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lobbying_activities: 1442595

Individual lobbying activities reported in quarterly filings. Each row is one issue area for one client — includes the specific issues lobbied on, government entities contacted, and income/expense amounts.

Data license: Public Domain (U.S. Government data) · Data source: Federal Register API & Regulations.gov API

This data as json

id filing_uuid filing_type registrant_name registrant_id client_name filing_year filing_period issue_code specific_issues government_entities income_amount expense_amount is_no_activity is_termination received_date
1442595 1cb61cc6-385c-41d4-87eb-9e1cea18712f Q3 FINANCIAL SERVICES INSTITUTE 400712136 FINANCIAL SERVICES INSTITUTE 2013 third_quarter FIN H.R. 2374 Retail Investor Protection Act H.R. 2998 Investor Choice Act of 2013 S. 1282 21st Century Glass-Steagall Act of 2013 S. 1270 The Secure Annuities for Employee REtirement Act of 2013H.R. 1155 National Association of Registered Agents and Brokers Reform Act of 2013 SEC Proposed Rule on Money Market Reform SEC Final Rule on Municipal Advisor Registration SEC Proposed Pay Ratio Disclosure Rule SEC Regulation SCI on Systems Compliance and Integrity SEC Request for Data on Standard of Conduct for Broker-Dealers and Investment Advisors SEC Final Rule on Broker Dealer-Reports HOUSE OF REPRESENTATIVES,Labor, Dept of (DOL),Securities & Exchange Commission (SEC),SENATE   174750 0 0 2013-10-15T11:52:35.787000-04:00
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