(a) The board by rule shall develop a system to monitor compliance with the requirements of this subtitle of license holders who are the subject of disciplinary action.
(b) Rules adopted under this section must include procedures to:
(1) monitor for compliance a license holder ordered by the board to perform certain acts; and
(2) identify and monitor license holders who are the subject of disciplinary action and who present a continuing threat to the public welfare through the practice of medicine.
(c) The board shall immediately investigate:
(1) a violation of a disciplinary order by a license holder described by Subsection (a); or
(2) a complaint filed against a license holder described by Subsection (a).