Authorizing Statute

PLAW-115publ390.pdf

Vulnerability Discovery Program

Authorizing Statute

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PUBLIC LAW 115–390—DEC. 21, 2018

132 STAT. 5173

Public Law 115–390
115th Congress
An Act
To require the Secretary of Homeland Security to establish a security vulnerability
disclosure policy, to establish a bug bounty program for the Department of Homeland Security, to amend title 41, United States Code, to provide for Federal
acquisition supply chain security, and for other purposes.

Be it enacted by the Senate and House of Representatives of
the United States of America in Congress assembled,
SECTION 1. SHORT TITLE; TABLE OF CONTENTS.

(a) SHORT TITLE.—This Act may be cited as the ‘‘Strengthening
and Enhancing Cyber-capabilities by Utilizing Risk Exposure Technology Act’’ or the ‘‘SECURE Technology Act’’.
(b) TABLE OF CONTENTS.—The table of contents for this Act
is as follows:

Dec. 21, 2018
[H.R. 7327]

Strengthening
and Enhancing
Cybercapabilities by
Utilizing Risk
Exposure
Technology Act.
41 USC 101 note.

Sec. 1. Short title; table of contents.
TITLE I—DEPARTMENT OF HOMELAND SECURITY INFORMATION
SECURITY AND OTHER MATTERS
Sec. 101. Department of Homeland Security disclosure of security vulnerabilities.
Sec. 102. Department of Homeland Security bug bounty pilot program.
Sec. 103. Congressional submittal of reports relating to certain special access programs and similar programs.
TITLE II—FEDERAL ACQUISITION SUPPLY CHAIN SECURITY
Sec. 201. Short title.
Sec. 202. Federal acquisition supply chain security.
Sec. 203. Authorities of executive agencies relating to mitigating supply chain risks
in the procurement of covered articles.
Sec. 204. Federal Information Security Modernization Act.
Sec. 205. Effective date.

TITLE I—DEPARTMENT OF HOMELAND
SECURITY INFORMATION SECURITY
AND OTHER MATTERS

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SEC. 101. DEPARTMENT OF HOMELAND SECURITY DISCLOSURE OF
SECURITY VULNERABILITIES.

6 USC 663 note.

(a) VULNERABILITY DISCLOSURE POLICY.—The Secretary of
Homeland Security shall establish a policy applicable to individuals,
organizations, and companies that report security vulnerabilities
on appropriate information systems of Department of Homeland
Security. Such policy shall include each of the following:

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132 STAT. 5174

Criteria.

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PUBLIC LAW 115–390—DEC. 21, 2018

(1) The appropriate information systems of the Department
that individuals, organizations, and companies may use to discover and report security vulnerabilities on appropriate
information systems.
(2) The conditions and criteria under which individuals,
organizations, and companies may operate to discover and
report security vulnerabilities.
(3) How individuals, organizations, and companies may
disclose to the Department security vulnerabilities discovered
on appropriate information systems of the Department.
(4) The ways in which the Department may communicate
with individuals, organizations, and companies that report security vulnerabilities.
(5) The process the Department shall use for public disclosure of reported security vulnerabilities.
(b) REMEDIATION PROCESS.—The Secretary of Homeland Security shall develop a process for the Department of Homeland Security to address the mitigation or remediation of the security
vulnerabilities reported through the policy developed in subsection
(a).
(c) CONSULTATION.—
(1) IN GENERAL.—In developing the security vulnerability
disclosure policy under subsection (a), the Secretary of Homeland Security shall consult with each of the following:
(A) The Attorney General regarding how to ensure
that individuals, organizations, and companies that comply
with the requirements of the policy developed under subsection (a) are protected from prosecution under section
1030 of title 18, United States Code, civil lawsuits, and
similar provisions of law with respect to specific activities
authorized under the policy.
(B) The Secretary of Defense and the Administrator
of General Services regarding lessons that may be applied
from existing vulnerability disclosure policies.
(C) Non-governmental security researchers.
(2) NONAPPLICABILITY OF FACA.—The Federal Advisory
Committee Act (5 U.S.C. App.) shall not apply to any consultation under this section.
(d) PUBLIC AVAILABILITY.—The Secretary of Homeland Security
shall make the policy developed under subsection (a) publicly available.
(e) SUBMISSION TO CONGRESS.—
(1) DISCLOSURE POLICY AND REMEDIATION PROCESS.—Not
later than 90 days after the date of the enactment of this
Act, the Secretary of Homeland Security shall submit to the
appropriate congressional committees a copy of the policy
required under subsection (a) and the remediation process
required under subsection (b).
(2) REPORT AND BRIEFING.—
(A) REPORT.—Not later than one year after establishing
the policy required under subsection (a), the Secretary of
Homeland Security shall submit to the appropriate congressional committees a report on such policy and the remediation process required under subsection (b).
(B) ANNUAL BRIEFINGS.—One year after the date of
the submission of the report under subparagraph (A), and
annually thereafter for each of the next three years, the

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PUBLIC LAW 115–390—DEC. 21, 2018

132 STAT. 5175

Secretary of Homeland Security shall provide to the appropriate congressional committees a briefing on the policy
required under subsection (a) and the process required
under subsection (b).
(C) MATTERS FOR INCLUSION.—The report required
under subparagraph (A) and the briefings required under
subparagraph (B) shall include each of the following with
respect to the policy required under subsection (a) and
the process required under subsection (b) for the period
covered by the report or briefing, as the case may be:
(i) The number of unique security vulnerabilities
reported.
(ii) The number of previously unknown security
vulnerabilities mitigated or remediated.
(iii) The number of unique individuals, organizations, and companies that reported security
vulnerabilities.
(iv) The average length of time between the
reporting of security vulnerabilities and mitigation or
remediation of such vulnerabilities.
(f) DEFINITIONS.—In this section:
(1) The term ‘‘security vulnerability’’ has the meaning given
that term in section 102(17) of the Cybersecurity Information
Sharing Act of 2015 (6 U.S.C. 1501(17)), in information technology.
(2) The term ‘‘information system’’ has the meaning given
that term by section 3502 of title 44, United States Code.
(3) The term ‘‘appropriate information system’’ means an
information system that the Secretary of Homeland Security
selects for inclusion under the vulnerability disclosure policy
required by subsection (a).
(4) The term ‘‘appropriate congressional committees’’
means—
(A) the Committee on Homeland Security, the Committee on Armed Services, the Committee on Energy and
Commerce, and the Permanent Select Committee on Intelligence of the House of Representatives; and
(B) the Committee on Homeland Security and Governmental Affairs, the Committee on Armed Services, the Committee on Commerce, Science, and Transportation, and the
Select Committee on Intelligence of the Senate.

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SEC. 102. DEPARTMENT OF HOMELAND SECURITY BUG BOUNTY PILOT
PROGRAM.

6 USC 663 note.

(a) DEFINITIONS.—In this section:
(1) The term ‘‘appropriate congressional committees’’
means—
(A) the Committee on Homeland Security and Governmental Affairs of the Senate;
(B) the Select Committee on Intelligence of the Senate;
(C) the Committee on Homeland Security of the House
of Representatives; and
(D) Permanent Select Committee on Intelligence of
the House of Representatives.
(2) The term ‘‘bug bounty program’’ means a program under
which—

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132 STAT. 5176

6 USC 651 note.

Deadline.

Criteria.

Consultation.

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Consultation.

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PUBLIC LAW 115–390—DEC. 21, 2018
(A) individuals, organizations, and companies are
temporarily
authorized
to
identify
and
report
vulnerabilities of appropriate information systems of the
Department; and
(B) eligible individuals, organizations, and companies
receive compensation in exchange for such reports.
(3) The term ‘‘Department’’ means the Department of
Homeland Security.
(4) The term ‘‘eligible individual, organization, or company’’
means an individual, organization, or company that meets such
criteria as the Secretary determines in order to receive compensation in compliance with Federal laws.
(5) The term ‘‘information system’’ has the meaning given
the term in section 3502 of title 44, United States Code.
(6) The term ‘‘pilot program’’ means the bug bounty pilot
program required to be established under subsection (b)(1).
(7) The term ‘‘Secretary’’ means the Secretary of Homeland
Security.
(b) BUG BOUNTY PILOT PROGRAM.—
(1) ESTABLISHMENT.—Not later than 180 days after the
date of enactment of this Act, the Secretary shall establish,
within the Office of the Chief Information Officer, a bug bounty
pilot program to minimize vulnerabilities of appropriate
information systems of the Department.
(2) RESPONSIBILITIES OF SECRETARY.—In establishing and
conducting the pilot program, the Secretary shall—
(A) designate appropriate information systems to be
included in the pilot program;
(B) provide compensation to eligible individuals,
organizations, and companies for reports of previously
unidentified security vulnerabilities within the information
systems designated under subparagraph (A);
(C) establish criteria for individuals, organizations, and
companies to be considered eligible for compensation under
the pilot program in compliance with Federal laws;
(D) consult with the Attorney General on how to ensure
that approved individuals, organizations, or companies that
comply with the requirements of the pilot program are
protected from prosecution under section 1030 of title 18,
United States Code, and similar provisions of law, and
civil lawsuits for specific activities authorized under the
pilot program;
(E) consult with the Secretary of Defense and the heads
of other departments and agencies that have implemented
programs to provide compensation for reports of previously
undisclosed vulnerabilities in information systems,
regarding lessons that may be applied from such programs;
and
(F) develop an expeditious process by which an individual, organization, or company can register with the
Department, submit to a background check as determined
by the Department, and receive a determination as to
eligibility; and
(G) engage qualified interested persons, including nongovernment sector representatives, about the structure of
the pilot program as constructive and to the extent practicable.

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PUBLIC LAW 115–390—DEC. 21, 2018

132 STAT. 5177

(3) CONTRACT AUTHORITY.—In establishing the pilot program, the Secretary, subject to the availability of appropriations, may award 1 or more competitive contracts to an entity,
as necessary, to manage the pilot program.
(c) REPORT TO CONGRESS.—Not later than 180 days after the
date on which the pilot program is completed, the Secretary shall
submit to the appropriate congressional committees a report on
the pilot program, which shall include—
(1) the number of individuals, organizations, or companies
that participated in the pilot program, broken down by the
number of individuals, organizations, or companies that—
(A) registered;
(B) were determined eligible;
(C) submitted security vulnerabilities; and
(D) received compensation;
(2) the number and severity of vulnerabilities reported
as part of the pilot program;
(3) the number of previously unidentified security
vulnerabilities remediated as a result of the pilot program;
(4) the current number of outstanding previously unidentified security vulnerabilities and Department remediation plans;
(5) the average length of time between the reporting of
security vulnerabilities and remediation of the vulnerabilities;
(6) the types of compensation provided under the pilot
program; and
(7) the lessons learned from the pilot program.
(d) AUTHORIZATION OF APPROPRIATIONS.—There is authorized
to be appropriated to the Department $250,000 for fiscal year
2019 to carry out this section.

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SEC. 103. CONGRESSIONAL SUBMITTAL OF REPORTS RELATING TO
CERTAIN SPECIAL ACCESS PROGRAMS AND SIMILAR PROGRAMS.

The National Defense Authorization Act for Fiscal Year 1994
(50 U.S.C. 3348) is amended—
(1) by striking ‘‘Congress’’ each place it appears and
inserting ‘‘the congressional oversight committees’’;
(2) in subsection (f)(1), by striking ‘‘appropriate oversight
committees’’ and inserting ‘‘congressional oversight committees’’; and
(3) in subsection (g)—
(A) by redesignating paragraphs (1) and (2) as paragraphs (2) and (3), respectively; and
(B) by inserting before paragraph (2), as so redesignated, the following:
‘‘(1) CONGRESSIONAL OVERSIGHT COMMITTEES.—The term
‘congressional oversight committees’ means—
‘‘(A) congressional leadership and authorizing and
appropriations congressional committees with jurisdiction
or shared jurisdiction over a department or agency;
‘‘(B) the Committee on Homeland Security and Governmental Affairs of the Senate; and
‘‘(C) the Committee on Oversight and Government
Reform of the House of Representatives.’’.

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132 STAT. 5178
Federal
Acquisition
Supply Chain
Security Act
of 2018.
41 USC 101 note.

PUBLIC LAW 115–390—DEC. 21, 2018

TITLE II—FEDERAL ACQUISITION
SUPPLY CHAIN SECURITY
SEC. 201. SHORT TITLE.

This title may be cited as the ‘‘Federal Acquisition Supply
Chain Security Act of 2018’’.
SEC. 202. FEDERAL ACQUISITION SUPPLY CHAIN SECURITY.
41 USC 1321
prec.

(a) IN GENERAL.—Chapter 13 of title 41, United States Code,
is amended by adding at the end the following new subchapter:

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‘‘SUBCHAPTER III—FEDERAL ACQUISITION SUPPLY CHAIN
SECURITY

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41 USC 1321.

‘‘§ 1321. Definitions
‘‘In this subchapter:
‘‘(1) APPROPRIATE CONGRESSIONAL COMMITTEES AND
LEADERSHIP.—The term ‘appropriate congressional committees
and leadership’ means—
‘‘(A) the Committee on Homeland Security and Governmental Affairs, the Committee on the Judiciary, the Committee on Appropriations, the Committee on Armed Services, the Committee on Commerce, Science, and Transportation, the Select Committee on Intelligence, and the
majority and minority leader of the Senate; and
‘‘(B) the Committee on Oversight and Government
Reform, the Committee on the Judiciary, the Committee
on Appropriations, the Committee on Homeland Security,
the Committee on Armed Services, the Committee on
Energy and Commerce, the Permanent Select Committee
on Intelligence, and the Speaker and minority leader of
the House of Representatives.
‘‘(2) COUNCIL.—The term ‘Council’ means the Federal
Acquisition Security Council established under section 1322(a)
of this title.
‘‘(3) COVERED ARTICLE.—The term ‘covered article’ has the
meaning given that term in section 4713 of this title.
‘‘(4) COVERED PROCUREMENT ACTION.—The term ‘covered
procurement action’ has the meaning given that term in section
4713 of this title.
‘‘(5) INFORMATION AND COMMUNICATIONS TECHNOLOGY.—
The term ‘information and communications technology’ has the
meaning given that term in section 4713 of this title.
‘‘(6) INTELLIGENCE COMMUNITY.—The term ‘intelligence
community’ has the meaning given that term in section 3(4)
of the National Security Act of 1947 (50 U.S.C. 3003(4)).
‘‘(7) NATIONAL SECURITY SYSTEM.—The term ‘national security system’ has the meaning given that term in section 3552
of title 44.
‘‘(8) SUPPLY CHAIN RISK.—The term ‘supply chain risk’ has
the meaning given that term in section 4713 of this title.

41 USC 1322.

‘‘§ 1322. Federal Acquisition Security Council establishment
and membership
‘‘(a) ESTABLISHMENT.—There is established in the executive
branch a Federal Acquisition Security Council.

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PUBLIC LAW 115–390—DEC. 21, 2018

132 STAT. 5179

‘‘(b) MEMBERSHIP.—
‘‘(1) IN GENERAL.—The following agencies shall be represented on the Council:
‘‘(A) The Office of Management and Budget.
‘‘(B) The General Services Administration.
‘‘(C) The Department of Homeland Security, including
the Cybersecurity and Infrastructure Security Agency.
‘‘(D) The Office of the Director of National Intelligence,
including the National Counterintelligence and Security
Center.
‘‘(E) The Department of Justice, including the Federal
Bureau of Investigation.
‘‘(F) The Department of Defense, including the National
Security Agency.
‘‘(G) The Department of Commerce, including the
National Institute of Standards and Technology.
‘‘(H) Such other executive agencies as determined by
the Chairperson of the Council.
‘‘(2) LEAD REPRESENTATIVES.—
‘‘(A) DESIGNATION.—
‘‘(i) IN GENERAL.—Not later than 45 days after
the date of the enactment of the Federal Acquisition
Supply Chain Security Act of 2018, the head of each
agency represented on the Council shall designate a
representative of that agency as the lead representative
of the agency on the Council.
‘‘(ii) REQUIREMENTS.—The representative of an
agency designated under clause (i) shall have expertise
in supply chain risk management, acquisitions, or
information and communications technology.
‘‘(B) FUNCTIONS.—The lead representative of an agency
designated under subparagraph (A) shall ensure that
appropriate personnel, including leadership and subject
matter experts of the agency, are aware of the business
of the Council.
‘‘(c) CHAIRPERSON.—
‘‘(1) DESIGNATION.—Not later than 45 days after the date
of the enactment of the Federal Acquisition Supply Chain Security Act of 2018, the Director of the Office of Management
and Budget shall designate a senior-level official from the Office
of Management and Budget to serve as the Chairperson of
the Council.
‘‘(2) FUNCTIONS.—The Chairperson shall perform functions
that include—
‘‘(A) subject to subsection (d), developing a schedule
for meetings of the Council;
‘‘(B) designating executive agencies to be represented
on the Council under subsection (b)(1)(H);
‘‘(C) in consultation with the lead representative of
each agency represented on the Council, developing a
charter for the Council; and
‘‘(D) not later than 7 days after completion of the
charter, submitting the charter to the appropriate congressional committees and leadership.
‘‘(d) MEETINGS.—The Council shall meet not later than 60 days
after the date of the enactment of the Federal Acquisition Supply

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132 STAT. 5180

PUBLIC LAW 115–390—DEC. 21, 2018

Chain Security Act of 2018 and not less frequently than quarterly
thereafter.
41 USC 1323.

Recommendations.

Criteria.

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‘‘§ 1323. Functions and authorities
‘‘(a) IN GENERAL.—The Council shall perform functions that
include the following:
‘‘(1) Identifying and recommending development by the
National Institute of Standards and Technology of supply chain
risk management standards, guidelines, and practices for executive agencies to use when assessing and developing mitigation
strategies to address supply chain risks, particularly in the
acquisition and use of covered articles under section 1326(a)
of this title.
‘‘(2) Identifying or developing criteria for sharing information with executive agencies, other Federal entities, and nonFederal entities with respect to supply chain risk, including
information related to the exercise of authorities provided under
this section and sections 1326 and 4713 of this title. At a
minimum, such criteria shall address—
‘‘(A) the content to be shared;
‘‘(B) the circumstances under which sharing is mandated or voluntary; and
‘‘(C) the circumstances under which it is appropriate
for an executive agency to rely on information made available through such sharing in exercising the responsibilities
and authorities provided under this section and section
4713 of this title.
‘‘(3) Identifying an appropriate executive agency to—
‘‘(A) accept information submitted by executive agencies based on the criteria established under paragraph
(2);
‘‘(B) facilitate the sharing of information received under
subparagraph (A) to support supply chain risk analyses
under section 1326 of this title, recommendations under
this section, and covered procurement actions under section
4713 of this title;
‘‘(C) share with the Council information regarding covered procurement actions by executive agencies taken
under section 4713 of this title; and
‘‘(D) inform the Council of orders issued under this
section.
‘‘(4) Identifying, as appropriate, executive agencies to provide—
‘‘(A) shared services, such as support for making risk
assessments, validation of products that may be suitable
for acquisition, and mitigation activities; and
‘‘(B) common contract solutions to support supply chain
risk management activities, such as subscription services
or machine-learning-enhanced analysis applications to support informed decision making.
‘‘(5) Identifying and issuing guidance on additional steps
that may be necessary to address supply chain risks arising
in the course of executive agencies providing shared services,
common contract solutions, acquisitions vehicles, or assisted
acquisitions.
‘‘(6) Engaging with the private sector and other nongovernmental stakeholders in performing the functions described in

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PUBLIC LAW 115–390—DEC. 21, 2018

132 STAT. 5181

paragraphs (1) and (2) and on issues relating to the management of supply chain risks posed by the acquisition of covered
articles.
‘‘(7) Carrying out such other actions, as determined by
the Council, that are necessary to reduce the supply chain
risks posed by acquisitions and use of covered articles.
‘‘(b) PROGRAM OFFICE AND COMMITTEES.—The Council may
establish a program office and any committees, working groups,
or other constituent bodies the Council deems appropriate, in its
sole and unreviewable discretion, to carry out its functions.
‘‘(c) AUTHORITY FOR EXCLUSION OR REMOVAL ORDERS.—
‘‘(1) CRITERIA.—To reduce supply chain risk, the Council
shall establish criteria and procedures for—
‘‘(A) recommending orders applicable to executive agencies requiring the exclusion of sources or covered articles
from executive agency procurement actions (in this section
referred to as ‘exclusion orders’);
‘‘(B) recommending orders applicable to executive agencies requiring the removal of covered articles from executive
agency information systems (in this section referred to
as ‘removal orders’);
‘‘(C) requesting and approving exceptions to an issued
exclusion or removal order when warranted by circumstances, including alternative mitigation actions or
other findings relating to the national interest, including
national security reviews, national security investigations,
or national security agreements; and
‘‘(D) ensuring that recommended orders do not conflict
with standards and guidelines issued under section 11331
of title 40 and that the Council consults with the Director
of the National Institute of Standards and Technology
regarding any recommended orders that would implement
standards and guidelines developed by the National
Institute of Standards and Technology.
‘‘(2) RECOMMENDATIONS.—The Council shall use the criteria
established under paragraph (1), information made available
under subsection (a)(3), and any other information the Council
determines appropriate to issue recommendations, for application to executive agencies or any subset thereof, regarding
the exclusion of sources or covered articles from any executive
agency procurement action, including source selection and consent for a contractor to subcontract, or the removal of covered
articles from executive agency information systems. Such recommendations shall include—
‘‘(A) information necessary to positively identify the
sources or covered articles recommended for exclusion or
removal;
‘‘(B) information regarding the scope and applicability
of the recommended exclusion or removal order;
‘‘(C) a summary of any risk assessment reviewed or
conducted in support of the recommended exclusion or
removal order;
‘‘(D) a summary of the basis for the recommendation,
including a discussion of less intrusive measures that were
considered and why such measures were not reasonably
available to reduce supply chain risk;

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132 STAT. 5182

‘‘(E) a description of the actions necessary to implement
the recommended exclusion or removal order; and
‘‘(F) where practicable, in the Council’s sole and
unreviewable discretion, a description of mitigation steps
that could be taken by the source that may result in
the Council rescinding a recommendation.
‘‘(3) NOTICE OF RECOMMENDATION AND REVIEW.—A notice
of the Council’s recommendation under paragraph (2) shall
be issued to any source named in the recommendation
advising—
‘‘(A) that a recommendation has been made;
‘‘(B) of the criteria the Council relied upon under paragraph (1) and, to the extent consistent with national security and law enforcement interests, of information that
forms the basis for the recommendation;
‘‘(C) that, within 30 days after receipt of notice, the
source may submit information and argument in opposition
to the recommendation;
‘‘(D) of the procedures governing the review and possible issuance of an exclusion or removal order pursuant
to paragraph (5); and
‘‘(E) where practicable, in the Council’s sole and
unreviewable discretion, a description of mitigation steps
that could be taken by the source that may result in
the Council rescinding the recommendation.
‘‘(4) CONFIDENTIALITY.—Any notice issued to a source under
paragraph (3) shall be kept confidential until—
‘‘(A) an exclusion or removal order is issued pursuant
to paragraph (5); and
‘‘(B) the source has been notified pursuant to paragraph
(6).
‘‘(5) EXCLUSION AND REMOVAL ORDERS.—
‘‘(A) ORDER ISSUANCE.—Recommendations of the
Council under paragraph (2), together with any information
submitted by a source under paragraph (3) related to such
a recommendation, shall be reviewed by the following officials, who may issue exclusion and removal orders based
upon such recommendations:
‘‘(i) The Secretary of Homeland Security, for exclusion and removal orders applicable to civilian agencies,
to the extent not covered by clause (ii) or (iii).
‘‘(ii) The Secretary of Defense, for exclusion and
removal orders applicable to the Department of
Defense and national security systems other than sensitive compartmented information systems.
‘‘(iii) The Director of National Intelligence, for
exclusion and removal orders applicable to the intelligence community and sensitive compartmented
information systems, to the extent not covered by
clause (ii).
‘‘(B) DELEGATION.—The officials identified in subparagraph (A) may not delegate any authority under this
subparagraph to an official below the level one level below
the Deputy Secretary or Principal Deputy Director, except
that the Secretary of Defense may delegate authority for
removal orders to the Commander of the United States
Cyber Command, who may not redelegate such authority

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PUBLIC LAW 115–390—DEC. 21, 2018

132 STAT. 5183

to an official below the level one level below the Deputy
Commander.
‘‘(C) FACILITATION OF EXCLUSION ORDERS.—If officials
identified under this paragraph from the Department of
Homeland Security, the Department of Defense, and the
Office of the Director of National Intelligence issue orders
collectively resulting in a governmentwide exclusion, the
Administrator for General Services and officials at other
executive agencies responsible for management of the Federal Supply Schedules, governmentwide acquisition contracts and multi-agency contracts shall help facilitate
implementation of such orders by removing the covered
articles or sources identified in the orders from such contracts.
‘‘(D) REVIEW OF EXCLUSION AND REMOVAL ORDERS.—
The officials identified under this paragraph shall review
all exclusion and removal orders issued under subparagraph (A) not less frequently than annually pursuant to
procedures established by the Council.
‘‘(E) RESCISSION.—Orders issued pursuant to subparagraph (A) may be rescinded by an authorized official from
the relevant issuing agency.
‘‘(6) NOTIFICATIONS.—Upon issuance of an exclusion or
removal order pursuant to paragraph (5)(A), the official identified under that paragraph who issued the order shall—
‘‘(A) notify any source named in the order of—
‘‘(i) the exclusion or removal order; and
‘‘(ii) to the extent consistent with national security
and law enforcement interests, information that forms
the basis for the order;
‘‘(B) provide classified or unclassified notice of the
exclusion or removal order to the appropriate congressional
committees and leadership; and
‘‘(C) provide the exclusion or removal order to the
agency identified in subsection (a)(3).
‘‘(7) COMPLIANCE.—Executive agencies shall comply with
exclusion and removal orders issued pursuant to paragraph
(5).
‘‘(d) AUTHORITY TO REQUEST INFORMATION.—The Council may
request such information from executive agencies as is necessary
for the Council to carry out its functions.
‘‘(e) RELATIONSHIP TO OTHER COUNCILS.—The Council shall
consult and coordinate, as appropriate, with other relevant councils
and interagency committees, including the Chief Information Officers Council, the Chief Acquisition Officers Council, the Federal
Acquisition Regulatory Council, and the Committee on Foreign
Investment in the United States, with respect to supply chain
risks posed by the acquisition and use of covered articles.
‘‘(f) RULES OF CONSTRUCTION.—Nothing in this section shall
be construed—
‘‘(1) to limit the authority of the Office of Federal Procurement Policy to carry out the responsibilities of that Office
under any other provision of law; or
‘‘(2) to authorize the issuance of an exclusion or removal
order based solely on the fact of foreign ownership of a potential
procurement source that is otherwise qualified to enter into
procurement contracts with the Federal Government.

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Consultation.
Coordination.

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132 STAT. 5184
41 USC 1324.
Deadline.

Criteria.

Recommendations.
Recommendations.
Evaluation.

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Deadline.

‘‘§ 1324. Strategic plan
‘‘(a) IN GENERAL.—Not later than 180 days after the date of
the enactment of the Federal Acquisition Supply Chain Security
Act of 2018, the Council shall develop a strategic plan for addressing
supply chain risks posed by the acquisition of covered articles
and for managing such risks that includes—
‘‘(1) the criteria and processes required under section
1323(a) of this title, including a threshold and requirements
for sharing relevant information about such risks with all
executive agencies and, as appropriate, with other Federal entities and non-Federal entities;
‘‘(2) an identification of existing authorities for addressing
such risks;
‘‘(3) an identification and promulgation of best practices
and procedures and available resources for executive agencies
to assess and mitigate such risks;
‘‘(4) recommendations for any legislative, regulatory, or
other policy changes to improve efforts to address such risks;
‘‘(5) recommendations for any legislative, regulatory, or
other policy changes to incentivize the adoption of best practices
for supply chain risk management by the private sector;
‘‘(6) an evaluation of the effect of implementing new policies
or procedures on existing contracts and the procurement
process;
‘‘(7) a plan for engaging with executive agencies, the private
sector, and other nongovernmental stakeholders to address such
risks;
‘‘(8) a plan for identification, assessment, mitigation, and
vetting of supply chain risks from existing and prospective
information and communications technology made available by
executive agencies to other executive agencies through common
contract solutions, shared services, acquisition vehicles, or other
assisted acquisition services; and
‘‘(9) plans to strengthen the capacity of all executive agencies to conduct assessments of—
‘‘(A) the supply chain risk posed by the acquisition
of covered articles; and
‘‘(B) compliance with the requirements of this subchapter.
‘‘(b) SUBMISSION TO CONGRESS.—Not later than 7 calendar days
after completion of the strategic plan required by subsection (a),
the Chairperson of the Council shall submit the plan to the appropriate congressional committees and leadership.

41 USC 1325.

‘‘§ 1325. Annual report
‘‘Not later than December 31 of each year, the Chairperson
of the Council shall submit to the appropriate congressional committees and leadership a report on the activities of the Council during
the preceding 12-month period.

41 USC 1326.

‘‘§ 1326. Requirements for executive agencies
‘‘(a) IN GENERAL.—The head of each executive agency shall
be responsible for—
‘‘(1) assessing the supply chain risk posed by the acquisition
and use of covered articles and avoiding, mitigating, accepting,
or transferring that risk, as appropriate and consistent with

Assessment.

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PUBLIC LAW 115–390—DEC. 21, 2018

132 STAT. 5185

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the standards, guidelines, and practices identified by the
Council under section 1323(a)(1); and
‘‘(2) prioritizing supply chain risk assessments conducted
under paragraph (1) based on the criticality of the mission,
system, component, service, or asset.
‘‘(b) INCLUSIONS.—The responsibility for assessing supply chain
risk described in subsection (a) includes—
‘‘(1) developing an overall supply chain risk management
strategy and implementation plan and policies and processes
to guide and govern supply chain risk management activities;
‘‘(2) integrating supply chain risk management practices
throughout the life cycle of the system, component, service,
or asset;
‘‘(3) limiting, avoiding, mitigating, accepting, or transferring any identified risk;
‘‘(4) sharing relevant information with other executive
agencies as determined appropriate by the Council in a manner
consistent with section 1323(a) of this title;
‘‘(5) reporting on progress and effectiveness of the agency’s
supply chain risk management consistent with guidance issued
by the Office of Management and Budget and the Council;
and
‘‘(6) ensuring that all relevant information, including classified information, with respect to acquisitions of covered articles
that may pose a supply chain risk, consistent with section
1323(a) of this title, is incorporated into existing processes
of the agency for conducting assessments described in subsection (a) and ongoing management of acquisition programs,
including any identification, investigation, mitigation, or
remediation needs.
‘‘(c) INTERAGENCY ACQUISITIONS.—
‘‘(1) IN GENERAL.—Except as provided in paragraph (2),
in the case of an interagency acquisition, subsection (a) shall
be carried out by the head of the executive agency whose
funds are being used to procure the covered article.
‘‘(2) ASSISTED ACQUISITIONS.—In an assisted acquisition,
the parties to the acquisition shall determine, as part of the
interagency agreement governing the acquisition, which agency
is responsible for carrying out subsection (a).
‘‘(3) DEFINITIONS.—In this subsection, the terms ‘assisted
acquisition’ and ‘interagency acquisition’ have the meanings
given those terms in section 2.101 of title 48, Code of Federal
Regulations (or any corresponding similar regulation or ruling).
‘‘(d) ASSISTANCE.—The Secretary of Homeland Security may—
‘‘(1) assist executive agencies in conducting risk assessments described in subsection (a) and implementing mitigation
requirements for information and communications technology;
and
‘‘(2) provide such additional guidance or tools as are necessary to support actions taken by executive agencies.
‘‘§ 1327. Judicial review procedures
‘‘(a) IN GENERAL.—Except as provided in subsection (b) and
chapter 71 of this title, and notwithstanding any other provision
of law, an action taken under section 1323 or 4713 of this title,
or any action taken by an executive agency to implement such
an action, shall not be subject to administrative review or judicial

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Strategy.
Plan.
Policy.
Processes.

Determination.

41 USC 1327.

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132 STAT. 5186

Deadline.

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Applicability.

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review, including bid protests before the Government Accountability
Office or in any Federal court.
‘‘(b) PETITIONS.—
‘‘(1) IN GENERAL.—Not later than 60 days after a party
is notified of an exclusion or removal order under section
1323(c)(6) of this title or a covered procurement action under
section 4713 of this title, the party may file a petition for
judicial review in the United States Court of Appeals for the
District of Columbia Circuit claiming that the issuance of the
exclusion or removal order or covered procurement action is
unlawful.
‘‘(2) STANDARD OF REVIEW.—The Court shall hold unlawful
a covered action taken under sections 1323 or 4713 of this
title, in response to a petition that the court finds to be—
‘‘(A) arbitrary, capricious, an abuse of discretion, or
otherwise not in accordance with law;
‘‘(B) contrary to constitutional right, power, privilege,
or immunity;
‘‘(C) in excess of statutory jurisdiction, authority, or
limitation, or short of statutory right;
‘‘(D) lacking substantial support in the administrative
record taken as a whole or in classified information submitted to the court under paragraph (3); or
‘‘(E) not in accord with procedures required by law.
‘‘(3) EXCLUSIVE JURISDICTION.—The United States Court
of Appeals for the District of Columbia Circuit shall have exclusive jurisdiction over claims arising under sections 1323(c)(5)
or 4713 of this title against the United States, any United
States department or agency, or any component or official of
any such department or agency, subject to review by the
Supreme Court of the United States under section 1254 of
title 28.
‘‘(4) ADMINISTRATIVE RECORD AND PROCEDURES.—
‘‘(A) IN GENERAL.—The procedures described in this
paragraph shall apply to the review of a petition under
this section.
‘‘(B) ADMINISTRATIVE RECORD.—
‘‘(i) FILING OF RECORD.—The United States shall
file with the court an administrative record, which
shall consist of the information that the appropriate
official relied upon in issuing an exclusion or removal
order under section 1323(c)(5) or a covered procurement action under section 4713 of this title.
‘‘(ii) UNCLASSIFIED, NONPRIVILEGED INFORMATION.—All unclassified information contained in the
administrative record that is not otherwise privileged
or subject to statutory protections shall be provided
to the petitioner with appropriate protections for any
privileged or confidential trade secrets and commercial
or financial information.
‘‘(iii) IN CAMERA AND EX PARTE.—The following
information may be included in the administrative
record and shall be submitted only to the court ex
parte and in camera:
‘‘(I) Classified information.

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PUBLIC LAW 115–390—DEC. 21, 2018

132 STAT. 5187

‘‘(II) Sensitive security information, as defined
by section 1520.5 of title 49, Code of Federal Regulations.
‘‘(III) Privileged law enforcement information.
‘‘(IV) Information obtained or derived from any
activity authorized under the Foreign Intelligence
Surveillance Act of 1978 (50 U.S.C. 1801 et seq.),
except that, with respect to such information, subsections (c), (e), (f), (g), and (h) of section 106
(50 U.S.C. 1806), subsections (d), (f), (g), (h), and
(i) of section 305 (50 U.S.C. 1825), subsections
(c), (e), (f), (g), and (h) of section 405 (50 U.S.C.
1845), and section 706 (50 U.S.C. 1881e) of that
Act shall not apply.
‘‘(V) Information subject to privilege or protections under any other provision of law.
‘‘(iv) UNDER SEAL.—Any information that is part
of the administrative record filed ex parte and in
camera under clause (iii), or cited by the court in
any decision, shall be treated by the court consistent
with the provisions of this subparagraph and shall
remain under seal and preserved in the records of
the court to be made available consistent with the
above provisions in the event of further proceedings.
In no event shall such information be released to the
petitioner or as part of the public record.
‘‘(v) RETURN.—After the expiration of the time to
seek further review, or the conclusion of further proceedings, the court shall return the administrative
record, including any and all copies, to the United
States.
‘‘(C) EXCLUSIVE REMEDY.—A determination by the court
under this subsection shall be the exclusive judicial remedy
for any claim described in this section against the United
States, any United States department or agency, or any
component or official of any such department or agency.
‘‘(D) RULE OF CONSTRUCTION.—Nothing in this section
shall be construed as limiting, superseding, or preventing
the invocation of, any privileges or defenses that are otherwise available at law or in equity to protect against the
disclosure of information.
‘‘(c) DEFINITION.—In this section, the term ‘classified information’—
‘‘(1) has the meaning given that term in section 1(a) of
the Classified Information Procedures Act (18 U.S.C. App.);
and
‘‘(2) includes—
‘‘(A) any information or material that has been determined by the United States Government pursuant to an
Executive order, statute, or regulation to require protection
against unauthorized disclosure for reasons of national
security; and
‘‘(B) any restricted data, as defined in section 11 of
the Atomic Energy Act of 1954 (42 U.S.C. 2014).

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Determination.

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132 STAT. 5188

PUBLIC LAW 115–390—DEC. 21, 2018

‘‘§ 1328. Termination
‘‘This subchapter shall terminate on the date that is 5 years
after the date of the enactment of the Federal Acquisition Supply
Chain Security Act of 2018.’’.
(b) CLERICAL AMENDMENT.—The table of sections at the beginning of chapter 13 of such title is amended by adding at the
end the following new items:

41 USC 1328.

41 USC 1301
prec.

‘‘SUBCHAPTER
‘‘Sec.
‘‘1321.
‘‘1322.
‘‘1323.
‘‘1324.
‘‘1325.
‘‘1326.
‘‘1327.
‘‘1328.
Applicability.
41 USC 1321
note.
Deadlines.
41 USC 1321
note.

Public comments.

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Reports.
Estimate.

III—FEDERAL ACQUISITION SUPPLY CHAIN SECURITY

Definitions.
Federal Acquisition Security Council establishment and membership.
Functions and authorities.
Strategic plan.
Annual report.
Requirements for executive agencies.
Judicial review procedures.
Termination.’’.

(c) EFFECTIVE DATE.—The amendments made by this section
shall take effect on the date that is 90 days after the date of
the enactment of this Act and shall apply to contracts that are
awarded before, on, or after that date.
(d) IMPLEMENTATION.—
(1) INTERIM FINAL RULE.—Not later than one year after
the date of the enactment of this Act, the Federal Acquisition
Security Council shall prescribe an interim final rule to implement subchapter III of chapter 13 of title 41, United States
Code, as added by subsection (a).
(2) FINAL RULE.—Not later than one year after prescribing
the interim final rule under paragraph (1) and considering
public comments with respect to such interim final rule, the
Council shall prescribe a final rule to implement subchapter
III of chapter 13 of title 41, United States Code, as added
by subsection (a).
(3) FAILURE TO ACT.—
(A) IN GENERAL.—If the Council does not issue a final
rule in accordance with paragraph (2) on or before the
last day of the one-year period referred to in that paragraph, the Council shall submit to the appropriate congressional committees and leadership, not later than 10 days
after such last day and every 90 days thereafter until
the final rule is issued, a report explaining why the final
rule was not timely issued and providing an estimate of
the earliest date on which the final rule will be issued.
(B) APPROPRIATE CONGRESSIONAL COMMITTEES AND
LEADERSHIP DEFINED.—In this paragraph, the term ‘‘appropriate congressional committees and leadership’’ has the
meaning given that term in section 1321 of title 41, United
States Code, as added by subsection (a).
SEC. 203. AUTHORITIES OF EXECUTIVE AGENCIES RELATING TO MITIGATING SUPPLY CHAIN RISKS IN THE PROCUREMENT OF
COVERED ARTICLES.

(a) IN GENERAL.—Chapter 47 of title 41, United States Code,
is amended by adding at the end the following new section:

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PUBLIC LAW 115–390—DEC. 21, 2018

132 STAT. 5189

‘‘§ 4713. Authorities relating to mitigating supply chain risks
in the procurement of covered articles
‘‘(a) AUTHORITY.—Subject to subsection (b), the head of an
executive agency may carry out a covered procurement action.
‘‘(b) DETERMINATION AND NOTIFICATION.—Except as authorized
by subsection (c) to address an urgent national security interest,
the head of an executive agency may exercise the authority provided
in subsection (a) only after—
‘‘(1) obtaining a joint recommendation, in unclassified or
classified form, from the chief acquisition officer and the chief
information officer of the agency, or officials performing similar
functions in the case of executive agencies that do not have
such officials, which includes a review of any risk assessment
made available by the executive agency identified under section
1323(a)(3) of this title, that there is a significant supply chain
risk in a covered procurement;
‘‘(2) providing notice of the joint recommendation described
in paragraph (1) to any source named in the joint recommendation advising—
‘‘(A) that a recommendation is being considered or
has been obtained;
‘‘(B) to the extent consistent with the national security
and law enforcement interests, of information that forms
the basis for the recommendation;
‘‘(C) that, within 30 days after receipt of the notice,
the source may submit information and argument in opposition to the recommendation; and
‘‘(D) of the procedures governing the consideration of
the submission and the possible exercise of the authority
provided in subsection (a);
‘‘(3) making a determination in writing, in unclassified
or classified form, after considering any information submitted
by a source under paragraph (2) and in consultation with
the chief information security officer of the agency, that—
‘‘(A) use of the authority under subsection (a) is necessary to protect national security by reducing supply chain
risk;
‘‘(B) less intrusive measures are not reasonably available to reduce such supply chain risk; and
‘‘(C) the use of such authorities will apply to a single
covered procurement or a class of covered procurements,
and otherwise specifies the scope of the determination;
and
‘‘(4) providing a classified or unclassified notice of the determination made under paragraph (3) to the appropriate congressional committees and leadership that includes—
‘‘(A) the joint recommendation described in paragraph
(1);
‘‘(B) a summary of any risk assessment reviewed in
support of the joint recommendation required by paragraph
(1); and
‘‘(C) a summary of the basis for the determination,
including a discussion of less intrusive measures that were
considered and why such measures were not reasonably
available to reduce supply chain risk.
‘‘(c) PROCEDURES TO ADDRESS URGENT NATIONAL SECURITY
INTERESTS.—In any case in which the head of an executive agency

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41 USC 4713.

Recommendations.
Review.

Deadline.

Consultation.

Summaries.

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Deadline.

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Notice.
Deadline.

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PUBLIC LAW 115–390—DEC. 21, 2018

determines that an urgent national security interest requires the
immediate exercise of the authority provided in subsection (a),
the head of the agency—
‘‘(1) may, to the extent necessary to address such national
security interest, and subject to the conditions in paragraph
(2)—
‘‘(A) temporarily delay the notice required by subsection (b)(2);
‘‘(B) make the determination required by subsection
(b)(3), regardless of whether the notice required by subsection (b)(2) has been provided or whether the notified
source has submitted any information in response to such
notice;
‘‘(C) temporarily delay the notice required by subsection (b)(4); and
‘‘(D) exercise the authority provided in subsection (a)
in accordance with such determination within 60 calendar
days after the day the determination is made; and
‘‘(2) shall take actions necessary to comply with all requirements of subsection (b) as soon as practicable after addressing
the urgent national security interest, including—
‘‘(A) providing the notice required by subsection (b)(2);
‘‘(B) promptly considering any information submitted
by the source in response to such notice, and making any
appropriate modifications to the determination based on
such information;
‘‘(C) providing the notice required by subsection (b)(4),
including a description of the urgent national security
interest, and any modifications to the determination made
in accordance with subparagraph (B); and
‘‘(D) providing notice to the appropriate congressional
committees and leadership within 7 calendar days of the
covered procurement actions taken under this section.
‘‘(d) CONFIDENTIALITY.—The notice required by subsection (b)(2)
shall be kept confidential until a determination with respect to
a covered procurement action has been made pursuant to subsection
(b)(3).
‘‘(e) DELEGATION.—The head of an executive agency may not
delegate the authority provided in subsection (a) or the responsibility identified in subsection (f) to an official below the level one
level below the Deputy Secretary or Principal Deputy Director.
‘‘(f) ANNUAL REVIEW OF DETERMINATIONS.—The head of an
executive agency shall conduct an annual review of all determinations made by such head under subsection (b) and promptly amend
any covered procurement action as appropriate.
‘‘(g) REGULATIONS.—The Federal Acquisition Regulatory Council
shall prescribe such regulations as may be necessary to carry out
this section.
‘‘(h) REPORTS REQUIRED.—Not less frequently than annually,
the head of each executive agency that exercised the authority
provided in subsection (a) or (c) during the preceding 12-month
period shall submit to the appropriate congressional committees
and leadership a report summarizing the actions taken by the
agency under this section during that 12-month period.
‘‘(i) RULE OF CONSTRUCTION.—Nothing in this section shall
be construed to authorize the head of an executive agency to carry
out a covered procurement action based solely on the fact of foreign

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132 STAT. 5191

ownership of a potential procurement source that is otherwise qualified to enter into procurement contracts with the Federal Government.
‘‘(j) TERMINATION.—The authority provided under subsection
(a) shall terminate on the date that is 5 years after the date
of the enactment of the Federal Acquisition Supply Chain Security
Act of 2018.
‘‘(k) DEFINITIONS.—In this section:
‘‘(1) APPROPRIATE CONGRESSIONAL COMMITTEES AND
LEADERSHIP.—The term ‘appropriate congressional committees
and leadership’ means—
‘‘(A) the Committee on Homeland Security and Governmental Affairs, the Committee on the Judiciary, the Committee on Appropriations, the Committee on Armed Services, the Committee on Commerce, Science, and Transportation, the Select Committee on Intelligence, and the
majority and minority leader of the Senate; and
‘‘(B) the Committee on Oversight and Government
Reform, the Committee on the Judiciary, the Committee
on Appropriations, the Committee on Homeland Security,
the Committee on Armed Services, the Committee on
Energy and Commerce, the Permanent Select Committee
on Intelligence, and the Speaker and minority leader of
the House of Representatives.
‘‘(2) COVERED ARTICLE.—The term ‘covered article’ means—
‘‘(A) information technology, as defined in section 11101
of title 40, including cloud computing services of all types;
‘‘(B) telecommunications equipment or telecommunications service, as those terms are defined in section 3
of the Communications Act of 1934 (47 U.S.C. 153);
‘‘(C) the processing of information on a Federal or
non-Federal information system, subject to the requirements of the Controlled Unclassified Information program;
or
‘‘(D) hardware, systems, devices, software, or services
that include embedded or incidental information technology.
‘‘(3) COVERED PROCUREMENT.—The term ‘covered procurement’ means—
‘‘(A) a source selection for a covered article involving
either a performance specification, as provided in subsection (a)(3)(B) of section 3306 of this title, or an evaluation factor, as provided in subsection (b)(1)(A) of such section, relating to a supply chain risk, or where supply chain
risk considerations are included in the agency’s determination of whether a source is a responsible source as defined
in section 113 of this title;
‘‘(B) the consideration of proposals for and issuance
of a task or delivery order for a covered article, as provided
in section 4106(d)(3) of this title, where the task or delivery
order contract includes a contract clause establishing a
requirement relating to a supply chain risk;
‘‘(C) any contract action involving a contract for a
covered article where the contract includes a clause establishing requirements relating to a supply chain risk; or
‘‘(D) any other procurement in a category of procurements determined appropriate by the Federal Acquisition

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132 STAT. 5192

41 USC 4701
prec.

PUBLIC LAW 115–390—DEC. 21, 2018

Regulatory Council, with the advice of the Federal Acquisition Security Council.
‘‘(4) COVERED PROCUREMENT ACTION.—The term ‘covered
procurement action’ means any of the following actions, if the
action takes place in the course of conducting a covered procurement:
‘‘(A) The exclusion of a source that fails to meet qualification requirements established under section 3311 of
this title for the purpose of reducing supply chain risk
in the acquisition or use of covered articles.
‘‘(B) The exclusion of a source that fails to achieve
an acceptable rating with regard to an evaluation factor
providing for the consideration of supply chain risk in
the evaluation of proposals for the award of a contract
or the issuance of a task or delivery order.
‘‘(C) The determination that a source is not a responsible source as defined in section 113 of this title based
on considerations of supply chain risk.
‘‘(D) The decision to withhold consent for a contractor
to subcontract with a particular source or to direct a contractor to exclude a particular source from consideration
for a subcontract under the contract.
‘‘(5) INFORMATION AND COMMUNICATIONS TECHNOLOGY.—
The term ‘information and communications technology’ means—
‘‘(A) information technology, as defined in section 11101
of title 40;
‘‘(B) information systems, as defined in section 3502
of title 44; and
‘‘(C) telecommunications equipment and telecommunications services, as those terms are defined in section 3
of the Communications Act of 1934 (47 U.S.C. 153).
‘‘(6) SUPPLY CHAIN RISK.—The term ‘supply chain risk’
means the risk that any person may sabotage, maliciously
introduce unwanted function, extract data, or otherwise
manipulate the design, integrity, manufacturing, production,
distribution, installation, operation, maintenance, disposition,
or retirement of covered articles so as to surveil, deny, disrupt,
or otherwise manipulate the function, use, or operation of the
covered articles or information stored or transmitted on the
covered articles.
‘‘(7)
EXECUTIVE
AGENCY.—Notwithstanding
section
3101(c)(1), this section applies to the Department of Defense,
the Coast Guard, and the National Aeronautics and Space
Administration.’’.
(b) CLERICAL AMENDMENT.—The table of sections at the beginning of chapter 47 of such title is amended by adding at the
end the following new item:
‘‘4713. Authorities relating to mitigating supply chain risks in the procurement of
covered articles.’’.

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41 USC 4713
note.

(c) EFFECTIVE DATE.—The amendments made by this section
shall take effect on the date that is 90 days after the date of
the enactment of this Act and shall apply to contracts that are
awarded before, on, or after that date.
SEC. 204. FEDERAL INFORMATION SECURITY MODERNIZATION ACT.

(a) IN GENERAL.—Title 44, United States Code, is amended—

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PUBLIC LAW 115–390—DEC. 21, 2018

132 STAT. 5193

(1) in section 3553(a)(5), by inserting ‘‘and section 1326
of title 41’’ after ‘‘compliance with the requirements of this
subchapter’’; and
(2) in section 3554(a)(1)(B)—
(A) by inserting ‘‘, subchapter III of chapter 13 of
title 41,’’ after ‘‘complying with the requirements of this
subchapter’’;
(B) in clause (iv), by striking ‘‘; and’’ and inserting
a semicolon; and
(C) by adding at the end the following new clause:
‘‘(vi) responsibilities relating to assessing and
avoiding, mitigating, transferring, or accepting supply
chain risks under section 1326 of title 41, and complying with exclusion and removal orders issued under
section 1323 of such title; and’’.
(b) RULE OF CONSTRUCTION.—Nothing in this title shall be
construed to alter or impede any authority or responsibility under
section 3553 of title 44, United States Code.
SEC. 205. EFFECTIVE DATE.

This title shall take effect on the date that is 90 days after
the date of the enactment of this Act.

44 USC 3553
note.
41 USC 1321
note.

smartinez on DSK30VT082PROD with PUB LAWS PDF

Approved December 21, 2018.

LEGISLATIVE HISTORY—H.R. 7327:
CONGRESSIONAL RECORD, Vol. 164 (2018):
Dec. 19, considered and passed House and Senate.

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