David Greenberg advises an array of health care industry clients, ranging from for-profit and publicly-traded companies to not-for-profit and physician-owned providers, with a particular focus on health care regulatory compliance, fraud and abuse, and managed care arrangements.
David concentrates his practice on regulatory issues related to the Affordable Care Act, the False Claims Act, the Anti-Kickback Act, the Stark Laws, managed care laws, state licensure, self-disclosures, reimbursement and payment, and participation in Medicare, Medicaid, and other government health care programs. He is experienced in conducting internal investigations and representing health care companies in state and federal audits, enforcement actions, False Claims Act investigations, and litigation.
Additionally, David has particular insight into the issues surrounding managed care contracting and routinely represents health care providers in significant reimbursement and coverage disputes and litigation with managed care companies, health insurers, third-party administrators, FEHB plans, Medicare Advantage plans, Medicaid managed care plans, and employer-sponsored health plans. His work frequently addresses compliance with ERISA, COBRA, the Affordable Care Act, the Medicare Secondary Payer Act, the FEHB Act, the Medicare Advantage program, Medicaid managed care programs, and state insurance laws.
David regularly speaks and writes on legal issues impacting the health care industry. He is lead editor of the Practising Law Institute treatise Health Care Litigation and Risk Management Answer Book.