Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Financial services regulatory reform proposals.
Issues related to the retirement, mutual fund and securities industries.
Issues related to the systemic risk designation process.
Duration: November 1, 2007
to
February 1, 2017
General Issues: Banking , Financial Institutions/Investments/Securities , Retirement , Insurance , Taxation/Internal Revenue Code
Spending: about $855,500 (But it's complicated. Here's why.)
It can be tricky to figure out how much an organization spent on a particular lobbying engagement. The law only requires lobbyists to report the amount they were paid for federal lobbying each quarter rounded to the nearest $10,000—and if it's less than $3,000 in a given quarter (or less than $13,000 for organizations with in-house lobbyists), they don't have to disclose it at all. Plus, some organizations include spending that doesn’t belong in the report—for instance, money spent lobbying state governments or other legal work.
Agencies lobbied since 2007: U.S. Senate, House of Representatives, Y
Y
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?
Sam Geduldig
Dir of Coalitions, House Fin Serv Com 2001-03
Sr Advisor, Majority Whip Roy Blunt 2003-06
Sr. Advisor, Majority Whip Roy Blunt 2003-06
Amy Wren
Staff assistant, Congressman Todd Tiahrt 1997-99
Conf coordinator, House R Conf 1999-2000
Office Mgr, Majority Whip Tom Delay 2000-03
Finance Dir, Majority Leader Tom Delay 2003-05
Cong liaison, US Trade & Dev Agency 2006-10
Jay Cranford
LC, Rep. Bob Barr, Jan 1997- Aug 1997
LA/Comm Dir, Rep Jim Gibbons Aug97-Sep00
Staff Dir Hse SubCom Energy May2004-Mar06
Policy Adv, Maj Leader Boehner Mar06-Dec06
Policy Adv, Min Leader Boehner Jan07-Dec10
Asst Policy Speaker Boehner Jan11-May1,2011
Deborah Pryce
U.S. House of Representatives(OH-15)1993-2009
U.S. House of Representatives (OH-15) 1993-2009
Michael Catanzaro
Deputy Communications Director, House Science Committee;
Press Secretary, Rep. Dave Hobson;
Communications Director Senate Environment and Public Works;
Associate Director for Policy, White House Council on Environmental Protection;
Associate Deputy Administrator - Environmental Protection Agency;
Deputy Staff Director, Senate Environmental & Public Works Committee;
Senior Policy Advisor, Speaker John Boehner
Douglas Schwartz
Policy Director/Counsel, Office of Conference Chairman 2009;
Deputy Staff Director, Senate Republican Policy Committee 2009-2010;
Staff Director, Senate Republican Policy Committee 2010-2012;
Chief of Staff, Senate Republican Conference 2012-2014;
Senior Advisor, Senator John Thune 2014
John Stipicevic
Intern/Staff Assistant, Majority Whip Roy Blunt, 2003-2006
Floor Assistant, Republican Whip Roy Blunt, 2007-2008
Floor Assistant, Republican Whip Eric Cantor, 2009-2010
Director of Floor Operations, Majority Whip Kevin McCarthy, 2011-2014
Deputy Chief of Staff for Floor and Member Services, Majority Leader Kevin McCarthy, 2014-2015
Michael Nielsen
Sr Policy Adv, Sen. Robert F. Bennett 2007 - 2010
Staff Dir SubComm Financial Institutions 2002-06
Leg Assistant, Sen. Robert F. Bennett 1999 - 2001
Steve Clark
n/a
Gary Lytle
n/a
Mike Nielsen
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.
1st Quarter, 2017
CGCN GROUP, LLC (formerly known as Clark Geduldig Cranford & Nielsen, LLC) terminated an engagement in which they represented FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) on April 18, 2017.
Original Filing: 300867681.xml
4th Quarter, 2016
In Q4, CGCN GROUP, LLC (formerly known as Clark Geduldig Cranford & Nielsen, LLC) did no lobbying for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) . The report was filed on Jan. 16, 2017.
Original Filing: 300846582.xml
3rd Quarter, 2016
In Q3, CGCN GROUP, LLC (formerly known as Clark Geduldig Cranford & Nielsen, LLC) lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $45,000. The report was filed on Oct. 18, 2016.
Original Filing: 300831428.xml
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Financial services regulatory reform proposals.
Issues related to the retirement, mutual fund and securities industries.
Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Type of Issue
Financial Institutions/Investments/Securities
2nd Quarter, 2016
CGCN GROUP, LLC (formerly known as Clark Geduldig Cranford & Nielsen, LLC) amended a lobbying report for representation of FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) in Q22016 on July 20, 2016.
Original Filing: 300816115.xml
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Financial services regulatory reform proposals.
Issues related to the retirement, mutual fund and securities industries.
Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Type of Issue
Financial Institutions/Investments/Securities
2nd Quarter, 2016
In Q2, CGCN GROUP, LLC (formerly known as Clark Geduldig Cranford & Nielsen, LLC) lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $45,000. The report was filed on July 18, 2016.
Original Filing: 300811962.xml
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Financial services regulatory reform proposals.
Issues related to the retirement, mutual fund and securities industries.
Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Proposed ERISA fiduciary investment advice rule.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
1st Quarter, 2016
In Q1, CGCN GROUP, LLC (formerly known as Clark Geduldig Cranford & Nielsen, LLC) lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $45,000. The report was filed on April 19, 2016.
Original Filing: 300796991.xml
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Financial services regulatory reform proposals.
Issues related to the retirement, mutual fund and securities industries.
Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Proposed ERISA fiduciary investment advice rule.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
4th Quarter, 2015
In Q4, CGCN GROUP, LLC (formerly known as Clark Geduldig Cranford & Nielsen, LLC) lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $45,000. The report was filed on Jan. 18, 2016.
Original Filing: 300774025.xml
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Financial services regulatory reform proposals.
Issues related to the retirement, mutual fund and securities industries.
Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Proposed ERISA fiduciary investment advice rule.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
3rd Quarter, 2015
In Q3, CGCN GROUP, LLC (formerly known as Clark Geduldig Cranford & Nielsen, LLC) lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $45,000. The report was filed on Oct. 18, 2015.
Original Filing: 300756060.xml
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Financial services regulatory reform proposals.
Issues related to the retirement, mutual fund and securities industries.
Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Proposed ERISA fiduciary investment advice rule.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
2nd Quarter, 2015
In Q2, CGCN GROUP, LLC (formerly known as Clark Geduldig Cranford & Nielsen, LLC) lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $45,000. The report was filed on July 16, 2015.
Original Filing: 300737437.xml
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Financial services regulatory reform proposals.
Issues related to the retirement, mutual fund and securities industries.
Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Proposed ERISA fiduciary investment advice rule.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
1st Quarter, 2015
In Q1, CGCN GROUP, LLC (formerly known as Clark Geduldig Cranford & Nielsen, LLC) lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $45,000. The report was filed on April 17, 2015.
Original Filing: 300719736.xml
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer
Protection Act (Pub. L. 111-203).
Financial services regulatory reform proposals.
Issues related to the retirement, mutual fund and securities industries.
Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. Senate U.S. House of Representatives
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Proposed ERISA fiduciary investment advice rule
Agencies Lobbied
U.S. Senate U.S. House of Representatives
4th Quarter, 2014
In Q4, Clark Geduldig Cranford& Nielsen, LLC (formerly known as Clark Lytle Geduldig & Cranford, LLC) lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $30,000. The report was filed on Jan. 20, 2015.
Original Filing: 300701346.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Financial services regulatory reform proposals. Issues related to retirement, mutual fund and securities industries. Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule
Agencies Lobbied
U.S. House of Representatives U.S. Senate
3rd Quarter, 2014
In Q3, Clark Geduldig Cranford& Nielsen, LLC (formerly known as Clark Lytle Geduldig & Cranford, LLC) lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $30,000. The report was filed on Oct. 17, 2014.
Original Filing: 300681591.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Financial services regulatory reform proposals. Issues related to retirement, mutual fund and securities industries. Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule
Agencies Lobbied
U.S. House of Representatives U.S. Senate
2nd Quarter, 2014
In Q2, Clark Geduldig Cranford& Nielsen, LLC (formerly known as Clark Lytle Geduldig & Cranford, LLC) lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $30,000. The report was filed on July 21, 2014.
Original Filing: 300667837.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Financial services regulatory reform proposals. Issues related to retirement, mutual fund and securities industries. Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule
Agencies Lobbied
U.S. House of Representatives U.S. Senate
1st Quarter, 2014
In Q1, Clark Geduldig Cranford& Nielsen, LLC (formerly known as Clark Lytle Geduldig & Cranford, LLC) lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $30,000. The report was filed on April 20, 2014.
Original Filing: 300643587.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Financial services regulatory reform proposals. Issues related to retirement, mutual fund and securities industries. Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule
Agencies Lobbied
U.S. House of Representatives U.S. Senate
4th Quarter, 2013
In Q4, Clark Lytle Geduldig & Cranford, LLC lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $30,000. The report was filed on Jan. 14, 2014.
Original Filing: 300614350.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Financial services regulatory reform proposals. Issues related to retirement, mutual fund and securities industries. Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule
Agencies Lobbied
U.S. House of Representatives U.S. Senate
3rd Quarter, 2013
In Q3, Clark Lytle Geduldig & Cranford, LLC lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $30,000. The report was filed on Oct. 18, 2013.
Original Filing: 300599088.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Regulation of investment advisors and broker dealers. Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and securities industries. Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule; eDelivery (in connection with 401(k) fee disclosure rules)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
2nd Quarter, 2013
In Q2, Clark Lytle Geduldig & Cranford, LLC lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $30,000. The report was filed on July 19, 2013.
Original Filing: 300580023.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Regulation of investment advisors and broker dealers. Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and securities industries. Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule; eDelivery (in connection with 401(k) fee disclosure rules)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
1st Quarter, 2013
In Q1, Clark Lytle Geduldig & Cranford, LLC lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $30,000. The report was filed on April 20, 2013.
Original Filing: 300558340.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Regulation of investment advisors and broker dealers. Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and securities industries. Issues related to the systemic risk designation process.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule; eDelivery (in connection with 401(k) fee disclosure rules)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
4th Quarter, 2012
In Q4, Clark Lytle Geduldig & Cranford, LLC lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $22,500. The report was filed on Jan. 19, 2013.
Original Filing: 300536071.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Systemic risk regulation; Regulation of investment advisors and broker dealers. Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and securities industries. Monitor issues related to HR1424, Emergency Economic Stabilization Act of 2008. Issues related to the creation of the Office of Financial Researth (OFR).
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule; eDelivery (in connection with 401(k) fee disclosure rules)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Issues related to the systemic risk designation process.
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203), specifically as it applies to insurance regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
3rd Quarter, 2012
In Q3, Clark Lytle Geduldig & Cranford, LLC lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $20,000. The report was filed on Oct. 19, 2012.
Original Filing: 300515303.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Systemic risk regulation; Regulation of investment advisors and broker dealers. Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and securities industries. Monitor issues related to HR1424, Emergency Economic Stabilization Act of 2008. Issues related to the creation of the Office of Financial Researth (OFR).
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule; eDelivery (in connection with 401(k) fee disclosure rules)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Issues related to the systemic risk designation process.
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203), specifically as it applies to insurance regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
2nd Quarter, 2012
Clark Lytle Geduldig & Cranford, LLC amended a lobbying report for representation of FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) in Q22012 on July 20, 2012.
Original Filing: 300497820.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Systemic risk regulation; Regulation of investment advisors and broker dealers. Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and securities industries. Monitor issues related to HR1424, Emergency Economic Stabilization Act of 2008.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule; eDelivery (in connection with 401(k) fee disclosure rules)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Issues related to the systemic risk designation process.
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203), specifically as it applies to insurance regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
2nd Quarter, 2012
In Q2, Clark Lytle Geduldig & Cranford, LLC lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $20,000. The report was filed on July 19, 2012.
Original Filing: 300491436.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Systemic risk regulation; Regulation of investment advisors and broker dealers. Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and securities industries. Monitor issues related to HR1424, Emergency Economic Stabilization Act of 2008.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation.
International tax and issues related to the Financial Crisis Responsibility Fee/Bank Tax
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule; eDelivery (in connection with 401(k) fee disclosure rules)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Issues related to the systemic risk designation process.
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203), specifically as it applies to insurance regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Issues related to tax incentives for Retirement Savings
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Taxation/Internal Revenue Code
1st Quarter, 2012
In Q1, Clark Lytle Geduldig & Cranford, LLC lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $20,000. The report was filed on April 19, 2012.
Original Filing: 300468477.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Systemic risk regulation; Regulation of investment advisors and broker dealers. Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and securities industries. Monitor issues related to HR1424, Emergency Economic Stabilization Act of 2008.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation.
International tax and issues related to the Financial Crisis Responsibility Fee/Bank Tax
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule; eDelivery (in connection with 401(k) fee disclosure rules)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Issues related to the systemic risk designation process.
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203), specifically as it applies to insurance regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Issues related to tax incentives for Retirement Savings
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Taxation/Internal Revenue Code
4th Quarter, 2011
In Q4, Clark Lytle Geduldig & Cranford, LLC (formerly known as Clark Lytle & Geduldig) lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $20,000. The report was filed on Jan. 19, 2012.
Original Filing: 300443589.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Systemic risk regulation; Regulation of investment advisors and broker dealers. Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and securities industries. Monitor issues related to HR1424, Emergency Economic Stabilization Act of 2008.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation.
International tax and issues related to the Financial Crisis Responsibility Fee/Bank Tax
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule; eDelivery (in connection with 401(k) fee disclosure rules)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Issues related to the systemic risk designation process.
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203), specifically as it applies to insurance regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
3rd Quarter, 2011
In Q3, Clark Lytle & Geduldig lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $20,000. The report was filed on Oct. 16, 2011.
Original Filing: 300414793.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Systemic risk regulation; Regulation of investment advisors and broker dealers. Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and securities industries. Monitor issues related to HR1424, Emergency Economic Stabilization Act of 2008.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation
Issues related to International tax and the Financial Crisis Responsibility Fee/Bank Tax
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule; eDelivery (in connection with 401(k) fee disclosure rules)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Issues related to the systemic risk designation process.
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203), specifically as it applies to insurance regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
2nd Quarter, 2011
In Q2, Clark Lytle & Geduldig lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $20,000. The report was filed on July 20, 2011.
Original Filing: 300401091.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203). Money market mutual fund regulation. Systemic risk regulation; Regulation of investment advisors and broker dealers. Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and seurities industries. Monitor issues related to HR1424, Emergency Economic Stabilization Act of 2008.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203)
Monitor issues related to Money Market Mutual Fund regulation
Issues related to International tax and the Financial Crisis Responsibility Fee/Bank Tax
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Proposed ERISA fiduciary investment advice rule; eDelivery (in connection with 401(k) fee disclosure rules)
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Issues related to the systemic risk designation process.
Issues related to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act (Pub. L. 111-203), specifically as it applies to insurance regulation.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
1st Quarter, 2011
In Q1, Clark Lytle & Geduldig lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $20,000. The report was filed on April 20, 2011.
Original Filing: 300382517.xml
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010. Money market mutual fund regulation. Systemic risk regulation; Regulation of investment advisors and broker dealers. Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and seurities industries. Specific issues include 401(k) fee disclosure (HR 3185-Miller, the 401(k) Fair Disclosure for Retirement Security Act; HR 3765-Neal, the Defined Contribution Plan Fee Transparency Act; and S.2473-Harkin, the Defined Contribution Fee Disclosure Act). HR2452, the Net Operating Loss (NOL) Carryback Act. Monitor issues related to HR1424, Emergency Economic Stabilization Act of 2008.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
Issues relating to the Implementation of Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010
S. 3217, Restoring American Financial Stability Act of 2010
Money market mutual fund regulation
International tax and Financial Crisis Responsibility Fee proposals
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Lobbying Issues
Department of Labor Proposed Fiduciary Definition Regulations
Agencies Lobbied
U.S. House of Representatives U.S. Senate
4th Quarter, 2010
In Q4, Clark Lytle & Geduldig lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $12,000. The report was filed on Jan. 19, 2011.
Original Filing: 300346835.xml
Lobbying Issues
Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and seurities industries. Specific issues include 401(k) fee disclosure (HR 3185-Miller, the 401(k) Fair Disclosure for Retirement Security Act; HR 3765-Neal, the Defined Contribution Plan Fee Transparency Act; and S.2473-Harkin, the Defined Contribution Fee Disclosure Act). HR2452, the Net Operating Loss (NOL) Carryback Act. Monitor HR1424, Emergency Economic Stabilization Act.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
HR 4173, Wall Street Reform and Consumer Protection Act of 2009
S. 3217, Restoring American Financial Stability Act of 2010
International tax and Financial Crisis Responsibility Fee proposals
Agencies Lobbied
U.S. House of Representatives U.S. Senate
3rd Quarter, 2010
In Q3, Clark Lytle & Geduldig lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $12,000. The report was filed on Oct. 19, 2010.
Original Filing: 300321700.xml
Lobbying Issues
Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and seurities industries. Specific issues include 401(k) fee disclosure (HR 3185-Miller, the 401(k) Fair Disclosure for Retirement Security Act; HR 3765-Neal, the Defined Contribution Plan Fee Transparency Act; and S.2473-Harkin, the Defined Contribution Fee Disclosure Act). HR2452, the Net Operating Loss (NOL) Carryback Act. Monitor HR1424, Emergency Economic Stabilization Act.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
HR 4173, Wall Street Reform and Consumer Protection Act of 2009
S. 3217, Restoring American Financial Stability Act of 2010
International tax and Financial Crisis Responsibility Fee proposals
Agencies Lobbied
U.S. House of Representatives U.S. Senate
2nd Quarter, 2010
In Q2, Clark Lytle & Geduldig lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $12,000. The report was filed on July 19, 2010.
Original Filing: 300295302.xml
Lobbying Issues
Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and seurities industries. Specific issues include 401(k) fee disclosure (HR 3185-Miller, the 401(k) Fair Disclosure for Retirement Security Act; HR 3765-Neal, the Defined Contribution Plan Fee Transparency Act; and S.2473-Harkin, the Defined Contribution Fee Disclosure Act). HR2452, the Net Operating Loss (NOL) Carryback Act. Monitor HR1424, Emergency Economic Stabilization Act.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
HR 4173, Wall Street Reform and Consumer Protection Act of 2009
S. 3217, Restoring American Financial Stability Act of 2010
International tax and Financial Crisis Responsibility Fee proposals
Agencies Lobbied
U.S. House of Representatives U.S. Senate
1st Quarter, 2010
In Q1, Clark Lytle & Geduldig lobbied for FMR LLC (PREVIOUSLY REPORTED AS FIDELITY INVESTMENTS) , earning $12,000. The report was filed on April 20, 2010.
Original Filing: 300275576.xml
Lobbying Issues
Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and seurities industries. Specific issues include 401(k) fee disclosure (HR 3185-Miller, the 401(k) Fair Disclosure for Retirement Security Act; HR 3765-Neal, the Defined Contribution Plan Fee Transparency Act; and S.2473-Harkin, the Defined Contribution Fee Disclosure Act). HR2452, the Net Operating Loss (NOL) Carryback Act. Monitor HR1424, Emergency Economic Stabilization Act.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
HR 4173, Wall Street Reform and Consumer Protection Act of 2009
S. 3217, Restoring American Financial Stability Act of 2010
International tax and Financial Crisis Responsibility Fee proposals
Agencies Lobbied
U.S. House of Representatives U.S. Senate
4th Quarter, 2009
In Q4, Clark Lytle & Geduldig lobbied for FIDELITY INVESTMENTS , earning $10,000. The report was filed on Jan. 19, 2010.
Original Filing: 300239918.xml
Lobbying Issues
Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and seurities industries. Specific issues include 401(k) fee disclosure (HR 3185-Miller, the 401(k) Fair Disclosure for Retirement Security Act; HR 3765-Neal, the Defined Contribution Plan Fee Transparency Act; and S.2473-Harkin, the Defined Contribution Fee Disclosure Act). HR2452, the Net Operating Loss (NOL) Carryback Act. Monitor HR1424, Emergency Economic Stabilization Act.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
Lobbying Issues
HR 4173, Wall Street Reform and Consumer Protection Act of 2009
Financial Services Regulatory Reform Senate Discussion Draft
Agencies Lobbied
U.S. House of Representatives U.S. Senate
3rd Quarter, 2009
In Q3, Clark Lytle & Geduldig lobbied for FIDELITY INVESTMENTS , earning $5,000. The report was filed on Oct. 19, 2009.
Original Filing: 300214226.xml
Lobbying Issues
Financial services regulatory reform proposals and pending derivatives legislation. Issues related to retirement, mutual fund and seurities industries. Specific issues include 401(k) fee disclosure (HR 3185-Miller, the 401(k) Fair Disclosure for Retirement Security Act; HR 3765-Neal, the Defined Contribution Plan Fee Transparency Act; and S.2473-Harkin, the Defined Contribution Fee Disclosure Act). HR2452, the Net Operating Loss (NOL) Carryback Act. Monitor HR1424, Emergency Economic Stabilization Act.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
2nd Quarter, 2009
In Q2, Clark Lytle & Geduldig lobbied for FIDELITY INVESTMENTS , earning $15,000. The report was filed on July 13, 2009.
Original Filing: 300176300.xml
Lobbying Issues
Financial services regulatory reform proposals. Issues related to the retirement, mutual fund and securities industries. Specific issues include 401(k) fee disclosure (HR 3185-Miller, the 401(k) Fair Disclosure for Retirement Security Act; HR 3765-Neal, the Defined Contribution Plan Fee Transparency Act; and S.2473-Harkin, the Defined Contribution Fee Disclosure Act). HR2452, the Net Operating Loss (NOL) Carryback Act. Monitored HR 1424, the Emergency Economic Stabilization Act of 2008.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
1st Quarter, 2009
In Q1, Clark Lytle & Geduldig lobbied for FIDELITY INVESTMENTS . The report was filed on April 13, 2009.
Original Filing: 300147136.xml
Lobbying Issues
Issues related to the retirement, mutual fund and securities industries. Specific issues include 401(k) fee disclosure (HR 3185 - Miller, the 401(k) Fair Disclosure for Retirement Security Act; HR 3765 - Neal, the Defined Contribution Plan Fee Transparency Act; and S.2473 - Harkin, the Defined Contribution Fee Disclosure Act).
Monitored HR 1424, the Emergency Economic Stabilization Act of 2008.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
4th Quarter, 2008
In Q4, Clark Lytle & Geduldig lobbied for FIDELITY INVESTMENTS . The report was filed on Jan. 19, 2009.
Original Filing: 300127396.xml
Lobbying Issues
Issues related to the retirement, mutual fund and securities industries. Specific issues include 401(k) fee disclosure (HR 3185 - Miller, the 401(k) Fair Disclosure for Retirement Security Act; HR 3765 - Neal, the Defined Contribution Plan Fee Transparency Act; and S.2473 - Harkin, the Defined Contribution Fee Disclosure Act).
Monitored HR 1424, the Emergency Economic Stabilization Act of 2008.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
3rd Quarter, 2008
In Q3, Clark Lytle & Geduldig lobbied for FIDELITY INVESTMENTS , earning $30,000. The report was filed on Oct. 15, 2008.
Original Filing: 300092527.xml
Lobbying Issues
Issues related to the retirement, mutual fund and securities industries. Specific issues include 401(k) fee disclosure (HR 3185 - Miller, the 401(k) Fair Disclosure for Retirement Security Act; HR 3765 - Neal, the Defined Contribution Plan Fee Transparency Act; and S.2473 - Harkin, the Defined Contribution Fee Disclosure Act).
Monitored HR 1424, the Emergency Economic Stabilization Act of 2008.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
2nd Quarter, 2008
In Q2, Clark Lytle & Geduldig lobbied for FIDELITY INVESTMENTS . The report was filed on July 14, 2008.
Original Filing: 300065227.xml
Lobbying Issues
Issues related to the retirement, mutual fund and securities industries. Specific issues include 401(k) fee disclosure (HR 3185 - Miller, the 401(k) Fair Disclosure for Retirement Security Act; HR 3765 - Neal, the Defined Contribution Plan Fee Transparency Act; and S. 2473 - Harkin, the Defined Contribution Fee Disclosure Act).
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
1st Quarter, 2008
In Q1, Clark Lytle & Geduldig lobbied for FIDELITY INVESTMENTS , earning $30,000. The report was filed on April 17, 2008.
Original Filing: 300040335.xml
Lobbying Issues
S.106 + HR 878, Simplification Through Additional Reporting Tax Act of 2007; cost basis reporting, issues relating to financial institutions.
Agencies Lobbied
U.S. House of Representatives U.S. Senate
Type of Issue
Financial Institutions/Investments/Securities
0th Quarter, 2007
In MM, CLARK AND ASSOCIATES lobbied for FIDELITY INVESTMENTS , earning $45,000. The report was filed on July 26, 2007.
Original Filing: 200041777.xml
Lobbying Issues
General business issues before the U.S. Congress and federal government.
Type of Issue
Financial Institutions/Investments/Securities
Source: Clerk of the U.S. House of Representatives and Secretary of the Senate