- Lobbying
- Lobbying by SEC RULE 151A Coalition
Lobbying Relationship
Bills mentioned
H.R.2733: Fixed Indexed Annuities and Insurance Products Classification Act of 2009
Sponsor: Gregory W. Meeks (D-N.Y.)
S.1389: Fixed Indexed Annuities and Insurance Products Classification Act of 2009
Sponsor: Ben Nelson (D-Neb.)
H.R.4173: Dodd-Frank Wall Street Reform and Consumer Protection Act
Sponsor: Barney Frank (D-Mass.)
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? |
---|---|
Tom McDonald | Ambassador to Zimbabwe |
William Weber | Counsel, Subcommittee on Oversight of Govt Mgmt, Restructuring, and the District of Columbia, Senate Committee on Government Affairs Legislative Assistant to Senator Carl Levin Counsel, Subcommittee on Oversight of Govt Mgt, Senate Comm. on Govt. Affairs, Legislative |
Michael Oxley | U.S. Congressman |
Andrene Smith | n/a |
Matthew Raymer | 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
U.S. Senate
U.S. Senate
U.S. Senate
U.S. Senate
U.S. Senate
Source: Clerk of the U.S. House of Representatives and Secretary of the Senate