- Lobbying
- Lobbying by Securities Industry and Financial Markets Association (SIFMA)
Lobbying Relationship
Bills mentioned
H.R.2827: Part D Beneficiary Appeals Fairness Act
Sponsor: Hank Johnson (D-Ga.)
H.R.2827: To amend the Securities Exchange Act of 1934 to clarify provisions...
Sponsor: Robert Dold (R-Ill.)
Lobbyists
Lobbyists named here were listed on a filing related to this lobbying engagement. They may not be working on it now. Occasionally, a single lobbyist whose name is spelled two different ways on filings may be represented twice here.
Lobbyist | Covered positions? |
---|---|
John Douglas | General Counsel, FDIC |
Randall Guynn | n/a |
None None | n/a |
Zachary Zweihorn | n/a |
Sahni Reena | n/a |
Randy Guynn | n/a |
Robert Colby | n/a |
Disclosures Filed
Once a lobbying engagement begins, the lobbyist or firm is required to file updates four times a year. Those updates sometimes change which lobbyists are involved or add new issues being discussed. When lobbyists stop working for a client, the firm is also supposed to file a report disclosing the end of the relationship.
U.S. Senate
Treasury - Dept of
Federal Reserve System
Federal Deposit Insurance Commission (FDIC)
U.S. Senate
Treasury - Dept of
Federal Reserve System
Federal Deposit Insurance Commission (FDIC)
U.S. Senate
Federal Deposit Insurance Commission (FDIC)
Treasury - Dept of
Federal Reserve System
U.S. House of Representatives
Federal Reserve System
Federal Deposit Insurance Commission (FDIC)
Treasury - Dept of
U.S. Senate
U.S. Senate
U.S. Senate
Source: Clerk of the U.S. House of Representatives and Secretary of the Senate