SSB 5336 -
By Representative Miloscia
FAILED 04/10/2007
Strike everything after the enacting clause and insert the following:
"NEW SECTION. Sec. 1 (1) The purpose of this chapter is to
extend certain rights and obligations to two adults who provide mutual
care and support for each other, but are legally prohibited from
marrying each other under RCW 26.04.020.
(2) The legislature finds that the people of Washington have chosen
to limit marriage to the union of one man and one woman. As such,
marriage is subject to restrictions, such as the prohibitions under RCW
26.04.020 between parties who are first cousins or nearer of kin to
each other or who are of the same sex.
(3) The legislature recognizes that many choose to live in
relationships that include financial interdependence and other mutual
care and support. The state has an interest in promoting these
relationships to encourage private dependencies rather than reliance on
state benefits. The legislature recognizes that these mutually
beneficial relationships would be assisted if certain rights, benefits,
and obligations were made available to them. Examples include two
individuals who are related to each other such as a widowed mother and
her unmarried daughter, a grandmother caring for her grandson, or
unrelated adults of the same gender.
(4) The legislature finds that certain rights, benefits, and
obligations should be extended to two adults who seek to mutually care
for each other.
NEW SECTION. Sec. 2 The definitions in this section apply
throughout this chapter unless the context clearly requires otherwise.
(1) "Domestic partners" means two adults who meet the requirements
of section 3 of this act.
(2) "Secretary" means the secretary of state's office.
NEW SECTION. Sec. 3 Two adults are considered domestic partners
when the following requirements are met:
(1) Both are at least eighteen years of age;
(2) Neither is married to another person or in a domestic
partnership with another person;
(3) Both are capable of consenting to the partnership without fraud
or duress;
(4) They share a common residence;
(5) They are legally prohibited from marrying each other under RCW
26.04.020;
(6) They execute a mutual beneficiary contract provided by the
secretary; and
(7) They file the mutual beneficiary contract with the secretary.
NEW SECTION. Sec. 4 (1) Two adults who meet the criteria in
section 3(1) through (5) of this act may enter into a mutual
beneficiary contract and file a "declaration of domestic partners in a
mutual beneficiary contract" with the secretary. Upon receipt of a
signed, notarized declaration and the filing fee, the secretary shall
provide a copy of the declaration to both parties. The secretary shall
maintain a record of each declaration filed with the secretary.
(2) An adult who is a domestic partner in a mutual beneficiary
contract filed with the secretary, may terminate the domestic
partnership by filing a signed, notarized "termination of domestic
partnership" with the secretary and pay a filing fee. The party
seeking to terminate the partnership must include in his or her filing
an affidavit stating that the other party has received notice of the
termination.
(3) Upon receipt of a signed, notarized termination of domestic
partnership, filing fee, and affidavit, the secretary shall provide a
copy of the termination of domestic partnership to each of the parties
to the domestic partnership. The secretary shall maintain a record of
each termination of domestic partnership filed with the secretary.
(4) The secretary shall create forms entitled "declaration of
domestic partners in a mutual beneficiary contract" and "termination of
domestic partnership" and shall make those forms available to the
public. The secretary shall set and collect a fee, not to exceed
fifty dollars, for filing a declaration of domestic partnership and a
fee, not to exceed fifty dollars, for filing a termination of domestic
partnership. The secretary is authorized to adopt rules to administer
this chapter.
NEW SECTION. Sec. 5 Domestic partners shall have the rights and
benefits provided under this act. Nothing in this act may be construed
to create any rights, benefits, protections, or responsibilities not
specifically enumerated in this act.
NEW SECTION. Sec. 6 (1) A domestic partnership created by a
subdivision of the state is not a domestic partnership for the purposes
of this chapter. Those persons desiring to become state registered
domestic partners under this chapter must register pursuant to section
5 of this act. Nothing in this act shall affect domestic partnerships
created by any public entity.
(2) A domestic partnership, civil union, or other relationship
recognized by another state or jurisdiction that confers some or all of
the benefits, rights, or obligations of marriage to persons who would
not be eligible to marry in the state of Washington shall be deemed to
have executed a declaration of domestic partners in a mutual
beneficiary contract under this chapter, provided they would qualify
for a mutual beneficiary contract under section 3 of this act.
NEW SECTION. Sec. 7 A patient's domestic partner shall have the
same rights as a spouse with respect to visitation of the patient in a
health care facility as defined in RCW 48.43.005.
NEW SECTION. Sec. 8 A new section is added to chapter 41.05 RCW
to read as follows:
A declaration of domestic partnership issued to a couple of the
same sex under the provisions of section 4 of this act shall be
recognized as evidence of a qualified same sex domestic partnership
fulfilling all necessary eligibility criteria for the partner of the
employee to receive benefits. Nothing in this section affects the
requirements of same sex domestic partners to complete documentation
related to federal tax status that may currently be required by the
board for employees choosing to make premium payments on a pretax
basis.
Sec. 9 RCW 41.05.065 and 2006 c 299 s 2 are each amended to read
as follows:
(1) The board shall study all matters connected with the provision
of health care coverage, life insurance, liability insurance,
accidental death and dismemberment insurance, and disability income
insurance or any of, or a combination of, the enumerated types of
insurance for employees and their dependents on the best basis possible
with relation both to the welfare of the employees and to the state.
However, liability insurance shall not be made available to dependents.
(2) The board shall develop employee benefit plans that include
comprehensive health care benefits for all employees. In developing
these plans, the board shall consider the following elements:
(a) Methods of maximizing cost containment while ensuring access to
quality health care;
(b) Development of provider arrangements that encourage cost
containment and ensure access to quality care, including but not
limited to prepaid delivery systems and prospective payment methods;
(c) Wellness incentives that focus on proven strategies, such as
smoking cessation, injury and accident prevention, reduction of alcohol
misuse, appropriate weight reduction, exercise, automobile and
motorcycle safety, blood cholesterol reduction, and nutrition
education;
(d) Utilization review procedures including, but not limited to a
cost-efficient method for prior authorization of services, hospital
inpatient length of stay review, requirements for use of outpatient
surgeries and second opinions for surgeries, review of invoices or
claims submitted by service providers, and performance audit of
providers;
(e) Effective coordination of benefits;
(f) Minimum standards for insuring entities; and
(g) Minimum scope and content of public employee benefit plans to
be offered to enrollees participating in the employee health benefit
plans. To maintain the comprehensive nature of employee health care
benefits, employee eligibility criteria related to the number of hours
worked and the benefits provided to employees shall be substantially
equivalent to the state employees' health benefits plan and eligibility
criteria in effect on January 1, 1993. Nothing in this subsection
(2)(g) shall prohibit changes or increases in employee point-of-service
payments or employee premium payments for benefits or the
administration of a high deductible health plan in conjunction with a
health savings account.
(3) The board shall design benefits and determine the terms and
conditions of employee and retired employee participation and coverage,
including establishment of eligibility criteria subject to the
requirements of section 8 of this act. The same terms and conditions
of participation and coverage, including eligibility criteria, shall
apply to state employees and to school district employees and
educational service district employees.
(4) The board may authorize premium contributions for an employee
and the employee's dependents in a manner that encourages the use of
cost-efficient managed health care systems. During the 2005-2007
fiscal biennium, the board may only authorize premium contributions for
an employee and the employee's dependents that are the same, regardless
of an employee's status as represented or nonrepresented by a
collective bargaining unit under the personnel system reform act of
2002. The board shall require participating school district and
educational service district employees to pay at least the same
employee premiums by plan and family size as state employees pay.
(5) The board shall develop a health savings account option for
employees that conform to section 223, Part VII of subchapter B of
chapter 1 of the internal revenue code of 1986. The board shall comply
with all applicable federal standards related to the establishment of
health savings accounts.
(6) Notwithstanding any other provision of this chapter, the board
shall develop a high deductible health plan to be offered in
conjunction with a health savings account developed under subsection
(5) of this section.
(7) Employees shall choose participation in one of the health care
benefit plans developed by the board and may be permitted to waive
coverage under terms and conditions established by the board.
(8) The board shall review plans proposed by insuring entities that
desire to offer property insurance and/or accident and casualty
insurance to state employees through payroll deduction. The board may
approve any such plan for payroll deduction by insuring entities
holding a valid certificate of authority in the state of Washington and
which the board determines to be in the best interests of employees and
the state. The board shall promulgate rules setting forth criteria by
which it shall evaluate the plans.
(9) Before January 1, 1998, the public employees' benefits board
shall make available one or more fully insured long-term care insurance
plans that comply with the requirements of chapter 48.84 RCW. Such
programs shall be made available to eligible employees, retired
employees, and retired school employees as well as eligible dependents
which, for the purpose of this section, includes the parents of the
employee or retiree and the parents of the spouse of the employee or
retiree. Employees of local governments and employees of political
subdivisions not otherwise enrolled in the public employees' benefits
board sponsored medical programs may enroll under terms and conditions
established by the administrator, if it does not jeopardize the
financial viability of the public employees' benefits board's long-term
care offering.
(a) Participation of eligible employees or retired employees and
retired school employees in any long-term care insurance plan made
available by the public employees' benefits board is voluntary and
shall not be subject to binding arbitration under chapter 41.56 RCW.
Participation is subject to reasonable underwriting guidelines and
eligibility rules established by the public employees' benefits board
and the health care authority.
(b) The employee, retired employee, and retired school employee are
solely responsible for the payment of the premium rates developed by
the health care authority. The health care authority is authorized to
charge a reasonable administrative fee in addition to the premium
charged by the long-term care insurer, which shall include the health
care authority's cost of administration, marketing, and consumer
education materials prepared by the health care authority and the
office of the insurance commissioner.
(c) To the extent administratively possible, the state shall
establish an automatic payroll or pension deduction system for the
payment of the long-term care insurance premiums.
(d) The public employees' benefits board and the health care
authority shall establish a technical advisory committee to provide
advice in the development of the benefit design and establishment of
underwriting guidelines and eligibility rules. The committee shall
also advise the board and authority on effective and cost-effective
ways to market and distribute the long-term care product. The
technical advisory committee shall be comprised, at a minimum, of
representatives of the office of the insurance commissioner, providers
of long-term care services, licensed insurance agents with expertise in
long-term care insurance, employees, retired employees, retired school
employees, and other interested parties determined to be appropriate by
the board.
(e) The health care authority shall offer employees, retired
employees, and retired school employees the option of purchasing long-term care insurance through licensed agents or brokers appointed by the
long-term care insurer. The authority, in consultation with the public
employees' benefits board, shall establish marketing procedures and may
consider all premium components as a part of the contract negotiations
with the long-term care insurer.
(f) In developing the long-term care insurance benefit designs, the
public employees' benefits board shall include an alternative plan of
care benefit, including adult day services, as approved by the office
of the insurance commissioner.
(g) The health care authority, with the cooperation of the office
of the insurance commissioner, shall develop a consumer education
program for the eligible employees, retired employees, and retired
school employees designed to provide education on the potential need
for long-term care, methods of financing long-term care, and the
availability of long-term care insurance products including the
products offered by the board.
(h) By December 1998, the health care authority, in consultation
with the public employees' benefits board, shall submit a report to the
appropriate committees of the legislature, including an analysis of the
marketing and distribution of the long-term care insurance provided
under this section.
Sec. 10 RCW 7.70.065 and 2006 c 93 s 1 are each amended to read
as follows:
(1) Informed consent for health care for a patient who is not
competent, as defined in RCW 11.88.010(1)(e), to consent may be
obtained from a person authorized to consent on behalf of such patient.
(a) Persons authorized to provide informed consent to health care
on behalf of a patient who is not competent to consent, based upon a
reason other than incapacity as defined in RCW 11.88.010(1)(d), shall
be a member of one of the following classes of persons in the following
order of priority:
(i) The appointed guardian of the patient, if any;
(ii) The individual, if any, to whom the patient has given a
durable power of attorney that encompasses the authority to make health
care decisions;
(iii) The patient's spouse or domestic partner as defined under
section 2 of this act;
(iv) Children of the patient who are at least eighteen years of
age;
(v) Parents of the patient; and
(vi) Adult brothers and sisters of the patient.
(b) If the health care provider seeking informed consent for
proposed health care of the patient who is not competent to consent
under RCW 11.88.010(1)(e), other than a person determined to be
incapacitated because he or she is under the age of majority and who is
not otherwise authorized to provide informed consent, makes reasonable
efforts to locate and secure authorization from a competent person in
the first or succeeding class and finds no such person available,
authorization may be given by any person in the next class in the order
of descending priority. However, no person under this section may
provide informed consent to health care:
(i) If a person of higher priority under this section has refused
to give such authorization; or
(ii) If there are two or more individuals in the same class and the
decision is not unanimous among all available members of that class.
(c) Before any person authorized to provide informed consent on
behalf of a patient not competent to consent under RCW 11.88.010(1)(e),
other than a person determined to be incapacitated because he or she is
under the age of majority and who is not otherwise authorized to
provide informed consent, exercises that authority, the person must
first determine in good faith that that patient, if competent, would
consent to the proposed health care. If such a determination cannot be
made, the decision to consent to the proposed health care may be made
only after determining that the proposed health care is in the
patient's best interests.
(2) Informed consent for health care, including mental health care,
for a patient who is not competent, as defined in RCW 11.88.010(1)(e),
because he or she is under the age of majority and who is not otherwise
authorized to provide informed consent, may be obtained from a person
authorized to consent on behalf of such a patient.
(a) Persons authorized to provide informed consent to health care,
including mental health care, on behalf of a patient who is
incapacitated, as defined in RCW 11.88.010(1)(e), because he or she is
under the age of majority and who is not otherwise authorized to
provide informed consent, shall be a member of one of the following
classes of persons in the following order of priority:
(i) The appointed guardian, or legal custodian authorized pursuant
to Title 26 RCW, of the minor patient, if any;
(ii) A person authorized by the court to consent to medical care
for a child in out-of-home placement pursuant to chapter 13.32A or
13.34 RCW, if any;
(iii) Parents of the minor patient;
(iv) The individual, if any, to whom the minor's parent has given
a signed authorization to make health care decisions for the minor
patient; and
(v) A competent adult representing himself or herself to be a
relative responsible for the health care of such minor patient or a
competent adult who has signed and dated a declaration under penalty of
perjury pursuant to RCW 9A.72.085 stating that the adult person is a
relative responsible for the health care of the minor patient. Such
declaration shall be effective for up to six months from the date of
the declaration.
(b) A health care provider may, but is not required to, rely on the
representations or declaration of a person claiming to be a relative
responsible for the care of the minor patient, under (a)(v) of this
subsection, if the health care provider does not have actual notice of
the falsity of any of the statements made by the person claiming to be
a relative responsible for the health care of the minor patient.
(c) A health care facility or a health care provider may, in its
discretion, require documentation of a person's claimed status as being
a relative responsible for the health care of the minor patient.
However, there is no obligation to require such documentation.
(d) The health care provider or health care facility where services
are rendered shall be immune from suit in any action, civil or
criminal, or from professional or other disciplinary action when such
reliance is based on a declaration signed under penalty of perjury
pursuant to RCW 9A.72.085 stating that the adult person is a relative
responsible for the health care of the minor patient under (a)(v) of
this subsection.
(3) For the purposes of this section, "health care," "health care
provider," and "health care facility" shall be defined as established
in RCW 70.02.010.
Sec. 11 RCW 70.02.050 and 2006 c 235 s 3 are each amended to read
as follows:
(1) A health care provider or health care facility may disclose
health care information about a patient without the patient's
authorization to the extent a recipient needs to know the information,
if the disclosure is:
(a) To a person who the provider or facility reasonably believes is
providing health care to the patient;
(b) To any other person who requires health care information for
health care education, or to provide planning, quality assurance, peer
review, or administrative, legal, financial, actuarial services to, or
other health care operations for or on behalf of the health care
provider or health care facility; or for assisting the health care
provider or health care facility in the delivery of health care and the
health care provider or health care facility reasonably believes that
the person:
(i) Will not use or disclose the health care information for any
other purpose; and
(ii) Will take appropriate steps to protect the health care
information;
(c) To any other health care provider or health care facility
reasonably believed to have previously provided health care to the
patient, to the extent necessary to provide health care to the patient,
unless the patient has instructed the health care provider or health
care facility in writing not to make the disclosure;
(d) To any person if the health care provider or health care
facility reasonably believes that disclosure will avoid or minimize an
imminent danger to the health or safety of the patient or any other
individual, however there is no obligation under this chapter on the
part of the provider or facility to so disclose;
(e) To immediate family members of the patient, including a
patient's domestic partner, as defined under section 2 of this act, or
any other individual with whom the patient is known to have a close
personal relationship, if made in accordance with good medical or other
professional practice, unless the patient has instructed the health
care provider or health care facility in writing not to make the
disclosure;
(f) To a health care provider or health care facility who is the
successor in interest to the health care provider or health care
facility maintaining the health care information;
(g) For use in a research project that an institutional review
board has determined:
(i) Is of sufficient importance to outweigh the intrusion into the
privacy of the patient that would result from the disclosure;
(ii) Is impracticable without the use or disclosure of the health
care information in individually identifiable form;
(iii) Contains reasonable safeguards to protect the information
from redisclosure;
(iv) Contains reasonable safeguards to protect against identifying,
directly or indirectly, any patient in any report of the research
project; and
(v) Contains procedures to remove or destroy at the earliest
opportunity, consistent with the purposes of the project, information
that would enable the patient to be identified, unless an institutional
review board authorizes retention of identifying information for
purposes of another research project;
(h) To a person who obtains information for purposes of an audit,
if that person agrees in writing to:
(i) Remove or destroy, at the earliest opportunity consistent with
the purpose of the audit, information that would enable the patient to
be identified; and
(ii) Not to disclose the information further, except to accomplish
the audit or report unlawful or improper conduct involving fraud in
payment for health care by a health care provider or patient, or other
unlawful conduct by the health care provider;
(i) To an official of a penal or other custodial institution in
which the patient is detained;
(j) To provide directory information, unless the patient has
instructed the health care provider or health care facility not to make
the disclosure;
(k) To fire, police, sheriff, or another public authority, that
brought, or caused to be brought, the patient to the health care
facility or health care provider if the disclosure is limited to the
patient's name, residence, sex, age, occupation, condition, diagnosis,
estimated or actual discharge date, or extent and location of injuries
as determined by a physician, and whether the patient was conscious
when admitted;
(l) To federal, state, or local law enforcement authorities and the
health care provider, health care facility, or third-party payor
believes in good faith that the health care information disclosed
constitutes evidence of criminal conduct that occurred on the premises
of the health care provider, health care facility, or third-party
payor;
(m) To another health care provider, health care facility, or
third-party payor for the health care operations of the health care
provider, health care facility, or third-party payor that receives the
information, if each entity has or had a relationship with the patient
who is the subject of the health care information being requested, the
health care information pertains to such relationship, and the
disclosure is for the purposes described in RCW 70.02.010(8) (a) and
(b); or
(n) For payment.
(2) A health care provider shall disclose health care information
about a patient without the patient's authorization if the disclosure
is:
(a) To federal, state, or local public health authorities, to the
extent the health care provider is required by law to report health
care information; when needed to determine compliance with state or
federal licensure, certification or registration rules or laws; or when
needed to protect the public health;
(b) To federal, state, or local law enforcement authorities to the
extent the health care provider is required by law;
(c) To federal, state, or local law enforcement authorities, upon
receipt of a written or oral request made to a nursing supervisor,
administrator, or designated privacy official, in a case in which the
patient is being treated or has been treated for a bullet wound,
gunshot wound, powder burn, or other injury arising from or caused by
the discharge of a firearm, or an injury caused by a knife, an ice
pick, or any other sharp or pointed instrument which federal, state, or
local law enforcement authorities reasonably believe to have been
intentionally inflicted upon a person, or a blunt force injury that
federal, state, or local law enforcement authorities reasonably believe
resulted from a criminal act, the following information, if known:
(i) The name of the patient;
(ii) The patient's residence;
(iii) The patient's sex;
(iv) The patient's age;
(v) The patient's condition;
(vi) The patient's diagnosis, or extent and location of injuries as
determined by a health care provider;
(vii) Whether the patient was conscious when admitted;
(viii) The name of the health care provider making the
determination in (c)(v), (vi), and (vii) of this subsection;
(ix) Whether the patient has been transferred to another facility;
and
(x) The patient's discharge time and date;
(d) To county coroners and medical examiners for the investigations
of deaths;
(e) Pursuant to compulsory process in accordance with RCW
70.02.060.
(3) All state or local agencies obtaining patient health care
information pursuant to this section shall adopt rules establishing
their record acquisition, retention, and security policies that are
consistent with this chapter.
Sec. 12 RCW 11.07.010 and 2002 c 18 s 1 are each amended to read
as follows:
(1) This section applies to all nonprobate assets, wherever
situated, held at the time of entry by a superior court of this state
of a decree of dissolution of marriage or a declaration of invalidity
or termination of a domestic partnership.
(2)(a) If a marriage is dissolved or invalidated, or a domestic
partnership terminated, a provision made prior to that event that
relates to the payment or transfer at death of the decedent's interest
in a nonprobate asset in favor of or granting an interest or power to
the decedent's former spouse or domestic partner, is revoked. A
provision affected by this section must be interpreted, and the
nonprobate asset affected passes, as if the former spouse or former
domestic partner, failed to survive the decedent, having died at the
time of entry of the decree of dissolution or declaration of invalidity
or termination of domestic partnership.
(b) This subsection does not apply if and to the extent that:
(i) The instrument governing disposition of the nonprobate asset
expressly provides otherwise;
(ii) The decree of dissolution ((or)), declaration of invalidity,
or other court order requires that the decedent maintain a nonprobate
asset for the benefit of a former spouse or former domestic partner or
children of the marriage or children of the domestic partnership,
payable on the decedent's death either outright or in trust, and other
nonprobate assets of the decedent fulfilling such a requirement for the
benefit of the former spouse or former domestic partner or children of
the marriage or domestic partnership do not exist at the decedent's
death; or
(iii) If not for this subsection, the decedent could not have
effected the revocation by unilateral action because of the terms of
the decree ((or)), declaration, termination of domestic partnership, or
for any other reason, immediately after the entry of the decree of
dissolution ((or)), declaration of invalidity, or termination of
domestic partnership.
(3)(a) A payor or other third party in possession or control of a
nonprobate asset at the time of the decedent's death is not liable for
making a payment or transferring an interest in a nonprobate asset to
a decedent's former spouse or domestic partner, whose interest in the
nonprobate asset is revoked under this section, or for taking another
action in reliance on the validity of the instrument governing
disposition of the nonprobate asset, before the payor or other third
party has actual knowledge of the dissolution or other invalidation of
marriage or termination of the domestic partnership. A payor or other
third party is liable for a payment or transfer made or other action
taken after the payor or other third party has actual knowledge of a
revocation under this section.
(b) This section does not require a payor or other third party to
pay or transfer a nonprobate asset to a beneficiary designated in a
governing instrument affected by the dissolution or other invalidation
of marriage or termination of domestic partnership, or to another
person claiming an interest in the nonprobate asset, if the payor or
third party has actual knowledge of the existence of a dispute between
the former spouse or former domestic partner, and the beneficiaries or
other persons concerning rights of ownership of the nonprobate asset as
a result of the application of this section among the former spouse or
former domestic partner, and the beneficiaries or among other persons,
or if the payor or third party is otherwise uncertain as to who is
entitled to the nonprobate asset under this section. In such a case,
the payor or third party may, without liability, notify in writing all
beneficiaries or other persons claiming an interest in the nonprobate
asset of either the existence of the dispute or its uncertainty as to
who is entitled to payment or transfer of the nonprobate asset. The
payor or third party may also, without liability, refuse to pay or
transfer a nonprobate asset in such a circumstance to a beneficiary or
other person claiming an interest until the time that either:
(i) All beneficiaries and other interested persons claiming an
interest have consented in writing to the payment or transfer; or
(ii) The payment or transfer is authorized or directed by a court
of proper jurisdiction.
(c) Notwithstanding subsections (1) and (2) of this section and (a)
and (b) of this subsection, a payor or other third party having actual
knowledge of the existence of a dispute between beneficiaries or other
persons concerning rights to a nonprobate asset as a result of the
application of this section may condition the payment or transfer of
the nonprobate asset on execution, in a form and with security
acceptable to the payor or other third party, of a bond in an amount
that is double the fair market value of the nonprobate asset at the
time of the decedent's death or the amount of an adverse claim,
whichever is the lesser, or of a similar instrument to provide security
to the payor or other third party, indemnifying the payor or other
third party for any liability, loss, damage, costs, and expenses for
and on account of payment or transfer of the nonprobate asset.
(d) As used in this subsection, "actual knowledge" means, for a
payor or other third party in possession or control of the nonprobate
asset at or following the decedent's death, written notice to the payor
or other third party, or to an officer of a payor or third party in the
course of his or her employment, received after the decedent's death
and within a time that is sufficient to afford the payor or third party
a reasonable opportunity to act upon the knowledge. The notice must
identify the nonprobate asset with reasonable specificity. The notice
also must be sufficient to inform the payor or other third party of the
revocation of the provisions in favor of the decedent's spouse or
domestic partner, by reason of the dissolution or invalidation of
marriage or termination of domestic partnership, or to inform the payor
or third party of a dispute concerning rights to a nonprobate asset as
a result of the application of this section. Receipt of the notice for
a period of more than thirty days is presumed to be received within a
time that is sufficient to afford the payor or third party a reasonable
opportunity to act upon the knowledge, but receipt of the notice for a
period of less than five business days is presumed not to be a
sufficient time for these purposes. These presumptions may be rebutted
only by clear and convincing evidence to the contrary.
(4)(a) A person who purchases a nonprobate asset from a former
spouse, former domestic partner, or other person, for value and without
actual knowledge, or who receives from a former spouse, former domestic
partner, or other person payment or transfer of a nonprobate asset
without actual knowledge and in partial or full satisfaction of a
legally enforceable obligation, is neither obligated under this section
to return the payment, property, or benefit nor is liable under this
section for the amount of the payment or the value of the nonprobate
asset. However, a former spouse, former domestic partner, or other
person who, with actual knowledge, not for value, or not in
satisfaction of a legally enforceable obligation, receives payment or
transfer of a nonprobate asset to which that person is not entitled
under this section is obligated to return the payment or nonprobate
asset, or is personally liable for the amount of the payment or value
of the nonprobate asset, to the person who is entitled to it under this
section.
(b) As used in this subsection, "actual knowledge" means, for a
person described in (a) of this subsection who purchases or receives a
nonprobate asset from a former spouse, former domestic partner, or
other person, personal knowledge or possession of documents relating to
the revocation upon dissolution or invalidation of marriage of
provisions relating to the payment or transfer at the decedent's death
of the nonprobate asset, received within a time after the decedent's
death and before the purchase or receipt that is sufficient to afford
the person purchasing or receiving the nonprobate asset reasonable
opportunity to act upon the knowledge. Receipt of the personal
knowledge or possession of the documents for a period of more than
thirty days is presumed to be received within a time that is sufficient
to afford the payor or third party a reasonable opportunity to act upon
the knowledge, but receipt of the notice for a period of less than five
business days is presumed not to be a sufficient time for these
purposes. These presumptions may be rebutted only by clear and
convincing evidence to the contrary.
(5) As used in this section, "nonprobate asset" means those rights
and interests of a person having beneficial ownership of an asset that
pass on the person's death under only the following written instruments
or arrangements other than the decedent's will:
(a) A payable-on-death provision of a life insurance policy,
employee benefit plan, annuity or similar contract, or individual
retirement account, unless provided otherwise by controlling federal
law;
(b) A payable-on-death, trust, or joint with right of survivorship
bank account;
(c) A trust of which the person is a grantor and that becomes
effective or irrevocable only upon the person's death; or
(d) Transfer on death beneficiary designations of a transfer on
death or pay on death security, if such designations are authorized
under Washington law.
For the general definition in this title of "nonprobate asset," see
RCW 11.02.005(15) and for the definition of "nonprobate asset" relating
to testamentary disposition of nonprobate assets, see RCW 11.11.010(7).
(6) This section is remedial in nature and applies as of July 25,
1993, to decrees of dissolution and declarations of invalidity entered
after July 24, 1993, and this section applies as of January 1, 1995, to
decrees of dissolution and declarations of invalidity entered before
July 25, 1993.
(7) For the purposes of this section, "domestic partner" means
"domestic partner" as defined under section 2 of this act.
Sec. 13 RCW 11.94.080 and 2001 c 203 s 1 are each amended to read
as follows:
(1) An appointment of a principal's spouse or domestic partner as
defined under section 2 of this act, as attorney in fact, including
appointment as successor or coattorney in fact, under a power of
attorney shall be revoked upon entry of a decree of dissolution or
legal separation or declaration of invalidity of the marriage or
termination of the domestic partnership of the principal and the
attorney in fact, unless the power of attorney or the decree provides
otherwise. The effect of this revocation shall be as if the spouse or
domestic partner, resigned as attorney in fact, or if named as
successor attorney in fact, renounced the appointment, as of the date
of entry of the decree or declaration or filing of the termination of
the domestic partnership, and the power of attorney shall otherwise
remain in effect with respect to appointments of other persons as
attorney in fact for the principal or procedures prescribed in the
power of attorney to appoint other persons, and any terms relating to
service by persons as attorney in fact.
(2) This section applies to all decrees of dissolution and
declarations of invalidity of marriage entered after July 22, 2001.
Sec. 14 RCW 68.32.020 and 2005 c 365 s 92 are each amended to
read as follows:
The spouse or domestic partner as defined under section 2 of this
act, of an owner of any plot or right of interment containing more than
one placement space has a vested right of placement in the plot and any
person thereafter becoming the spouse or domestic partner, of the owner
has a vested right of placement in the plot if more than one space is
unoccupied at the time the person becomes the spouse or domestic
partner, of the owner.
Sec. 15 RCW 68.32.030 and 2005 c 365 s 93 are each amended to
read as follows:
No conveyance or other action of the owner without the written
consent of the spouse or domestic partner as defined under section 2 of
this act, of the owner divests the spouse or domestic partner, of a
vested right of placement. A final decree of divorce between them or
termination of the domestic partnership terminates the vested right of
placement unless otherwise provided in the decree.
Sec. 16 RCW 68.32.040 and 2005 c 365 s 94 are each amended to
read as follows:
If no placement is made in a plot or right of interment, which has
been transferred by deed or certificate of ownership to an individual
owner, the title descends to the surviving spouse or domestic partner
as defined under section 2 of this act. If there is no surviving
spouse or domestic partner, the title descends to the heirs at law of
the owner. Following death of the owner, if all remains previously
placed are lawfully removed and the owner did not dispose of the plot
or right of interment by specific devise or by a written declaration
filed and recorded in the office of the cemetery authority, the title
descends to the surviving spouse or domestic partner. If there is no
surviving spouse or domestic partner, the title descends to the heirs
at law of the owner.
Sec. 17 RCW 68.32.060 and 2005 c 365 s 96 are each amended to
read as follows:
Whenever an interment of the human remains of a member or of a
relative of a member of the family of the record owner or of the
remains of the record owner is made in a plot transferred by deed or
certificate of ownership to an individual owner and both the owner and
the surviving spouse or domestic partner as defined under section 2 of
this act, if any, die with children then living without making
disposition of the plot either by a specific devise, or by a written
declaration filed and recorded in the office of the cemetery authority,
the plot shall thereafter be held as a family plot and shall be subject
to sale only upon agreement of the children of the owner living at the
time of sale.
Sec. 18 RCW 68.32.110 and 2005 c 365 s 101 are each amended to
read as follows:
In a family plot one right of interment may be used for the owner's
interment and one for the owner's surviving spouse or domestic partner
as defined under section 2 of this act, if any. Any unoccupied spaces
may then be used by the remaining parents and children of the deceased
owner, if any, then to the spouse or domestic partner of any child of
the owner, then to the heirs at law of the owner, in the order of
death.
Sec. 19 RCW 68.32.130 and 2005 c 365 s 102 are each amended to
read as follows:
Any surviving spouse, domestic partner as defined under section 2
of this act, parent, child, or heir having a right of placement in a
family plot may waive such right in favor of any other relative ((or)),
spouse, or domestic partner of a relative of the deceased owner. Upon
such a waiver, the remains of the person in whose favor the waiver is
made may be placed in the plot.
Sec. 20 RCW 68.50.100 and 2003 c 53 s 307 are each amended to
read as follows:
(1) The right to dissect a dead body shall be limited to cases
specially provided by statute or by the direction or will of the
deceased; cases where a coroner is authorized to hold an inquest upon
the body, and then only as he or she may authorize dissection; and
cases where the spouse, domestic partner as defined under section 2 of
this act, or next of kin charged by law with the duty of burial shall
authorize dissection for the purpose of ascertaining the cause of
death, and then only to the extent so authorized: PROVIDED, That the
coroner, in his or her discretion, may make or cause to be made by a
competent pathologist, toxicologist, or physician, an autopsy or
postmortem in any case in which the coroner has jurisdiction of a body:
PROVIDED, FURTHER, That the coroner may with the approval of the
University of Washington and with the consent of a parent or guardian
deliver any body of a deceased person under the age of three years over
which he or she has jurisdiction to the University of Washington
medical school for the purpose of having an autopsy made to determine
the cause of death.
(2) Every person who shall make, cause, or procure to be made any
dissection of a body, except as provided in this section, is guilty of
a gross misdemeanor.
Sec. 21 RCW 68.50.101 and 1987 c 331 s 57 are each amended to
read as follows:
Autopsy or post mortem may be performed in any case where
authorization has been given by a member of one of the following
classes of persons in the following order of priority:
(1) The surviving spouse or domestic partner as defined under
section 2 of this act;
(2) Any child of the decedent who is eighteen years of age or
older;
(3) One of the parents of the decedent;
(4) Any adult brother or sister of the decedent;
(5) A person who was guardian of the decedent at the time of death;
(6) Any other person or agency authorized or under an obligation to
dispose of the remains of the decedent. The chief official of any such
agency shall designate one or more persons to execute authorizations
pursuant to the provisions of this section.
If the person seeking authority to perform an autopsy or post
mortem makes reasonable efforts to locate and secure authorization from
a competent person in the first or succeeding class and finds no such
person available, authorization may be given by any person in the next
class, in the order of descending priority. However, no person under
this section shall have the power to authorize an autopsy or post
mortem if a person of higher priority under this section has refused
such authorization: PROVIDED, That this section shall not affect
autopsies performed pursuant to RCW 68.50.010 or 68.50.103.
Sec. 22 RCW 68.50.105 and 1987 c 331 s 58 are each amended to
read as follows:
Reports and records of autopsies or post mortems shall be
confidential, except that the following persons may examine and obtain
copies of any such report or record: The personal representative of
the decedent as defined in RCW 11.02.005, any family member, the
attending physician, the prosecuting attorney or law enforcement
agencies having jurisdiction, public health officials, or to the
department of labor and industries in cases in which it has an interest
under RCW 68.50.103.
The coroner, the medical examiner, or the attending physician
shall, upon request, meet with the family of the decedent to discuss
the findings of the autopsy or post mortem. For the purposes of this
section, the term "family" means the surviving spouse, domestic partner
as defined under section 2 of this act, or any child, parent,
grandparent, grandchild, brother, or sister of the decedent, or any
person who was guardian of the decedent at the time of death.
Sec. 23 RCW 68.50.160 and 2005 c 365 s 141 are each amended to
read as follows:
(1) A person has the right to control the disposition of his or her
own remains without the predeath or postdeath consent of another
person. A valid written document expressing the decedent's wishes
regarding the place or method of disposition of his or her remains,
signed by the decedent in the presence of a witness, is sufficient
legal authorization for the procedures to be accomplished.
(2) Prearrangements that are prepaid, or filed with a licensed
funeral establishment or cemetery authority, under RCW 18.39.280
through 18.39.345 and chapter 68.46 RCW are not subject to cancellation
or substantial revision by survivors. Absent actual knowledge of
contrary legal authorization under this section, a licensed funeral
establishment or cemetery authority shall not be held criminally nor
civilly liable for acting upon such prearrangements.
(3) If the decedent has not made a prearrangement as set forth in
subsection (2) of this section or the costs of executing the decedent's
wishes regarding the disposition of the decedent's remains exceeds a
reasonable amount or directions have not been given by the decedent,
the right to control the disposition of the remains of a deceased
person vests in, and the duty of disposition and the liability for the
reasonable cost of preparation, care, and disposition of such remains
devolves upon the following in the order named:
(a) The surviving spouse or domestic partner as defined under
section 2 of this act.
(b) The surviving adult children of the decedent.
(c) The surviving parents of the decedent.
(d) The surviving siblings of the decedent.
(e) A person acting as a representative of the decedent under the
signed authorization of the decedent.
(4) If a cemetery authority as defined in RCW 68.04.190 or a
funeral establishment licensed under chapter 18.39 RCW has made a good
faith effort to locate the person cited in subsection (3)(a) through
(e) of this section or the legal representative of the decedent's
estate, the cemetery authority or funeral establishment shall have the
right to rely on an authority to bury or cremate the human remains,
executed by the most responsible party available, and the cemetery
authority or funeral establishment may not be held criminally or
civilly liable for burying or cremating the human remains. In the
event any government agency provides the funds for the disposition of
any human remains and the government agency elects to provide funds for
cremation only, the cemetery authority or funeral establishment may not
be held criminally or civilly liable for cremating the human remains.
(5) The liability for the reasonable cost of preparation, care, and
disposition devolves jointly and severally upon all kin of the decedent
in the same degree of kindred, in the order listed in subsection (3) of
this section, and upon the estate of the decedent.
Sec. 24 RCW 68.50.200 and 2005 c 365 s 144 are each amended to
read as follows:
Human remains may be removed from a plot in a cemetery with the
consent of the cemetery authority and the written consent of one of the
following in the order named:
(1) The surviving spouse or domestic partner as defined under
section 2 of this act.
(2) The surviving children of the decedent.
(3) The surviving parents of the decedent.
(4) The surviving brothers or sisters of the decedent.
If the required consent cannot be obtained, permission by the
superior court of the county where the cemetery is situated is
sufficient: PROVIDED, That the permission shall not violate the terms
of a written contract or the rules and regulations of the cemetery
authority.
Sec. 25 RCW 68.50.550 and 1993 c 228 s 4 are each amended to read
as follows:
(1) A member of the following classes of persons, in the order of
priority listed, absent contrary instructions by the decedent, may make
an anatomical gift of all or a part of the decedent's body for an
authorized purpose, unless the decedent, at the time of death, had made
an unrevoked refusal to make that anatomical gift:
(a) The appointed guardian of the person of the decedent at the
time of death;
(b) The individual, if any, to whom the decedent had given a
durable power of attorney that encompassed the authority to make health
care decisions;
(c) The spouse or domestic partner as defined under section 2 of
this act, of the decedent;
(d) A son or daughter of the decedent who is at least eighteen
years of age;
(e) Either parent of the decedent;
(f) A brother or sister of the decedent who is at least eighteen
years of age;
(g) A grandparent of the decedent.
(2) An anatomical gift may not be made by a person listed in
subsection (1) of this section if:
(a) A person in a prior class is available at the time of death to
make an anatomical gift;
(b) The person proposing to make an anatomical gift knows of a
refusal or contrary indications by the decedent; or
(c) The person proposing to make an anatomical gift knows of an
objection to making an anatomical gift by a member of the person's
class or a prior class.
(3) An anatomical gift by a person authorized under subsection (1)
of this section must be made by (a) a document of gift signed by the
person or (b) the person's telegraphic, recorded telephonic, or other
recorded message, or other form of communication from the person that
is contemporaneously reduced to writing and signed by the recipient of
the communication.
(4) An anatomical gift by a person authorized under subsection (1)
of this section may be revoked by a member of the same or a prior class
if, before procedures have begun for the removal of a part from the
body of the decedent, the physician, surgeon, technician, or enucleator
removing the part knows of the revocation.
(5) A failure to make an anatomical gift under subsection (1) of
this section is not an objection to the making of an anatomical gift.
Sec. 26 RCW 11.04.015 and 1974 ex.s. c 117 s 6 are each amended
to read as follows:
The net estate of a person dying intestate, or that portion thereof
with respect to which the person shall have died intestate, shall
descend subject to the provisions of RCW 11.04.250 and 11.02.070, and
shall be distributed as follows:
(1) Share of surviving spouse or domestic partner as defined under
section 2 of this act. The surviving spouse or domestic partner shall
receive the following share:
(a) All of the decedent's share of the net community estate; and
(b) One-half of the net separate estate if the intestate is
survived by issue; or
(c) Three-quarters of the net separate estate if there is no
surviving issue, but the intestate is survived by one or more of his
parents, or by one or more of the issue of one or more of his parents;
or
(d) All of the net separate estate, if there is no surviving issue
nor parent nor issue of parent.
(2) Shares of others than surviving spouse or domestic partner.
The share of the net estate not distributable to the surviving spouse
or domestic partner, or the entire net estate if there is no surviving
spouse or domestic partner, shall descend and be distributed as
follows:
(a) To the issue of the intestate; if they are all in the same
degree of kinship to the intestate, they shall take equally, or if of
unequal degree, then those of more remote degree shall take by
representation.
(b) If the intestate not be survived by issue, then to the parent
or parents who survive the intestate.
(c) If the intestate not be survived by issue or by either parent,
then to those issue of the parent or parents who survive the intestate;
if they are all in the same degree of kinship to the intestate, they
shall take equally, or, if of unequal degree, then those of more remote
degree shall take by representation.
(d) If the intestate not be survived by issue or by either parent,
or by any issue of the parent or parents who survive the intestate,
then to the grandparent or grandparents who survive the intestate; if
both maternal and paternal grandparents survive the intestate, the
maternal grandparent or grandparents shall take one-half and the
paternal grandparent or grandparents shall take one-half.
(e) If the intestate not be survived by issue or by either parent,
or by any issue of the parent or parents or by any grandparent or
grandparents, then to those issue of any grandparent or grandparents
who survive the intestate; taken as a group, the issue of the maternal
grandparent or grandparents shall share equally with the issue of the
paternal grandparent or grandparents, also taken as a group; within
each such group, all members share equally if they are all in the same
degree of kinship to the intestate, or, if some be of unequal degree,
then those of more remote degree shall take by representation.
Sec. 27 RCW 11.28.120 and 1995 1st sp.s. c 18 s 61 are each
amended to read as follows:
Administration of an estate if the decedent died intestate or if
the personal representative or representatives named in the will
declined or were unable to serve shall be granted to some one or more
of the persons hereinafter mentioned, and they shall be respectively
entitled in the following order:
(1) The surviving spouse or domestic partner as defined under
section 2 of this act, or such person as he or she may request to have
appointed.
(2) The next of kin in the following order: (a) Child or children;
(b) father or mother; (c) brothers or sisters; (d) grandchildren; (e)
nephews or nieces.
(3) The trustee named by the decedent in an inter vivos trust
instrument, testamentary trustee named in the will, guardian of the
person or estate of the decedent, or attorney in fact appointed by the
decedent, if any such a fiduciary controlled or potentially controlled
substantially all of the decedent's probate and nonprobate assets.
(4) One or more of the beneficiaries or transferees of the
decedent's probate or nonprobate assets.
(5)(a) The director of revenue, or the director's designee, for
those estates having property subject to the provisions of chapter
11.08 RCW; however, the director may waive this right.
(b) The secretary of the department of social and health services
for those estates owing debts for long-term care services as defined in
RCW 74.39A.008; however the secretary may waive this right.
(6) One or more of the principal creditors.
(7) If the persons so entitled shall fail for more than forty days
after the death of the decedent to present a petition for letters of
administration, or if it appears to the satisfaction of the court that
there is no next of kin, as above specified eligible to appointment, or
they waive their right, and there are no principal creditor or
creditors, or such creditor or creditors waive their right, then the
court may appoint any suitable person to administer such estate.
Sec. 28 RCW 4.20.020 and 1985 c 139 s 1 are each amended to read
as follows:
Every such action shall be for the benefit of the wife, husband,
domestic partner as defined under section 2 of this act, child or
children, including stepchildren, of the person whose death shall have
been so caused. If there be no wife ((or)), husband, domestic partner,
or such child or children, such action may be maintained for the
benefit of the parents, sisters, or brothers, who may be dependent upon
the deceased person for support, and who are resident within the United
States at the time of his death.
In every such action the jury may give such damages as, under all
circumstances of the case, may to them seem just.
Sec. 29 RCW 4.20.060 and 1985 c 139 s 2 are each amended to read
as follows:
No action for a personal injury to any person occasioning death
shall abate, nor shall such right of action determine, by reason of
such death, if such person has a surviving spouse, domestic partner as
defined under section 2 of this act, or child living, including
stepchildren, or leaving no surviving spouse, domestic partner, or such
children, if there is dependent upon the deceased for support and
resident within the United States at the time of decedent's death,
parents, sisters, or brothers; but such action may be prosecuted, or
commenced and prosecuted, by the executor or administrator of the
deceased, in favor of such surviving spouse or domestic partner, or in
favor of the surviving spouse or domestic partner and such children, or
if no surviving spouse or domestic partner, in favor of such child or
children, or if no surviving spouse, domestic partner, or such child or
children, then in favor of the decedent's parents, sisters, or brothers
who may be dependent upon such person for support, and resident in the
United States at the time of decedent's death.
Sec. 30 RCW 11.94.010 and 2005 c 97 s 12 are each amended to read
as follows:
(1) Whenever a principal designates another as his or her attorney
in fact or agent, by a power of attorney in writing, and the writing
contains the words "This power of attorney shall not be affected by
disability of the principal," or "This power of attorney shall become
effective upon the disability of the principal," or similar words
showing the intent of the principal that the authority conferred shall
be exercisable notwithstanding the principal's disability, the
authority of the attorney in fact or agent is exercisable on behalf of
the principal as provided notwithstanding later disability or
incapacity of the principal at law or later uncertainty as to whether
the principal is dead or alive. All acts done by the attorney in fact
or agent pursuant to the power during any period of disability or
incompetence or uncertainty as to whether the principal is dead or
alive have the same effect and inure to the benefit of and bind the
principal or the principal's guardian or heirs, devisees, and personal
representative as if the principal were alive, competent, and not
disabled. A principal may nominate, by a durable power of attorney,
the guardian or limited guardian of his or her estate or person for
consideration by the court if protective proceedings for the
principal's person or estate are thereafter commenced. The court shall
make its appointment in accordance with the principal's most recent
nomination in a durable power of attorney except for good cause or
disqualification. If a guardian thereafter is appointed for the
principal, the attorney in fact or agent, during the continuance of the
appointment, shall account to the guardian rather than the principal.
The guardian has the same power the principal would have had if the
principal were not disabled or incompetent, to revoke, suspend or
terminate all or any part of the power of attorney or agency.
(2) Persons shall place reasonable reliance on any determination of
disability or incompetence as provided in the instrument that specifies
the time and the circumstances under which the power of attorney
document becomes effective.
(3)(a) A principal may authorize his or her attorney-in-fact to
provide informed consent for health care decisions on the principal's
behalf. If a principal has appointed more than one agent with
authority to make mental health treatment decisions in accordance with
a directive under chapter 71.32 RCW, to the extent of any conflict, the
most recently appointed agent shall be treated as the principal's agent
for mental health treatment decisions unless provided otherwise in
either appointment.
(b) Unless he or she is the spouse, domestic partner as defined
under section 2 of this act, or adult child or brother or sister of the
principal, none of the following persons may act as the attorney-in-fact for the principal: Any of the principal's physicians, the
physicians' employees, or the owners, administrators, or employees of
the health care facility or long-term care facility as defined in RCW
43.190.020 where the principal resides or receives care. Except when
the principal has consented in a mental health advance directive
executed under chapter 71.32 RCW to inpatient admission or
electroconvulsive therapy, this authorization is subject to the same
limitations as those that apply to a guardian under RCW 11.92.043(5)
(a) through (c).
(4) A parent or guardian, by a properly executed power of attorney,
may authorize an attorney in fact to make health care decisions on
behalf of one or more of his or her children, or children for whom he
or she is the legal guardian, who are under the age of majority as
defined in RCW 26.28.015, to be effective if the child has no other
parent or legal representative readily available and authorized to give
such consent.
(5) A principal may further nominate a guardian or guardians of the
person, or of the estate or both, of a minor child, whether born at the
time of making the durable power of attorney or afterwards, to continue
during the disability of the principal, during the minority of the
child or for any less time by including such a provision in his or her
power of attorney.
(6) The authority of any guardian of the person of any minor child
shall supersede the authority of a designated attorney in fact to make
health care decisions for the minor only after such designated guardian
has been appointed by the court.
(7) In the event a conflict between the provisions of a will
nominating a testamentary guardian under the authority of RCW 11.88.080
and the nomination of a guardian under the authority of this statute,
the most recent designation shall control.
NEW SECTION. Sec. 31 A new section is added to chapter 70.58 RCW
to read as follows:
Information recorded on death certificates shall include domestic
partnership status and the surviving partner's information to the same
extent such information is recorded for marital status and the
surviving spouse's information.
NEW SECTION. Sec. 32 Sections 2 through 7 of this act constitute
a new chapter in Title
Correct the title.
EFFECT: The striking amendment does the following:
(1) Allows blood relatives to register as domestic partners; adds
the requirement that the two persons must be prohibited from marrying
each other under state law to register as domestic partners. To
register, domestic partners must file with the Secretary of State a
"declaration of domestic partners in a mutual beneficiary contract."
(2) Recognizes as Washington domestic partnerships those civil
unions, domestic partnerships, and other relationships created in other
states, provided that the parties meet the requirements under the act.