{"database": "lobbying", "table": "lobbying_activities", "rows": [[620920, "8a1d2715-4bc6-4091-a5b8-fec275e2a21b", "2T", "DECHERT LLP", 11845, "FEDERATED INVESTORS, INC", 2008, "second_quarter", "FIN", "The treatment of broker-dealer funds held in money market funds under SEC Rules 15c3-1 and 15c3-3 and interpreting Rules 15c2-4 to permit the proceeds of a securities offering to be held in a money market fund; examining the regulation of broker-dealers and investment advisers and suggesting that Congress enact a new regulatory framework.", "Securities & Exchange Commission (SEC)", 10000, null, 0, 1, "2008-06-16T12:23:20-04:00"]], "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": ["620920"], "units": {}, "query_ms": 3.264756000135094, "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"}