
warrant
has
been
issued
or
against
whom
charges
are
pending.
The
form
shall
be
consistent
with
all
laws,
regulations,
and
rules
relating
to
the
confidentiality
or
privacy
of
personal
information
or
medical
records,
including
but
not
limited
to
the
federal
Health
Insurance
Portability
and
Accountability
Act
of
1996,
Pub.
L.
No.
104-191,
and
regulations
promulgated
in
accordance
with
that
Act
and
published
in
45
C.F.R.
pts.
160-64
160-164
.
Sec.
174.
Section
249A.3,
subsection
12,
Code
2014,
is
amended
to
read
as
follows:
12.
In
determining
the
eligibility
of
an
individual
for
medical
assistance,
the
department
shall
consider
income
or
assets
relating
to
trusts
or
similar
legal
instruments
or
devices
established
on
or
before
August
10,
1993,
as
available
to
the
individual,
in
accordance
with
the
federal
Comprehensive
Omnibus
Budget
Reconciliation
Act
of
1986
1985
,
Pub.
L.
No.
99-272,
§
9506(a),
as
amended
by
the
federal
Omnibus
Budget
Reconciliation
Act
of
1986,
Pub.
L.
No.
99-509,
§
9435(c).
Sec.
175.
Section
249F.1,
subsection
2,
paragraph
b,
House
File
2423,
p.
54
subparagraphs
(7)
and
(8),
Code
2014,
are
amended
to
read
as
follows:
(7)
Transfers
to
a
trust
established
solely
for
the
benefit
of
the
transferor’s
child
who
is
blind
or
permanently
and
totally
disabled
as
defined
in
the
federal
Social
Security
Act,
section
1614,
as
codified
in
42
U.S.C.
§
1382b
§1382c
.
(8)
Transfers
to
a
trust
established
solely
for
the
benefit
of
an
individual
under
sixty-five
years
of
age
who
is
disabled,
as
defined
in
the
federal
Social
Security
Act,
section
1614,
as
codified
in
42
U.S.C.
§
1382b
§1382c
.
Sec.
176.
Section
321.12,
subsection
4,
Code
2014,
is
amended
to
read
as
follows:
4.
The
director
shall
not
destroy
any
operating
records
pertaining
to
arrests
or
convictions
for
operating
while
intoxicated,
in
violation
of
section
321J.2
or
operating
records
pertaining
to
revocations
for
violations
of
section
321J.2A
,
except
that
a
conviction
or
revocation
under
section
321J.2
or
321J.2A
that
is
not
subject
to
49
C.F.R.
§
pt.
383
shall
be
deleted
from
the
operating
records
twelve
years
after
the
date
of
conviction
or
the
effective
date
of
revocation.
Convictions
or
revocations
that
are
retained
in
the
operating
records
for
more
than
twelve
years
under
this
subsection
shall
be
considered
only
for
purposes
of
disqualification
actions
under
49
C.F.R.
§
pt.
383.
Sec.
177.
Section
321.450,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
A
person
shall
not
transport
or
have
transported
or
shipped
within
this
state
any
hazardous
material
except
in
compliance
with
rules
adopted
by
the
department
under
chapter
17A
.
The
rules
shall
be
consistent
with
the
federal
hazardous
materials
regulations
adopted
under
United
States
Code,
Tit.
49,
and
found
in
49
C.F.R.
§
pts.
107,
171
to
173,
177,
178,
and
180.
Sec.
178.
Section
325A.6,
Code
2014,
is
amended
to
read
as
follows:
325A.6
Insurance.
All
motor
carriers
subject
to
this
chapter
shall
have
minimum
insurance
coverage
which
meets
the
limits
established
in
the
federal
motor
carrier
safety
regulations
in
49
C.F.R.
ch.
pt.
387.
Sec.
179.
Section
327J.1,
subsection
1,
Code
2014,
is
amended
to
read
as
follows:
1.
“AMTRAK”
means
the
national
railroad
passenger
House
File
2423,
p.
55
corporation
created
under
45
U.S.C.
§
541
§24101
.
Sec.
180.
Section
459A.102,
subsections
19
and
28,
Code
2014,
are
amended
to
read
as
follows:
19.
“Operating
permit”
means
a
permit
which
regulates
the
operation
of
an
open
feedlot
operation
as
issued
by
the
department
or
the
United
States
environmental
protection
agency,
including
as
provided
in
state
law
or
pursuant
to
the
federal
Water
Pollution
Control
Act,
Tit.
33
,
U.S.C.
ch.
26,
as
amended,
and
40
C.F.R.
pt.
122.
28.
“Waters
of
the
United
States”
means
the
same
as
defined
in
40
C.F.R.
pt.
122,
§
2
§122.2
,
as
that
section
exists
on
July
1,
2005.
Sec.
181.
Section
502.304A,
subsection
3,
paragraph
c,
Code
2014,
is
amended
to
read
as
follows:
c.
The
issuer
or
a
broker-dealer
offering
or
selling
the
securities
is
not
or
would
not
be
disqualified
under
rule
505,
17
C.F.R.
§
230.505(2)(iii)
§230.505(b)(2)(iii)
,
adopted
under
the
federal
Securities
Act
of
1933.
Sec.
182.
Section
513B.13,
subsection
8,
paragraph
f,
Code
2014,
is
amended
to
read
as
follows:
f.
Premium
rates
charged
for
reinsurance
by
the
program
to
a
health
maintenance
organization
that
is
federally
qualified
under
42
U.S.C.
§
300c(c)(2)(A)
§300e(c)(2)(A)
,
and
is
thereby
subject
to
requirements
that
limit
the
amount
of
risk
that
may
be
ceded
to
the
program
that
are
more
restrictive
than
those
specified
in
paragraph
“d”
,
shall
be
reduced
to
reflect
that
portion
of
the
risk
above
the
amount
set
forth
in
paragraph
“d”
that
may
not
be
ceded
to
the
program,
if
any.
Sec.
183.
Section
513B.13,
subsection
11,
paragraph
b,
subparagraph
(4),
Code
2014,
is
amended
to
read
as
follows:
(4)
Subject
to
the
approval
of
the
commissioner,
the
board
shall
make
an
adjustment
to
the
assessment
formula
for
reinsuring
carriers
that
are
approved
health
maintenance
organizations
which
are
federally
qualified
under
42
U.S.C.
§
300
§300e
et
seq.,
to
the
extent,
if
any,
that
restrictions
are
placed
on
them
that
are
not
imposed
on
other
small
employer
carriers.
Sec.
184.
Section
514I.2,
subsection
9,
Code
2014,
is
amended
to
read
as
follows:
9.
“Health
insurance
coverage”
means
health
insurance
coverage
as
defined
in
42
U.S.C.
§
300gg(91)
§300gg-91
.
Sec.
185.
Section
515.35,
subsection
4,
paragraph
a,
Code
2014,
is
amended
to
read
as
follows:
House
File
2423,
p.
56
a.
United
States
government
obligations.
Obligations
issued
or
guaranteed
by
the
United
States
or
an
agency
or
instrumentality
of
the
United
States.
Bonds
or
other
evidences
of
indebtedness
issued,
assumed,
or
guaranteed
by
the
United
States
of
America,
or
by
any
agency
or
instrumentality
of
the
United
States
of
America
include
investments
in
an
open-end
management
investment
company
registered
with
the
federal
securities
and
exchange
commission
under
the
federal
Investment
Company
Act
of
1940,
15
U.S.C.
§
80a
§80a-1
et
seq.
,
and
operated
in
accordance
with
17
C.F.R.
§
270.2a-7,
the
portfolio
of
which
is
limited
to
the
United
States
government
obligations
described
in
this
paragraph
“a”
,
and
which
are
included
in
the
national
association
of
insurance
commissioners’
securities
valuation
office’s
United
States
direct
obligation
–
full
faith
and
credit
list.
Sec.
186.
Section
518.14,
subsection
4,
paragraph
a,
Code
2014,
is
amended
to
read
as
follows:
a.
United
States
government
obligations.
Bonds
or
other
evidences
of
indebtedness
issued,
assumed,
or
guaranteed
by
the
United
States
of
America,
or
by
any
agency
or
instrumentality
of
the
United
States
of
America,
including
investments
in
an
open-end
management
investment
company
registered
with
the
federal
securities
and
exchange
commission
under
the
federal
Investment
Company
Act
of
1940,
15
U.S.C.
§
80a
§80a-1
et
seq.,
and
operated
in
accordance
with
17
C.F.R.
§
270.2a-7,
the
portfolio
of
which
is
limited
to
the
United
States
obligations
described
in
this
paragraph,
and
which
are
included
in
the
national
association
of
insurance
commissioners’
securities
valuation
office’s
United
States
direct
obligation
–
full
faith
and
credit
list.
Sec.
187.
Section
518A.12,
subsection
4,
paragraph
a,
Code
2014,
is
amended
to
read
as
follows:
a.
United
States
government
obligations.
Bonds
or
other
evidences
of
indebtedness
issued,
assumed,
or
guaranteed
by
the
United
States
of
America,
or
by
any
agency
or
instrumentality
of
the
United
States
of
America,
including
investments
in
an
open-end
management
investment
company
registered
with
the
federal
securities
and
exchange
commission
under
the
federal
Investment
Company
Act
of
1940,
15
U.S.C.
§
80a
§80a-1
et
seq.,
and
operated
in
accordance
with
17
C.F.R.
§
270.2a-7,
the
portfolio
of
which
is
limited
to
the
United
States
obligations
described
in
this
paragraph,
and
which
are
included
in
the
national
association
of
insurance
commissioners’
securities
House
File
2423,
p.
57
valuation
office’s
United
States
direct
obligation
–
full
faith
and
credit
list.
Sec.
188.
Section
524.901,
subsection
4,
Code
2014,
is
amended
to
read
as
follows:
4.
A
state
bank
may
invest
without
limit
in
the
shares
or
units
of
investment
companies
or
investment
trusts
registered
under
the
federal
Investment
Company
Act
of
1940,
15
U.S.C.
§
80a
§80a-1
et
seq.
,
the
portfolio
of
which
is
limited
to
United
States
investment
securities
described
in
subsection
3
or
repurchase
agreements
fully
collateralized
by
United
States
investment
securities
described
in
subsection
3
,
if
delivery
of
the
collateral
is
taken
either
directly
or
through
an
authorized
custodian
and
the
dollar-weighted
average
maturity
of
the
portfolio
is
not
more
than
five
years.
All
other
investments
by
a
state
bank
in
the
shares
or
units
of
investment
companies
or
investment
trusts
registered
under
the
federal
Investment
Company
Act
of
1940,
15
U.S.C.
§
80a
§80a-1
et
seq.
,
whose
portfolios
exclusively
contain
investment
securities
permissible
pursuant
to
subsections
2
and
3
,
shall
not
exceed
fifteen
percent
of
the
state
bank’s
aggregate
capital.
Sec.
189.
Section
535.2,
subsection
2,
paragraph
a,
subparagraph
(4),
Code
2014,
is
amended
to
read
as
follows:
(4)
A
domestic
or
foreign
corporation,
and
a
real
estate
investment
trust
as
defined
in
section
856
of
the
Internal
Revenue
Code,
and
a
person
purchasing
securities
as
defined
in
chapter
502
on
credit
from
a
broker
or
dealer
registered
or
licensed
under
chapter
502
or
under
the
federal
Securities
Exchange
Act
of
1934,
15
U.S.C.,
ch.
78A
§78a
et
seq.
,
as
amended.
Sec.
190.
Section
535.12,
subsection
4,
Code
2014,
is
amended
to
read
as
follows:
4.
As
used
in
this
section
,
“agricultural
credit
corporation”
means
a
corporation
which
has
been
designated
by
the
farm
credit
bank
of
Omaha,
Nebraska,
as
an
agricultural
credit
corporation
eligible
to
sell
or
discount
loans
to
that
bank
pursuant
to
12
U.S.C.
§
2074
§2075
.
Sec.
191.
Section
551A.3,
subsection
3,
paragraph
b,
Code
2014,
is
amended
to
read
as
follows:
b.
A
disclosure
document
prepared
pursuant
to
the
federal
trade
commission
rule
relating
to
disclosure
requirements
and
prohibitions
concerning
franchising
and
business
opportunity
ventures
in
accordance
with
16
C.F.R.
§
pt.
436
or
any
House
File
2423,
p.
58
successor
regulation.
Sec.
192.
Section
551A.4,
subsection
1,
paragraph
b,
subparagraph
(1),
subparagraph
division
(b),
Code
2014,
is
amended
to
read
as
follows:
(b)
A
disclosure
document
prepared
pursuant
to
the
federal
trade
commission
rule
entitled
“Disclosure
requirements
and
prohibitions
concerning
franchising
and
business
opportunity
ventures”,
16
C.F.R.
§
pt.
436
or
any
successor
regulation.
Sec.
193.
Section
602.8103,
subsection
5,
paragraph
b,
Code
2014,
is
amended
to
read
as
follows:
b.
An
open-end
management
investment
company
organized
in
trust
form
registered
with
the
federal
securities
and
exchange
commission
under
the
federal
Investment
Company
Act
of
1940,
15
U.S.C.
§
80a
§80a-1
et
seq.
,
and
operated
in
accordance
with
17
C.F.R.
§
270.2a-7,
the
portfolio
of
which
is
limited
to
obligations
of
the
United
States
of
America
or
agencies
or
instrumentalities
of
the
United
States
of
America
and
to
repurchase
agreements
fully
collateralized
by
obligations
of
the
United
States
of
America
or
an
agency
or
instrumentality
of
the
United
States
of
America
if
the
investment
company
takes
delivery
of
the
collateral
either
directly
or
through
an
authorized
custodian.
Sec.
194.
Section
636.23,
subsections
2
and
16,
Code
2014,
are
amended
to
read
as
follows:
2.
Federal
bank
bonds.
Bonds,
notes
or
other
obligations
issued
by
any
federal
land
bank,
federal
intermediate
credit
bank,
bank
for
cooperatives,
or
any
or
all
of
the
federal
farm
credit
banks,
and
in
bonds
issued
by
any
federal
home
loan
bank
under
the
Act
of
Congress
known
and
cited
as
the
federal
Home
Loan
Bank
Act,
[
12
U.S.C.
§
1421
–
1449
]
and
the
Acts
amendatory
thereof.
16.
Investments
included
——
government
obligations.
Federal
bonds,
federal
bank
bonds,
and
bonds
and
debentures
guaranteed
by
the
federal
government
which
are
authorized
investments
under
subsections
1,
2,
and
11
include
investments
in
an
investment
company
or
investment
trust
registered
under
the
federal
Investment
Company
Act
of
1940,
15
U.S.C.
§
80a
§80a-1
et
seq.
,
the
portfolio
of
which
is
limited
to
the
United
States
government
obligations
described
in
subsections
1,
2,
and
11
and
to
repurchase
agreements
fully
collateralized
by
such
United
States
government
obligations,
if
the
investment
company
or
investment
trust
takes
delivery
of
the
collateral
either
directly
or
through
an
authorized
custodian.
House
File
2423,
p.
59
Sec.
195.
Section
714B.10,
subsection
2,
Code
2014,
is
amended
to
read
as
follows:
2.
Advertising
in
connection
with
the
sale
or
purchase
of
books,
recordings,
videocassettes,
periodicals,
and
similar
goods
through
a
membership
group
or
club
which
is
regulated
by
the
federal
trade
commission
pursuant
to
16
C.F.R.
pt.
§
425.1,
concerning
use
of
negative
option
plans
by
sellers
in
commerce.
Sec.
196.
Section
907B.2,
subsection
6,
paragraph
f,
unnumbered
paragraph
1,
Code
2014,
is
amended
to
read
as
follows:
Public
notice
shall
be
given
of
all
meetings
and
all
meetings
shall
be
open
to
the
public,
except
as
set
forth
in
the
rules
or
as
otherwise
provided
in
the
compact.
The
interstate
commission
shall
promulgate
rules
consistent
with
the
principles
contained
in
the
federal
Government
in
the
Sunshine
Act,
5
U.S.C.
§
552(6)
§552(a)(6)
,
as
may
be
amended.
The
interstate
commission
and
any
of
its
committees
may
close
a
meeting
to
the
public
where
it
determines
by
two-thirds
vote
that
an
open
meeting
would
be
likely
to:
DIVISION
IV
EFFECTIVE
DATE
AND
APPLICABILITY
PROVISIONS
Sec.
197.
EFFECTIVE
UPON
ENACTMENT.
The
following
provisions
of
division
I
of
this
Act,
being
deemed
of
immediate
importance,
take
effect
upon
enactment:
1.
The
section
of
this
Act
amending
section
384.3A.
2.
The
section
of
this
Act
amending
2013
Iowa
Acts,
ch.
24,
section
13.
3.
The
section
of
this
Act
amending
section
456A.38,
subsection
4,
as
enacted
by
2013
Iowa
Acts,
ch.
64,
section
1.
4.
The
section
of
this
Act
amending
2013
Iowa
Acts,
ch.
125,
section
25.
Sec.
198.
RETROACTIVE
APPLICABILITY.
The
section
in
division
I
of
this
Act
amending
section
384.3A
applies
retroactively
to
June
20,
2013.
Sec.
199.
RETROACTIVE
APPLICABILITY.
The
section
in
division
I
of
this
Act
amending
2013
Iowa
Acts,
ch.
24,
section
13,
applies
retroactively
to
July
1,
2013.
Sec.
200.
RETROACTIVE
APPLICABILITY.
The
section
in
division
I
of
this
Act
amending
section
456A.38,
subsection
4,
as
enacted
by
2013
Iowa
Acts,
ch.
64,
section
1,
applies
retroactively
to
July
1,
2013.
Sec.
201.
RETROACTIVE
APPLICABILITY.
The
section
in
division
I
of
this
Act
amending
2013
Iowa
Acts,
ch.
125,
House
File
2423,
p.
60
section
25,
applies
retroactively
to
January
1,
2013,
for
tax
years
beginning
on
or
after
that
date.
______________________________
KRAIG
PAULSEN
Speaker
of
the
House
______________________________
PAM
JOCHUM
President
of
the
Senate
I
hereby
certify
that
this
bill
originated
in
the
House
and
is
known
as
House
File
2423,
Eighty-fifth
General
Assembly.
______________________________
CARMINE
BOAL
Chief
Clerk
of
the
House
Approved
_______________,
2014
______________________________
TERRY
E.
BRANSTAD
Governor