{"database": "lobbying", "table": "lobbying_activities", "rows": [[1761949, "cb2ead77-c46d-4cfe-a9de-7e28a81071bd", "Q4", "THE VELASQUEZ GROUP, L.L.C.", 53403, "CHARLES SCHWAB & COMPANY", 2015, "fourth_quarter", "FIN", "Monitoring the Department of Labor's expected rulemaking to amend the definition of \"fiduciary\" under ERISA with the rulemaking authority provided to the S.E.C. in Section 913 of the Dodd-Frank Act regarding standards of care applicable to broker-dealers and investment advisors; H.R. 1090, Retail Investor Protection Act, all provisions, especially those relating to creation of a uniform fiduciary standard for brokers or dealers; Oversight pertaining to the Financial Stability Oversight Council.", "HOUSE OF REPRESENTATIVES,SENATE", 50000, null, 0, 0, "2016-01-02T20:46:58.300000-05:00"]], "columns": ["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"], "primary_keys": ["id"], "primary_key_values": ["1761949"], "units": {}, "query_ms": 0.3853311063721776, "source": "Federal Register API & Regulations.gov API", "source_url": "https://www.federalregister.gov/developers/api/v1", "license": "Public Domain (U.S. Government data)", "license_url": "https://www.regulations.gov/faq"}