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lobbying_activities: 1730645

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
1730645 3ae8b925-ec97-430e-a832-6797ec6e5c49 Q3 SIFF & ASSOCIATES PLLC 400665998 CENTER FOR CAPITAL MARKETS COMPETITIVENESS, U.S. CHAMBER OF COMMERCE 2015 third_quarter LBR H.R. 1090, the "Retail Investor Protection Act," legislation to prohibit the Secretary of Labor from prescribing any regulation under the Employee Retirement Income Security Act of 1974 (ERISA) defining the circumstances under which an individual is considered a fiduciary until 60 days after the Securities and Exchange Commission issues a final rule governing standards of conduct for brokers and dealers under specified law; entire bill. Reproposal of "Definition of the Term 'Fiduciary'" proposed rule and related prohibited transaction exemptions; RIN 1210-AB32; published April 20, 2015. HOUSE OF REPRESENTATIVES,SENATE 20000   0 0 2015-10-14T14:24:10.590000-04:00
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