Oklahoma Code § 36-363

Title 36. Insurance: Notification of suspected fraud - Immunity
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A.  Any insurer, employee or agent of any insurer who has reason
to believe that a person or entity has engaged in or is engaging in
an act or practice that violates any statute or administrative rule
of this state related to insurance fraud shall immediately notify
the Anti-Fraud Unit of the Insurance Department and, in the case of
an allegation of claimant fraud, the Workers' Compensation and
Insurance Fraud Unit of the Office of the Attorney General.
B.  No insurer, employee or agent of an insurer, or any other
person acting in the absence of fraud, bad faith, reckless disregard
for the truth, or actual malice shall be subject to civil liability
for libel, slander or any other relevant tort or subject to criminal
prosecution by virtue of filing of reports or furnishing other
information either orally or in writing, concerning suspected,
anticipated or completed fraudulent insurance acts to the Anti-Fraud
Division of the Insurance Department or the Workers' Compensation
and Insurance Fraud Unit of the Office of the Attorney General
pursuant to subsection A of this section or to any other agency
involved in the investigation or prosecution of suspected insurance
fraud.
C.  No civil or criminal cause of action of any nature shall
exist against the person or entity by virtue of filing of reports or
furnishing other information, either orally or in writing,
concerning suspected, anticipated or completed fraudulent insurance
acts to the Anti-Fraud Division of the Insurance Department pursuant

to subsection A of this section or to any other agency involved in
the investigation or prosecution of suspected insurance fraud.  The
immunity provided in this subsection shall extend to the act of
providing or receiving information or reports to or from:
1.  Law enforcement officials, their agents and employees;
2.  The National Association of Insurance Commissioners, any
state department of insurance, any federal or state agency or bureau
established to detect and prevent fraudulent insurance activities,
as well as any other organization established for the same purpose,
their agents, employees or designees; and
3.  Any organization or person involved in the prevention and
detection of fraudulent insurance activities or that organization or
person's employees, agents, or representatives.
The immunity provided in this subsection shall not extend to any
person, insurer, or agent of an insurer for communications or
publications about suspected insurance fraud to any other person or
entity.
Added by Laws 1999, c. 344, § 3, emerg. eff. June 8, 1999.  Amended
by Laws 2012, c. 175, § 1, emerg. eff. May 1, 2012; Laws 2012, c.
235, § 5, eff. July 1, 2012.

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